explain why the external audit is not considered a fraud audit ?
E7.976. The Exterual Audit and Fraud. Explain why the external audit is not considered a fraud audit

Answers

Answer 1

The external audit is not considered a fraud audit primarily because its primary focus is on providing reasonable assurance regarding the fairness of the financial statements, rather than detecting or preventing fraud. While an external audit may identify instances of fraud during the course of its procedures, fraud detection is not the primary objective.

External audits are conducted by independent certified public accounting firms to assess the accuracy and reliability of an organization's financial statements. They examine financial records, internal controls, and other relevant information to form an opinion on whether the financial statements are presented fairly in accordance with the applicable accounting standards.

In contrast, a fraud audit, also known as a forensic audit, is specifically designed to uncover and investigate fraudulent activities within an organization. It involves a more in-depth examination of financial transactions, documentation, and patterns to identify any indications of fraud. Fraud audits often require specialized skills, techniques, and procedures that go beyond the scope of a regular external audit.

While external audits may uncover instances of fraud, they are not designed or conducted with the primary objective of detecting fraud. The responsibility for preventing and detecting fraud lies primarily with the management and the organization's internal controls, rather than solely relying on the external audit.

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Related Questions


44. According to the Monetarists, excessive government spending,
whether financed by borrowing or taxing, will result in less
productive capital in the future.
Group of answer choices True False

Answers

It is true that according to the Monetarists, excessive government spending, whether financed by borrowing or taxing, will result in less productive capital in the future.

Monetarism is a macroeconomic concept that suggests that the correct monetary policy will ensure long-term macroeconomic stability, implying that inflation is only the result of too much money in circulation. Monetarism and the New Classical macroeconomics share a fundamental assumption that the economy is self-regulating, implying that government intervention is futile and, in many circumstances, counterproductive.

Keynesian economics, on the other hand, emphasizes government intervention to mitigate unemployment and economic instability, assuming that markets often fail to provide effective results in terms of economic stability.

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Think of an action by a business organization (sole proprietor, partnership, or corporation) that was legal but still strikes you as "wrong". What was it? Why do you think it was wrong? Cite to an article or some source that supports your example.

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An action by a business organization that was legal but still strikes me as "wrong" is Amazon’s practice of selling counterfeit goods on their platform.

Even though it is legal for them to sell counterfeit products as long as they’re not aware of it, I still find it to be unethical and harmful to both consumers and legitimate sellers. According to CNBC, Amazon’s counterfeit problem is getting worse, and it’s affecting small businesses that rely on the platform for sales.

Amazon’s practice of selling counterfeit goods is harmful to consumers because they might end up buying products that are not what they seem to be. Some counterfeit products might be dangerous, as they might not comply with safety standards or contain harmful substances. Moreover, customers might be paying more for products that are not genuine, and this might affect their trust in online shopping.

Amazon’s practice of selling counterfeit goods is also harmful to legitimate sellers because it creates an uneven playing field. Small businesses that sell genuine products on Amazon are competing against counterfeit products that might be cheaper and look the same. This might lead to lower sales for legitimate sellers, and it might eventually drive them out of business.

An article that supports this example is “Amazon has a counterfeit problem, and it’s only getting worse” by Lauren Thomas, which was published on CNBC on February 1, 2021. The article reports that Amazon has been struggling to deal with counterfeit products on their platform and that it’s affecting small businesses.

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Taussig Corp.'s bonds currently sell for $1,100. They have a 7.15% annual coupon rate and a 15 -year maturity, but they can be called in 6 years at $1,061.50. Assume tha no costs other than the call premium would be incurred to call and refund the bonds, and also assume that the yield curve is horizontal, with rates expected to remain at current levels on into the future. Under these conditions, what rate of return should an investor expect to earn if he or she purchases these bonds? a. 321 1. b. 6.424 c. 3.00% d. 6.00% e. 4.31%

Answers

To calculate the rate of return an investor should expect to earn by purchasing Taussig Corp.'s bonds, we need to consider the bond's current price, coupon rate, call price, and time to maturity.

To calculate the rate of return, we need to determine whether the investor will hold the bond until maturity or until it is called.

Scenario 1: Holding until maturity

The rate of return is the yield to maturity (YTM).

Scenario 2: Bond is called

If the bond is called in 6 years, the investor will receive the call price of $1,061.50, and the bond will no longer pay coupons beyond the call date.

Using a financial calculator, input the following values:

N = 15 (for Scenario 1, maturity)

PV = -1100 (negative because it's the initial investment)

PMT = 7.15 (annual coupon payment)

FV = 1000 (face value)

Solve for I/Y (rate of return) to find the YTM for Scenario 1.

For Scenario 2, calculate the rate of return using the following inputs:

N = 6 (until the bond is called)

PV = -1100

PMT = 7.15

FV = 1061.50 (the call price)

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A payment of $2,810 was due two years ago, and a payment of $1,650 is due today. What single payment two years from now would be equivalent to these original payments? Assume that money earns 3.5% compounded quarterly.

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The equivalent single payment two years from now would be approximately $4,249.60. To calculate the equivalent single payment two years from now, we need to find the present value of the two original payments. The present value represents the current value of future cash flows.

Let's calculate the present value of each payment separately and then find their total:

Payment due two years ago: $2,810

Using the compound interest formula, the present value of this payment is given by:

PV = Payment /[tex](1 + r/n)^(n*t)[/tex]

Where:

PV = Present Value

Payment = $2,810

r = Interest rate per period (3.5% divided by 4 for quarterly compounding)

n = Number of compounding periods per year (4 for quarterly compounding)

t = Number of years

PV = $2,810 / [tex](1 + 0.035/4)^(4*2)[/tex] ≈ $2,599.60

Payment due today: $1,650

Since this payment is due today, its present value is simply equal to the payment amount.

Now, let's find the equivalent single payment two years from now. This payment will be equal to the sum of the present values of the two original payments:

Equivalent single payment = Present value of payment due two years ago + Present value of payment due today

Equivalent single payment = $2,599.60 + $1,650 = $4,249.60

Therefore, the equivalent single payment two years from now would be approximately $4,249.60.

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Imagine a stock that is expected to pay a dividend of $6 in three years (but no dividends before that) and the required rate of return is 12.1%pa. If the current stock price is $62, what is the expected dividend growth rate after year 3 ?

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The expected dividend growth rate after year 3 is approximately 4.59% per annum.

To calculate the expected dividend growth rate after year 3, we can use the dividend discount model (DDM) formula. The DDM formula states that the value of a stock is the present value of all its future dividends. In this case, we have a single dividend of $6 in three years, and we need to find the growth rate beyond that point.

First, we need to find the present value of the expected dividend in year 3. Using the required rate of return of 12.1% per annum, we discount the dividend of $6 back to the present value using the formula:

Present Value = Dividend / (1 + Required Rate of Return)^Number of Years. Present Value = $6 / (1 + 0.121)^3 ≈ $4.066. Next, we can calculate the expected future stock price after year 3. Since the stock price is the present value of all future dividends, we subtract the present value of the dividend in year 3 from the current stock price:

Expected Future Stock Price = Current Stock Price - Present Value of Dividend Expected Future Stock Price = $62 - $4.066 ≈ $57.934. Now, we can calculate the expected dividend growth rate beyond year 3 using the formula: Expected Dividend Growth Rate = (Expected Future Stock Price / Current Stock Price)^(1 / Number of Years) - 1

Expected Dividend Growth Rate = ($57.934 / $62)^(1 / 3) - 1 ≈ 0.0459 or 4.59%. Therefore, the expected dividend growth rate after year 3 is approximately 4.59% per annum.

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how can learning about project management, or refining your
skills related to this type of management, possibly help you
professionally?

Answers

Learning about project management or refining skills in this area can greatly benefit professionals by enhancing their ability to plan, execute, and deliver successful projects. It provides a structured framework, improves organizational skills, promotes effective communication, increases problem-solving capabilities, and enhances career prospects.

Structured Framework: Project management provides a systematic approach to initiating, planning, executing, and controlling projects. By learning project management principles, professionals gain a structured framework to effectively manage resources, set goals, and track progress, leading to better project outcomes.

Organizational Skills: Project management enhances organizational skills by emphasizing the importance of setting priorities, managing time, and coordinating tasks. Professionals develop the ability to streamline workflows, allocate resources efficiently, and maintain project schedules, resulting in improved productivity and reduced inefficiencies.

Effective Communication: Successful project management relies on effective communication among team members, stakeholders, and clients. Learning project management equips professionals with the skills to communicate clearly, actively listen, resolve conflicts, and engage stakeholders, fostering collaboration and alignment toward project goals.

Problem-Solving Capabilities: Projects often encounter challenges and uncertainties. Project management provides techniques and methodologies to identify, analyze, and solve problems effectively. Professionals with project management skills can apply critical thinking, creativity, and decision-making abilities to address issues and adapt to changing circumstances, ensuring project success.

Career Advancement: Proficiency in project management is highly valued in many industries. By acquiring project management knowledge and skills, professionals enhance their marketability and open doors to new career opportunities. Project management certifications, such as PMP (Project Management Professional), demonstrate expertise and can lead to career advancement and higher salaries.

Therefore, learning about project management or refining skills in this area can benefit professionals by providing a structured framework, improving organizational skills, promoting effective communication, increasing problem-solving capabilities, and enhancing career prospects. These skills are transferrable and applicable to various industries and can significantly contribute to professional growth and success.

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According to the Laffer Curve, lower tax rates might lead to: Higher consumer surplus Higher market efficiency Higher government revenues Higher deadweight loss

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According to the Laffer Curve, lower tax rates might lead to higher government revenues. This theory suggests there's an optimal tax rate that maximizes government revenue.

The Laffer Curve postulates that increasing tax rates beyond a certain point becomes counterproductive for raising further tax revenue, as it discourages work, investment, and production, leading to a decrease in taxable income. Conversely, reducing tax rates can potentially stimulate economic activity, increasing the taxable income base and consequently, total tax revenue. However, it's crucial to remember that the Laffer Curve is a theoretical concept and the optimal tax rate can vary significantly depending on the specific economic and social context.

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discuss types of information that may indicate substantial doubt about a client’s ability to remain a going concern.

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The going concern principle is fundamental to accounting. According to this principle, an entity is assumed to be able to continue its normal business operations for the foreseeable future. When it comes to auditing financial statements, the auditor must assess the company's ability to continue as a going concern.

Non-Financial Indicators: Some non-financial indicators may indicate that a company will have trouble staying in business. These indicators include significant changes in customer demand or preferences, regulatory issues, labor issues, supply chain disruption, and more.

When these types of issues occur, the auditor must evaluate the impact of these factors on the company's ability to remain a going concern, which may lead to the conclusion that substantial doubt exists concerning the company's ability to continue operating. If the auditor concludes that there is substantial doubt about the company's ability to continue operating as a going concern, the auditor should include a note in the financial statements to alert users of the financial statements.

This note should explain why the auditor believes there is substantial doubt, what information was used to reach this conclusion, and what management is doing to address the issues identified.

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1. STP marketing focuses on commercial effectiveness, selecting the most valuable segments for a business and then developing a marketing mix and product positioning strategy for brands. Discuss.( 10 Marks)

2. Howard Corporation is a Multinational Communication Giant desperate to break into the Ghanaian Market. How important would the services of an advertising agency be of help to such a brand? (10 Marks)

Answers

1. STP marketing, also known as segmentation, targeting, and positioning marketing, is a strategic approach that focuses on maximizing commercial effectiveness by identifying and selecting the most valuable market segments for a business. 2. When a multinational communication giant like Howard Corporation wants to break into the Ghanaian market, the services of an advertising agency can be extremely valuable in helping establish and promote their brand in the new market.

1. Segmentation involves dividing a broad market into smaller, homogeneous groups of consumers who share similar characteristics, needs, and preferences. This allows businesses to tailor their marketing efforts and develop targeted messages and offers that resonate with specific customer groups. For example, a cosmetic company might segment its market based on age groups, targeting younger consumers with skincare products and older consumers with anti-aging products.

Targeting involves evaluating and selecting the most attractive segments for the business to focus on. This involves considering factors such as the segment's size, growth potential, competition, and fit with the business's capabilities and resources. By targeting specific segments, businesses can concentrate their marketing resources and efforts on the customers who are most likely to respond positively to their offerings.

Positioning refers to the process of creating a unique and favorable perception of a product or brand in the minds of the target customers. This involves differentiating the product from competitors and highlighting its key benefits and advantages. For example, a sports shoe company might position its products as high-performance and durable, appealing to athletes and fitness enthusiasts.

By implementing STP marketing, businesses can develop a marketing mix that aligns with the needs and preferences of the target segments. The marketing mix consists of the four Ps: product, price, place, and promotion. By carefully crafting each element of the marketing mix, businesses can effectively reach and engage their target customers and gain a competitive advantage in the market.

Overall, STP marketing is crucial for businesses to identify and prioritize the most valuable market segments, develop a targeted marketing mix, and create a strong brand positioning strategy. This helps businesses optimize their marketing efforts and increase their chances of success in the market.

2. Firstly, an advertising agency has expertise in understanding the local market dynamics, consumer preferences, and cultural nuances of Ghana. They can conduct market research to gather insights about the target audience in Ghana, including their behavior, needs, and preferences. This information is essential for Howard Corporation to customize its marketing strategies and develop effective communication messages that resonate with the Ghanaian consumers.

Secondly, an advertising agency can help Howard Corporation navigate through the advertising regulations and requirements specific to Ghana. Different countries have different rules and regulations regarding advertising, and an advertising agency can ensure that Howard Corporation's advertising campaigns comply with the legal and ethical standards of the Ghanaian market.

Thirdly, an advertising agency has creative expertise in designing and executing advertising campaigns. They can develop compelling and impactful advertisements that capture the attention of the Ghanaian consumers and differentiate Howard Corporation from its competitors. This includes creating engaging content, selecting appropriate media channels, and optimizing the advertising budget for maximum impact.

Furthermore, an advertising agency can provide valuable insights and advice on brand positioning and brand messaging in the Ghanaian market. They can help Howard Corporation understand how to position their brand effectively to appeal to the Ghanaian consumers and build a strong brand presence in the market.

Overall, the services of an advertising agency can be of great help to Howard Corporation as they break into the Ghanaian market. From understanding the local market dynamics to designing and executing effective advertising campaigns, an advertising agency can provide the necessary expertise and support to ensure the success of Howard Corporation's entry into the market.

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Behavioural Economics

What are the main assumptions of the standard economic model? Highlight and explain three
examples of phenomena that are not adequately explained by this model.

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Require about 100-200 words. DO NOT COPY AND PASTE. please be precise to the question and answer in OWN WORDS.

Answers

The standard economic model assumes that individuals are rational and always make decisions that maximize their own self-interest.

The standard economic model assumes that individuals are rational and always make decisions that maximize their own self-interest. This model does not account for irrational behavior, emotions, or biases that can impact decision-making. Three examples of phenomena that are not adequately explained by this model include:

1. The ultimatum game: In this game, two players are given a sum of money to split between them. The first player proposes a split, and the second player can either accept or reject it. If they reject it, neither player gets any money. The standard economic model would predict that the second player would always accept any offer, no matter how small their share, because some money is better than none. However, studies have shown that the second player is more likely to reject offers that they perceive as unfair, even if it means getting no money at all.

2. Loss aversion: The standard economic model assumes that people are equally motivated by gains and losses. However, research has shown that people are more motivated by the prospect of losing something than they are by the prospect of gaining something of equal value. For example, people are more likely to take risks to avoid a loss than they are to take risks to achieve a gain.

3. Confirmation bias: The standard economic model assumes that people have all the information they need to make rational decisions. However, people often seek out information that confirms their existing beliefs, and ignore or discount information that contradicts them. This can lead to suboptimal decisions that are not in the individual's best interest.

The standard economic model has limitations and does not fully account for irrational behavior, emotions, or biases that can impact decision-making. Therefore, behavioral economics has emerged to incorporate these factors into economic models.

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(Present value of a growing perpetuity) As a result of winning the Gates Energy Innovation Award, you are awarded a growing perpetaity, The first payment will occur in a year and will be for $20,000. You will continue receiving monetary awards annually with each award increasing by 5 percent over the previous award, and these monetary awards will continue forever. If the appropriate interest rate is 13 percent, what is the present value of this award?
The present value of the award is $____ (Round to the noarest cent.)

Answers

Given that you won Gates Energy Innovation Award and you are awarded a growing perpetuity and the first payment will be $20,000, and you will continue receiving monetary awards annually with each award increasing by 5% over the previous award, and these monetary awards will continue forever, then the present value of the award is $222,222.22 (rounded to the nearest cent).

The formula to find the present value of a growing perpetuity is:

PV = C1 / (r - g)

Where,       PV = Present Value

C1 = First cash flow

r = Discount rate

n = Time

g = Growth rate

First cash flow (C1) = $20,000

Discount rate (r) = 13%

Growth rate (g) = 5%

PV = C1 / (r - g) = 20000 / (0.13 - 0.05) = $222,222.22

Therefore, the present value of the award is $222,222.22 (rounded to the nearest cent).

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In reviewing the overall payroll and production processes indicate the main risk that the auditing firm are concerned for in both processes, provide some detail on each process. Now specifically regarding payroll, please provide five (5) items that indicate responsibility for functionality.

Answers

In reviewing the overall payroll and production processes, the main risk that the auditing firm is concerned about in both processes is the risk of material misstatement.

This is because material misstatements in financial statements can lead to misinformed financial decisions which can be detrimental to the organization. Detailed information regarding the payroll and production processes is as follows:

Payroll process: In the payroll process, the auditing firm is concerned about the risk of a material misstatement because it involves payments to employees, which can be a large amount. Any material misstatement can have a significant effect on the financial statements of the organization. Some of the risks associated with the payroll process include:

- Failure to pay payroll taxes
- Overpayments to employees
- Fraudulent payments to employees
- Misclassification of employees

Responsibility for functionality in the payroll process can be divided into five categories, namely:

- Responsibility for payroll preparation
- Responsibility for payroll review and approval
- Responsibility for payroll distribution
- Responsibility for payroll reporting
- Responsibility for payroll tax preparation and reporting

In reviewing the overall payroll and production processes, the main risk that the auditing firm is concerned about in both processes is the risk of material misstatement. The payroll process is associated with several risks, including failure to pay payroll taxes, overpayments to employees, fraudulent payments to employees, and misclassification of employees.

Responsibility for functionality in the payroll process can be divided into five categories, namely: payroll preparation, payroll review and approval, payroll distribution, payroll reporting, and payroll tax preparation and reporting.

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Why do you think the concept known as time value of money (TVM) plays such a critical role in finance, business and development of societies?
Logically support your allegations with at least 10/ ten verifiable, numerical, real life examples, drown from finance, business and development of societies.

Answers

The time value of money concept plays a critical role in finance, business and development of societies. It helps to make more informed financial decisions, account for inflation, and ensure that businesses and societies are sustainable in the long run.

The concept known as Time Value of Money (TVM) plays a critical role in finance, business and development of societies because money loses value over time, and TVM helps individuals, businesses and societies to manage this by accounting for inflation, interest rates and the risk involved. Therefore, it is crucial to understand the concept of TVM to make sound financial decisions.Here are 10 real-life examples that support the critical role of TVM in finance, business and society:1. Savings and investments - Investing $1,000 today can be worth much more in the future.2. Loans and mortgages - The interest rate you pay on a loan can significantly affect the amount you repay over time.3. Retirement planning - Starting a retirement savings plan early can provide more benefits in the future.4. Corporate finance - Companies often use TVM to evaluate potential investments and decide whether or not they are profitable.5. Inflation - Inflation can reduce the purchasing power of money over time, so TVM helps to adjust for this.6. Capital budgeting - The TVM is used to calculate the net present value of an investment project.7. Bonds and stocks - TVM plays a critical role in the pricing of bonds and stocks.8. Insurance - TVM helps to evaluate the costs and benefits of various insurance plans.9. International finance - TVM is essential in determining exchange rates between currencies.10. Government policies - TVM plays a crucial role in creating sound government policies and budgets.The time value of money concept plays a critical role in finance, business and development of societies. It helps to make more informed financial decisions, account for inflation, and ensure that businesses and societies are sustainable in the long run.

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The business negotiated to borrow $X from X Bank for two years. The loan was due to be repaid by June 2024.
the general entries is :
cash at bank xxx
bank loan payable xxx
is that right?

Answers

Yes, the general entries you provided are correct for recording the borrowing of funds from X Bank.

Let's break it down:

1. Cash at Bank: The first part of the entry involves increasing the cash balance in your books. You will debit (increase) the "Cash at Bank" account for the amount of money borrowed from X Bank.

2. Bank Loan Payable: The second part of the entry involves recognizing the loan as a liability. You will credit (increase) the "Bank Loan Payable" account for the same amount as the cash received. This creates a payable to X Bank, representing the borrowed funds that need to be repaid.

By recording these entries, you properly reflect the increase in cash and the corresponding liability for the borrowed funds. It's important to note that the loan is typically reported as a long-term liability if it has a maturity period of more than one year, as in this case where it is due to be repaid by June 2024.

Remember to consult with a professional accountant or financial advisor for specific accounting treatment, as the exact details and circumstances of your business may require additional or different entries.

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Calculate Net Operating Profits After Taxes using the following table of information: The corporate tax rate is 30%. The dividend rate is 2%. What is the firm's NOPAT?

Answers

The firm's Net Operating Profits After Taxes (NOPAT) can be calculated by multiplying the firm's Operating Income by (1 - Tax Rate).

How do you calculate the Net Operating Profits After Taxes (NOPAT) for a firm?

Net Operating Profits After Taxes (NOPAT) represents the after-tax operating profits of a company. To calculate NOPAT, we use the formula:

\[NOPAT = Operating Income \times (1 - Tax Rate)\]

In this case, the corporate tax rate is given as 30%. To find the firm's NOPAT, we need the value of Operating Income. Once we have the Operating Income, we can substitute it into the formula and calculate the result by multiplying it by (1 - 0.30).

Net Operating Profits After Taxes (NOPAT) is a measure used to assess a company's profitability from its core operations after accounting for taxes. It helps investors and analysts understand the profitability of a company's operations before considering its financing and tax structure. Calculating NOPAT allows for better comparison among companies operating in different tax environments.

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True or False

ABC Footwear has recently entered the athletic footwear industry. Since most of its competitors are pursuing a broad differentiation strategy and doing well, ABC Footwear also wants to adopt the same strategy. Based on this scenario, answer the true/false question below. ABC Footwear will be able to create higher value for its customers.

Answers

TrueABC Footwear will be able to create higher value for its customers if it adopts a broad differentiation strategy, given that most of its competitors in the athletic footwear industry are pursuing this strategy and are doing well.What is the broad differentiation strategy A broad differentiation strategy refers to a plan of creating a unique product line or brand in the market that satisfies a wide range of customers with varying preferences and needs.

This strategy is designed to appeal to a large number of customers who are willing to pay a premium price for a product or service that stands out from the rest of the offerings in the market. This involves creating a product with unique features, design, or quality that are different from its competitors.

A value proposition is a statement that highlights the unique benefits or value that a product or service offers to its customers. The value proposition is what sets a business apart from its competitors. Customers are more likely to choose a product or service that they believe offers them greater value than its competitors. Therefore, creating a value proposition is crucial for any business that wants to succeed.

A broad differentiation strategy allows a business to create a product or service that is unique and different from its competitors. This uniqueness makes the product more valuable to customers, which enables the business to charge a premium price for the product.

The higher price charged by the business is justified by the unique features, quality, and design of the product or service. Therefore, a broad differentiation strategy creates higher value for customers by providing them with a unique product that is superior to what is available in the market.

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True.

Since most of its competitors are pursuing a broad differentiation strategy and doing well, ABC Footwear also wants to adopt the same strategy. ABC Footwear will be able to create higher value for its customers.

Adopting a broad differentiation strategy would allow ABC Footwear to create higher value for its customers.

Differentiation refers to the process of adding unique characteristics to a product or service to distinguish it from similar offerings. The primary goal of differentiation is to provide customers with additional value that other brands do not offer.

Companies can differentiate their products or services in various ways, including quality, design, customer service, and other features. A broad differentiation strategy entails developing unique and innovative products that cater to a broad audience.

ABC Footwear's main competitors are pursuing a broad differentiation strategy and performing well, indicating that this is a viable strategy for the athletic footwear industry.

ABC Footwear's entry into the industry will necessitate the use of a similar strategy to compete .

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Using the CAPM, estimate the appropriate required rate of return for the three stocks listed here, given that the risk free rate is 3 percent, and the expected return for the market is 12 percent.
stock beta
HCA 1.41
Tenet 2.41
CHS 1.54
What is the required rate of return for and ?
Note: format is x×.x%

Answers

Therefore, the required rate of return for HCA is approximately 15.69%, for Tenet is approximately 24.69%, and for CHS is approximately 16.86%.

To estimate the required rate of return using the CAPM (Capital Asset Pricing Model), we can use the formula:

Required Rate of Return = Risk-Free Rate + Beta × (Expected Market Return - Risk-Free Rate)

Given that the risk-free rate is 3% and the expected return for the market is 12%, we can calculate the required rate of return for each stock:

1. For HCA (with a beta of 1.41):
Required Rate of Return for HCA = 3% + 1.41 × (12% - 3%)
                            = 3% + 1.41 × 9%
                            = 3% + 12.69%
                            ≈ 15.69%

2. For Tenet (with a beta of 2.41):
Required Rate of Return for Tenet = 3% + 2.41 × (12% - 3%)
                              = 3% + 2.41 × 9%
                              = 3% + 21.69%
                              ≈ 24.69%

3. For CHS (with a beta of 1.54):
Required Rate of Return for CHS = 3% + 1.54 × (12% - 3%)
                            = 3% + 1.54 × 9%
                            = 3% + 13.86%
                            ≈ 16.86%

Therefore, the required rate of return for HCA is approximately 15.69%, for Tenet is approximately 24.69%, and for CHS is approximately 16.86%.

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(Future value of a complex annuity) Springfield mogul Montgomery Bums, age 85, wants to retire at age 100 so he can steal candy from babies full fime. Once Mr. Burns retires, he wants to withdraw $1.1 bilion at the boginning of each year for 8 years from a special offshore account that will pay 24 percent annualiy. In order to fund his retrement, Mr. Burns wil make 15 equal end-of-the-yenr deposits in this same special acoount that will pay 24 percent annually. How much money will Mr. Bums need at age 100 , and how large of an annual deposit must he make to fund this retirement account?
a. If the retirertent account will pay 24 percont annually, how much money will Mr. Bums need when he relires? $____bilion (Round to throe decimal places)

Answers

If the retirement account will pay 24 percent annually, Mr. Burns will need approximately $22.904 billion when he retires.

Mr. Burns  bond at retirement

To calculate the future value of the retirement account, we can use the formula for the future value of an annuity:

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

Where:

FV = Future Value

P = Annual deposit

r = Interest rate per period

n = Number of periods

Mr. Burns wants to withdraw $1.1 billion at the beginning of each year for 8 years, and the interest rate is 24% annually. The future value is calculated as:

FV = $1.1 billion * [(1 + 0.24)^8 - 1] / 0.24

Calculating this expression:

FV = $1.1 billion * [4.9675] / 0.24

FV ≈ $22.904 billion

Therefore, Mr. Burns will need approximately $22.904 billion when he retires.

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Problem 3 3 points A manufacturer has decided to locate a new factory in the northwest U.S. to serve growing demand in that market. They have narrowed the potential sites down to two finalists, City A

Answers

City A presents a compelling case as a potential site for the manufacturer's new factory.

City A offers several advantages as a potential site for the manufacturer's new factory in the northwest U.S.These advantages make it a strong contender for consideration.

Firstly, City A's strategic geographical location plays a significant role. It is situated in close proximity to major transportation networks, including highways, railways, and airports.

This facilitates efficient distribution of products to the target market, reducing transportation costs and improving overall logistics. Additionally, City A's location may provide access to nearby ports or waterways, enabling international shipments and expanding the company's reach.

Secondly, City A boasts a robust and skilled workforce. It is home to renowned educational institutions and vocational training centers, ensuring a pool of qualified and educated talent.

This availability of skilled labor is essential for the manufacturer to meet production demands and maintain high-quality standards. Moreover, City A's strong work ethic and manufacturing culture may foster a productive and motivated workforce.

Furthermore, City A offers a business-friendly environment. It may provide tax incentives, grants, or other favorable policies to attract and support businesses.

These incentives can reduce operational costs and provide a competitive advantage for the manufacturer, leading to improved profitability and sustainability.

Lastly, City A's infrastructure and utilities are well-developed. It has reliable and ample access to electricity, water, and other essential resources necessary for manufacturing operations.

This infrastructure readiness ensures uninterrupted production and minimizes potential disruptions or downtime.

City A presents a compelling case as a potential site for the manufacturer's new factory.

Its strategic location, skilled workforce, business-friendly environment, and robust infrastructure make it well-suited to meet the growing demand in the northwest U.S. market effectively.

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If the rate of inflation is 5.4%, what nominal interest rate is necessary for you to earn a 2.4% real interest rale on your investment?

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The required answer to this question is a nominal interest rate of 7.8% in order to earn a real interest rate of 2.4% on your investment, considering an inflation rate of 5.4%.

To calculate the nominal interest rate necessary to earn a specific real interest rate on your investment, you need to account for the rate of inflation.

The real interest rate is the nominal interest rate adjusted for inflation. It represents the rate of return on an investment after accounting for the decrease in purchasing power caused by inflation.

Nominal Interest Rate = Real Interest Rate + Inflation Rate

Nominal Interest Rate = 2.4% + 5.4%

Nominal Interest Rate = 7.8%

Therefore, you would need a nominal interest rate of 7.8% in order to earn a real interest rate of 2.4% on your investment, considering an inflation rate of 5.4%.

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Every day, the Receptionist opens the mail and puts the envelopes containing customer checks in a separate pile. The mail without customer checks goes to the Office Assistant. Then, the Receptionist separates the remittance slips from the checks, stamps the checks For Deposit Only, and enters the checks into a Daily Cash Receipts Log. The checks, remittance slips, and log are sent to the Cashier who creates a deposit slip, makes a copy of the deposit slip and Daily Cash Receipts Log, takes the checks and deposit slip to the bank, and sends the copy of the deposit slip with the remittance slips and the Daily Cash Receipts Log copy to the Accounts Receivable Clerk. The original Daily Cash Receipts Log is filed in the Daily Cash Receipts file cabinet by date. The Accounts Receivable Clerk enters the deposit in the Accounts Receivable program which adds a record to the Cash Receipts file and updates the Accounts Receivable file. Then, the Accounts Receivable Clerk posts the cash receipts to the General Ledger program which updates the General Ledger file. The deposit slip, remittance slips, and Daily Cash Receipts Log are filed in the Accounts Receivable file cabinet by date. After month-end closing, the Accounts Receivable Manager first generates, and then prints, Customer Statements using the Accounts Receivable program which reads the Accounts Receivable and Customer files. The first copy is sent to the Customer, the second copy is sent to the Accounts Receivable Clerk, and the thigd copy is filed in the Customer Statements file cabinet by customer name.l

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Human resources management involves the effective management of an organization's employees to maximize their performance and contribution to the company's goals. It encompasses various functions such as recruitment, training and development, performance management, compensation and benefits, and employee relations.

What are the 5 key areas of a company that human resources management covers?

Human resources management covers five key areas within a company:

Recruitment and Selection: This involves identifying job vacancies, attracting and assessing candidates, and making hiring decisions.

Training and Development: HR ensures that employees receive the necessary training and development opportunities to enhance their skills and capabilities for their current and future roles.

Performance Management: HR establishes performance goals and provides feedback and evaluations to employees. They also handle performance improvement plans and recognize outstanding performance.

Compensation and Benefits: HR manages employee compensation, including salary, bonuses, and benefits packages. They ensure compliance with legal requirements and industry standards.

Employee Relations: HR handles employee relations issues, such as conflict resolution, disciplinary actions, and fostering a positive work environment. They also address employee grievances and facilitate communication between employees and management.

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Raspberry Phones uses external data to forecast the coming years sales. The company has 8.4% of all new-phone sales in the united states and 5.8% of all replacement-phone sales. Industry forecasts predict 17.5 million new-phone buyers and 31.4 million replacement-phone buyers in 2014. If the average Raspberry phone costs $87.55, what sales revenues is the company forecasting for 2014?

Answers

The sales revenue that Raspberry Phones is forecasting for 2014 is $306,697,960.

Raspberry Phones use external data to forecast the coming year's sales. The company has 8.4% of all new phone sales in the United States and 5.8% of all replacement phone sales. Industry forecasts predict 17.5 million new phone buyers and 31.4 million replacement phone buyers in 2014.

In order to calculate the sales revenues that Raspberry Phones is forecasting for 2014, we need to determine the total number of new phones and replacement phones sold. Once we have this information, we can multiply it by the average cost of a Raspberry phone to determine the company's forecasted sales revenue.

Let's start with the new phones. According to the industry forecast, there will be 17.5 million new phone buyers in 2014. Since Raspberry Phones has 8.4% of the new phone market, we can calculate the number of new Raspberry phones sold by multiplying the total number of new phone buyers by 8.4%:17.5 million x 0.084 = 1,470,000 new Raspberry phones sold.

Next, let's calculate the number of replacement phones. The industry forecast predicts 31.4 million replacement phone buyers in 2014. Since Raspberry Phones has 5.8% of the replacement phone market, we can calculate the number of replacement Raspberry phones sold by multiplying the total number of replacement phone buyers by 5.8%:31.4 million x 0.058 = 1,819,200 replacement Raspberry phones sold.

Now that we know how many new and replacement Raspberry phones will be sold, we can calculate the total sales revenue for the company by multiplying the number of phones sold by the average cost of a Raspberry phone:$87.55 x (1,470,000 + 1,819,200) = $306,697,960.

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A monopolist's inverse demand function is estimated as P=200−2Q. The company produces output at two facilities; the marginal cost of producing at facility 1 is MC 1​(Q 1​)=6Q 1​, and the marginal cost of producing at facility 2 is MC 2​(Q 2​)=4Q 2​. a. Provide the equation for the monopolist's marginal revenue function. (Hint: Recall that Q 1​+Q 2​=Q 1​) MR(Q)=−Q 1​−Q 2​b. Determine the profit-maximizing level of output for each facility. Instructions: Round your response to two decimal places. Output for facility 1 : Output for facility 2 : c. Determine the profit-maximizing price. Instructions: Round your response to the nearest penny (two decimal places). $

Answers

The monopolist's marginal revenue function can be derived from the inverse demand function by differentiating it with respect to quantity and multiplying by -1. In this case, the monopolist's marginal revenue function is MR(Q) = -Q1 - Q2

To determine the profit-maximizing level of output for each facility, we need to find the quantity that maximizes the difference between marginal revenue and marginal cost for each facility.

For facility 1, we set MR(Q1) equal to MC1(Q1):

-Q1 - Q2 = 6Q1

Simplifying the equation, we get:

7Q1 + Q2 = 0

For facility 2, we set MR(Q2) equal to MC2(Q2):

-Q1 - Q2 = 4Q2

Simplifying the equation, we get:

Q1 + 5Q2 = 0

Solving these two equations simultaneously will give us the profit-maximizing levels of output for each facility.

To determine the profit-maximizing price, we substitute the quantities obtained from the previous step into the inverse demand function. Let's assume the quantities obtained are Q1* and Q2*.

P = 200 - 2Q

Substituting Q1* and Q2* into the equation, we get:

P = 200 - 2(Q1* + Q2*)

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Conducting a full feasibility assessment to support information systems for human resource management in Shell Petroleum The following must be included:
a. Technical feasibility (400 WORDS )
B. Operational feasibility (400 WORDS )
c. Economic Feasibility (Cost-Benefit Analysis) (400 WORDS )

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Technical feasibilityThe technical feasibility aspect of information systems for human resource management in Shell Petroleum should address concerns on whether the technology required for the HR system development is available or can be developed within the company.

Some of the technical issues include the network infrastructure, hardware, software, and skills needed to create the HR management system. The following areas can be considered to determine technical feasibility:Hardware: The company has to consider whether the current hardware is sufficient or new hardware is required to support the system. If new hardware is needed, Shell Petroleum should consider if it has the capacity to purchase or lease new equipment for the system's deployment.Software: The development of a HR management system requires specific software tools, which must be identified. Shell Petroleum needs to check whether the required software tools are available or have to be created. If the software tools have to be created, the company must evaluate the skills required for the development of the software.Network infrastructure: The network infrastructure is critical for the HR management system. Shell Petroleum should consider if the current infrastructure can handle the additional load or new infrastructure must be established.Skills: The HR management system requires specific skills for the development, implementation, and maintenance. Shell Petroleum needs to evaluate whether it has the right skills in-house or it has to outsource or hire new employees to support the system development and maintenance.Operational feasibilityThe operational feasibility aspect of the HR management system in Shell Petroleum should address whether the system will be operational with the current processes and procedures. The following areas can be considered to determine operational feasibility:

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You plan to buy a residential property that will provide a weekly income of $629 per week. You are expecting the rent will increase at 6.3% per annum for the next 3 years. What is the annual income that you expect to receive at the end of year 3?

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At the end of year 3, you can expect an annual income of approximately $39,282.68 from the residential property.

To calculate the annual income expected at the end of year 3, calculate the future rent after the expected increase of 6.3% per annum for 3 years.

Let's break down the calculation step by step:

1. Calculate the rent increase for each year:

  Year 1: $629 + ($629 * 6.3%) = $629 + ($629 * 0.063) = $629 + $39.627 = $668.63

  Year 2: $668.63 + ($668.63 * 6.3%) = $668.63 + ($668.63 * 0.063) = $668.63 + $42.158 = $710.79

  Year 3: $710.79 + ($710.79 * 6.3%) = $710.79 + ($710.79 * 0.063) = $710.79 + $44.797 = $755.59

2. Calculate the annual income at the end of year 3:

  Annual Income = Rent at the end of Year 3 * Number of Weeks in a Year

  Annual Income = $755.59 * 52 = $39,282.68

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Traditional 401(k) versus Roth 401(k) 
Gilberto has decided to contribute to a savings program. He can open a traditional 401(k) or a Roth 401(k) and has determined that he can afford a $14,400 contribution. Giberto's salary is $106,500 per year, and he is in the 32% tax bracket.
If Glberto decides to go with a traditional 401(k), his contribution amount will be And the amount offet via a reduced tax bill will be ________
If, instead, Giberto decides to go with a floth 401(k), his contribution amount will be ______
And the amount offset via a reduced tax bill will be _________
Assuming all the same facts, suppose that Giberto decides to open both 401(k) plans, splitting what he can afford to contribute equally between both plant.
Under this scenario, Gilberto's comenbution amount will be______
And the amount offet via a reduced tax bill will be ______
When Giberto retices, which plan's monies will the be able to exclude from taxable income? _________

Assuming all the same facts, suppose that Giberto decides to open both 401(k) plans, splitting what he can afford to contribute equally between both glans.
Under this scenario, Gilberto's contribution amount will be And the amount offset via a reduced tax bill will be ________
When Gilberto retires, which plan's monies will he be able to exclude from taxable income?__________

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Traditional 401(k) versus Roth 401(k): Gilberto has decided to contribute to a savings program. He can open a traditional 401(k) or a Roth 401(k) and has determined that he can afford a $14,400 contribution.

Giberto's salary is $106,500 per year, and he is in the 32% tax bracket. If Gilberto decides to go with a traditional 401(k), his contribution amount will be $14,400, and the amount offset via a reduced tax bill will be $4,608 (32% of $14,400).

If Gilberto decides to go with a Roth 401(k), his contribution amount will be $10,080 (since it is post-tax). Assuming all the same facts, suppose that Giberto decides to open both 401(k) plans, splitting what he can afford to contribute equally between both plants.

Under this scenario, Gilberto's contribution amount will be $7,200 ($14,400/2), and the amount offset via a reduced tax bill will be $2,304 ($4,608/2). When Gilberto retires, the plan's monies that he will be able to exclude from taxable income will be the Roth 401(k) plan's monies since taxes were already paid on them, and there will be no tax liability on withdrawing money from the Roth 401(k) account.

Therefore, in order to achieve tax diversification and provide flexibility for tax planning in retirement, it is ideal to contribute to both the traditional and Roth 401(k) plans.

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Use evidence-based practice and practice-based evidence to advocate for policy action that advances the well-being of vulnerable populations.

Answers

Evidence-based practice and practice-based evidence can be leveraged to advocate for policy action that promotes the well-being of vulnerable populations. By combining rigorous research findings with on-the-ground experiences and expertise, policymakers can make informed decisions and implement effective interventions that address the specific needs of these populations.

Evidence-based practice involves the integration of the best available research evidence, clinical expertise, and patient values to inform decision-making and improve outcomes in healthcare and social services. It emphasizes the use of rigorous scientific studies and systematic reviews to guide interventions and policies. By utilizing evidence-based practice, policymakers can rely on high-quality research findings to understand the specific challenges faced by vulnerable populations and identify effective strategies to address them.

Practice-based evidence, on the other hand, refers to the knowledge gained from the experiences and observations of practitioners working directly with vulnerable populations. It recognizes that the complexity and context-specific nature of many social issues may not be fully captured by traditional research methodologies. Practice-based evidence provides valuable insights into the real-world effectiveness of interventions and the unique needs and preferences of vulnerable populations.

To advocate for policy action, it is crucial to combine evidence-based practice with practice-based evidence. Policymakers can consult research studies, systematic reviews, and meta-analyses to identify evidence-based interventions that have been proven to be effective in improving the well-being of vulnerable populations. Additionally, engaging practitioners, community members, and representatives of vulnerable populations in the policymaking process ensures that the policies and interventions are informed by the on-the-ground experiences and expertise of those directly involved.

Advocacy efforts can involve disseminating research findings, sharing practice-based evidence, and collaborating with stakeholders to develop policy recommendations. By combining evidence-based practice with practice-based evidence, policymakers can make informed decisions that address the unique needs of vulnerable populations and promote their well-being. This approach not only increases the likelihood of successful policy implementation but also ensures that policies are responsive to the diverse realities and challenges faced by vulnerable populations.

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f supply is elastic and there is an increase in demand, then there will be a

Select one:

Small increase in both price and quantity

Small increase in price and a large increase in quantity

Large increase in price and a small increase in quantity

Large increase in both price and quantity

Answers

If supply is elastic and there is an increase in demand, then there will be a small increase in price and a large increase in quantity. This is because elastic supply, a change in demand will result in a larger change in quantity supplied but a smaller change in price.

In economics, the elasticity of supply measures how responsive the quantity supplied of a good is to a change in its price. When supply is elastic, it means that the quantity supplied of a good or service is highly responsive to a change in its price. In contrast, when supply is inelastic, it means that the quantity supplied of a good or service is not very responsive to a change in its price.

This is because the producer is unable to increase the quantity supplied of the good in response to the change in demand as the production process is fixed. In conclusion, if supply is elastic and there is an increase in demand, the price of the good or service will increase only slightly, while the quantity supplied will increase significantly.

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Which differentiation rule (forward, backward, 3 point, or 5 point) would the most efficient to use in terms of computational performance and accuracy? Please explain f(x)=14x²+11.33x−11

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The most efficient differentiation rule to use in terms of computational performance and accuracy would be the three-point differentiation rule. This differentiation rule provides an accurate approximation with relatively fewer calculations.

The given function is, f(x) = 14x² + 11.33x - 11

For the 3-point differentiation rule, the formula is given by

f′(x) = [f(x + h) - f(x - h)] / 2h, where h is the step size.

Substituting the values in the above formula:

f′(x) = [f(x + h) - f(x - h)] / 2h= [14(x + h)² + 11.33(x + h) - 11 - (14(x - h)² + 11.33(x - h) - 11)] / 2h

= [14(x² + 2xh + h²) + 11.33x + 11.33h - 11 - (14(x² - 2xh + h²) + 11.33x - 11.33h - 11)] / 2h

= [14x² + 28xh + 14h² + 11.33x + 11.33h - 11 - 14x² + 28xh - 14h² + 11.33x - 11.33h - 11] / 2h

= (28xh + 22.66x) / 2h= 14x + 11.33 / h

The four differentiation rules, i.e., forward, backward, 3-point, and 5-point, provide an accurate approximation of the derivative of a given function. These rules are used in numerical analysis to calculate the derivative of a function when the analytic solution is not feasible or not known.In terms of computational performance and accuracy, the three-point differentiation rule is the most efficient rule. It provides an accurate approximation of the derivative of a given function with relatively fewer calculations.

The three-point differentiation rule requires the calculation of two function values, i.e., f(x + h) and f(x - h), and the division of their difference by two times the step size. The step size determines the accuracy of the approximation; smaller the step size, higher the accuracy. However, a very small step size may lead to numerical errors due to the presence of round-off errors.

The four-point and five-point differentiation rules provide more accurate approximations than the three-point rule. However, they require a higher number of calculations and hence, are computationally expensive. The forward and backward differentiation rules require only one function value and provide a simple and fast approximation. However, their accuracy is low as compared to the three-point, four-point, or five-point differentiation rules.

In conclusion, the three-point differentiation rule is the most efficient differentiation rule to use in terms of computational performance and accuracy for the given function. It provides an accurate approximation of the derivative of a given function with fewer calculations as compared to the four-point or five-point differentiation rules. The step size must be chosen appropriately to balance the trade-off between accuracy and numerical errors due to round-off errors.

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Ch 1 Problem Set B Problem 1-3 Requirements: 1. For each account listed in the table above, identify what type of account it is. 2. Using the amounts in the table above and the accounting equation, compute the amounts for the following items: a. Total Expenses b. Net Income c. Total Assets d. Ending Retained Earnings e. Stock Problem 1-4 During 2020, Dublin Corporation paid $7,000 in dividends. Requirements 1. Calculated Retained Earnings for 12/31/19 and 12/31/20 2. Calculate Dublin's net income for 2020.

Answers

The net income for Dublin Corporation in 2020 is $39,000.

Problem Set B Problem 1-3 Requirement  1. For each account listed in the table above, identify what type of account it is. Assets- Cash, Accounts Receivable, Land, Building, Equipment, Accounts Payable Liabilities- Capital, Retained Earnings Equity- Requirement

2. Using the amounts in the table above and the accounting equation, compute the amounts for the following items:

a. Total Expenses - $24000

b. Net Income - $14,000

c. Total Assets - $110,000

d. Ending Retained Earnings - $27,000

e. Stock - $30,000

Problem 1-4 During 2020, Dublin Corporation paid $7,000 in dividends.

Requirement 1. Calculated Retained Earnings for 12/31/19 and 12/31/20Retained earnings (RE) is an account balance that shows the income earned, losses suffered, and dividends paid by a company over the years.

Retained earnings on December 31, 2019 is calculated as:[tex]RE(12/31/2019) = $60,000 – $17,000 = $43,000[/tex]Retained earnings on December 31, 2020 is calculated as:[tex]RE(12/31/2020) = $63,000 – $17,000 – $7,000 = $39,000[/tex]Requirement

2. Calculate Dublin's net income for 2020.Net income (NI) refers to the profit that a company generates from its business operations after subtracting expenses from revenue. It is computed using the following formula:Net income = Revenue – ExpensesIn this case, the net income for Dublin Corporation in 2020 is calculated as:Net income =[tex]$63,000 – $24,000 = $39,000[/tex]

Therefore, the net income for Dublin Corporation in 2020 is $39,000.

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Outline the factors at the disposal of a manager that make managing change effective. A 24 - ft ladder leans against a building so that the angle between the ground and the ladder is 63 . How high does the ladder reach on the building? __________ft. Give your answer accurate to one decimal place. IDENTIFY THE FOLLOWING AS A SPECIALIZED INDUSTRY (SI) ORREGULATORY AGENCY (RA). PLEASE USE THE ACRONYM TO ANSWER THEQUESTIONS. Healthcare______ A person may disaffirm (avoid) a contract made when he/she was a minor: A) on his/her 18 th birthday B) one year from the date the contract was made C) for a reasonable period of time after reaching 18 years of age D) 30 days from learning of his/her right to disaffirm (avoid) Question 16 (Mandatory) (3 points) A minor cannot disaffirm (avoid) a contract to purchase a car if the: A) car has been stolen B) minor has the car but simply refuses to return it C) car has been destroyed D) car has been damaged in an accident human resource leaders are concerned about which of the following, in regard to people analytics? Modify only the function my_convolve2d() in "HW_1.ipynb". The equation should be as follows. Using a library that performs convolution is not allowed. out(m,n)= i=0 hM1 j=0 hN1 x(m+i,n+j)h(hM1i,hN1j) 1. save the original and filtered image as png. 2. save the figure as png with dpi 300 . 3. include all results and code in the pdf file. In [ ]: import numpy as np from PIL import Image import matplotlib.pyplot as plt from scipy. signal import convolve2d In [ ]: def my_convolve2d (x,h) : [xM,xN]=x, shape [hM,hN]=h. shape x=np,pad(x, copy (),((hM1,hM1),(hN1,hN1))) #pad the ge to apply 2d convolution out =np.zeros([xM+hM1,xN+hN1]) #initialize the ut return out "Under no taxes and no costs of financial distress, increase in a firm's leverage"a. will leave both WACC and cost of equity unaffectedb. will leave WACC unaffectedc. will decrease its WACCd. will increase its WACC but leave the cost of equity unaffectede. will increase its WACC A bag contains six gold coins and four silver coins. You draw five coins at random and place them in order on the table. Given that no coin is next to a coin of the same colour, what is the probability that the first coin is gold? Select one: a. 2/3 b. 1/3 c. 3/5 d. 1/2 e. None of the other choices If you want to set up a new company, does it make sense to startwith the mission and vision? Why or why not? On August 9, 2018, IKEA inaugurated their first location in India. IKEA established its second location in Mumbai on December 18, 2020, and on December 9, 2021, it opened its third location and its first "city-store" of a more convenient form in Worli, Mumbai. By 2028, IKEA intends to have 30 locations. The IKEA mall division of Ingka made an announcement in December 2021 that it would open two more IKEA stores in malls in Gurugam and Noida. With one store opening in Mumbai by 2022, both malls are anticipated to open by 2025. Ikea is investing $1.5 billion in India, but analysts predict it would take the company, which is present in 49 countries, several years before it starts to see a meaningful return on that investment.The retailer of home products has already invested up to $750 million in the acquisition of sites in India for four stores, including the enormous, brand-new 37,160-square-meter (400,000-square-foot) branch in Hyderabad. Ikea will sell more than 1,000 items for less than Rs 200 ($2.91), but industry analysts say it must strike a delicate balance between pricing products affordably for budget-conscious consumers and expensively enough to appeal to the wealthy with high status It will be challenging for Ikea to attract Indians away from trusted local furniture manufacturers, according to retail experts.There are many small, family-run businesses in Indian villages and cities whose proprietors would visit your home and then customize furniture based only on your unique furnishing requirements.To better understand what Indian shoppers desire, a Swedish company visited more than a thousand homes. Ikea will provide things made specifically for the Indian market, such kitchenware for preparing traditional rice cakes, but experts caution that convincing customers to forego their go-to woodworker in favor of larger items will be difficult and take time. With its extensive selection of affordable ready-to-assemble furniture, Ikea transformed the furniture-buying process in the West. However, many Indians would wonder why they must construct their own furniture.India is not well-known for its "DIY" culture since there is an abundant supply of cheap labor there. Ikea has collaborated with UrbanClap, an online community that facilitates connections, because it is concerned that this may drive off certain customers However, analysts warn that the lack of UrbanClap in lesser-known cities could be problematic. It has taken a while for IKEA to open shop in India. After the government denied its proposal to alter the requirements on buying locally, the company ran into difficulties a few years ago. The popularity of online furniture companies like Pepperfry and UrbanLadder in major cities has raised competition for IKEA in the nation. But local and unorganized retailers continue to hold a greater proportion of the market share for furnishings.From the above case:1. Prepare a SWOT analysis of IKEA in India and evaluate the strengths, weaknesses, opportunities, and threats. Please support your points using evidence from the case2. Assess the external environment in India using PESTEL. Include 2 points ONLY for each factor