GL1201 (Algo) - Based on Exercise 12−11 LO P2, P3, A1 Use the following financial statements and additional information. Additional Information a. A $45,000 note payable is retired at its $45,000 carrying (book) value in exchange for cash. b. The only changes affecting retained earnings are net income and cash dividends paid. c. New equipment is acquired for $64,000 cash. d. Received cash for the sale of equipment that had cost $53,000, yielding a $2,700 gain. e. Prepaid Expenses and Wages Payable relate to Other Expenses on the income statement. f. All purchases and sales of inventory are on credit. Using the income statement, the comparative balance sheet, and the additional information given abovi the summarized activity of the current fiscal year. Upon completion, the trial balance tab should balances. Post-closing Posteclosing

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Answer 1

GL1201 (Algo) - Based on Exercise 12−11 LO P2, P3, A1 .The information provided above can be used to prepare a post-closing trial balance. The post-closing trial balance includes permanent accounts and balance sheet accounts.

Temporary accounts such as revenues, expenses, and dividends are not included in the post-closing trial balance.The effect of each transaction on each account can be recorded in the table given below.

Accounts Dr. (+)Cr. (-)Cash+$64,000$45,000+2,700

Accounts Receivable - Inventory- Accounts Payable- Wages Payable+ Prepaid Expenses- Long-term Notes Payable- Retained Earnings- Gain on Sale of Equipment+$2,700- Cost of Goods Sold- Gross Profit- Other Expenses- Net Income- Dividends- Retained Earnings- New Equipment+$64,000- Loss on Retirement of Notes Payable+$45,000- Totals$64,000$64,000+$2,700+$45,000

From the above table, it can be concluded that the balance of all accounts is equal. Thus, the post-closing trial balance tab should balance.

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Related Questions

The figure below illustrates the market for years of education beyond that mandated by the government. Education creates positive externalities, for example, because people with more education lead to a better qualified and more productive workforce. If people do not consider the external benefits of education, then the market equilibrium price is $16,000 per year, and four years of education are consumed. In this scenario, suppose that the external benefit is $4,000 per year of education. On the graph below, first use the straight-line tool to draw the social demand curve reflecting the internal and external benefits of education, from one year of education to seven years of education. Then use the area tool to shade in the area representing the deadweight loss that occurs at the market equilibrium. To refer to the graphing tutorial for this question type, please click here. Part 2 (2 points)See Hint Suppose that in order to provide people with the incentive to internalize the external benefits associated with education, the government provides a subsidy of $4,000 to people who go to school. The socially optimal price or cost of a year of education is $ 18000 . Given that consumers receive a $4,000 subsidy, the net price or cost to consumers is $ 14000 . Education Price (in $1,000s) 32 30 S1 28 (65, 29.0) 26 24 22 20 18 16 14 12 10 8 4 Dint 2 0 3 2 25 gy 5 5 5 G Years of education

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The graph above displays the market for years of education beyond that mandated by the government. Education creates positive externalities, such as a better qualified and more productive workforce, and as a result, the market equilibrium price is $16,000 per year, and four years of education are consumed.

The external benefit is $4,000 per year of education. A social demand curve should be created using the straight-line tool to reflect the internal and external benefits of education, from one year of education to seven years of education. The area tool should then be used to fill in the deadweight loss that occurs at the market equilibrium.

When the government gives a $4,000 subsidy to individuals who attend school, it will offer them an incentive to internalize the external benefits associated with education.The net cost to consumers of a year of education is $14,000, which is $18,000 minus the $4,000 government subsidy.

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You are told the effective interest rate on an account is 3.7%, if the interest is compounded continuously. What is the annual percentage rate for the account? Give your answer to four decimal places. The annual percentage rate is %

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The annual percentage rate for the account is 3.745% (rounded to four decimal places).

The annual percentage rate (APR) is the interest rate charged on the account principal. To compute APR for a continuously compounded interest rate of 3.7%, we can use the formula:

[tex]APR = (e^r - 1) x 100[/tex] where "r" is the effective annual interest rate and "e" is a mathematical constant equal to 2.71828. To find APR from a continuously compounded interest rate of 3.7%, substitute r = 0.037 into the formula:

APR =[tex](e^0.037 - 1) x 100 = (1.03745 - 1) x 100[/tex]

= 3.745%.

The APR is much higher than the effective interest rate since compounding continuously will lead to a higher yield as compared to the other compounding periods.

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Based on the following
The project KPIs are part of a measurement hierarchy that must be understood. Business outcomes support an organization’s strategic goals, project objectives support the business outcomes, and KPIs support the project objectives. If, for instance, a strategic goal for an enterprise is to be the leader in a particular market segment, a business outcome in support of that strategic goal would be first-to-market advantage with new products or offerings. A project objective would, in turn, have to quantitatively define the project completion date that ensures first-to-market position for the project outcome. Two important project KPIs would likely complete the measurement hierarchy: performance to schedule and resource allocation percentage. (If resources are not close to 100% allocated to plan, the schedule likely will suffer.) The KPIs identified in the project dashboard should directly measure performance toward achieving the project objectives documented in the project strike zone. Since resources are geographically distributed on a virtual project, resource utilization should always be viewed as a must-have performance indicator for any virtual project.

With this in mind,

1. Which of the following support "KPI's" within the measurement hierarchy?

Select one:

a.Strategic goals

b.Project objectives

c.Business outcomes

d.Global management processes

Answers

The elements that support "KPIs" within the measurement hierarchy are strategic goals, project objectives, and business outcomes.

Within the measurement hierarchy, strategic goals, project objectives, and business outcomes all play a role in supporting the Key Performance Indicators (KPIs). Strategic goals are the high-level objectives that an organization aims to achieve, providing the overall direction for the organization. Project objectives, on the other hand, are the specific goals set for a project to support the strategic goals and contribute to the desired business outcomes. These project objectives are typically defined in quantifiable terms, allowing for effective measurement of progress.

Business outcomes are the results or achievements that support the organization's strategic goals. They are the tangible benefits that the organization expects to gain as a result of successful project execution. In the given example, the business outcome of achieving a first-to-market advantage with new products or offerings supports the strategic goal of being a leader in a specific market segment.

The KPIs, such as performance to schedule and resource allocation percentage, are the specific metrics used to measure the performance and progress of the project towards achieving its objectives and, ultimately, the desired business outcomes. These KPIs provide quantifiable indicators of success and help monitor the project's performance and alignment with the strategic goals.

Global management processes, although important for overall organizational effectiveness, are not specifically mentioned as supporting KPIs within the measurement hierarchy in the given information. However, they may indirectly impact the project's success by providing necessary support and alignment across global teams and processes.

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Use the following figure to answer the next question.

A u-shaped curve labeled ATC is drawn to the right of another u-shaped curve labeled AVC. Third narrow u-shaped curve, near to origin is labeled MC and intersects AVC and ATC at points B and C, respectively. MC has data points labeled as A (at the trough of MC), B and C (intersection points), and D (to the right of AVC and ATC curves).

At which point does marginal cost (MC) equal average variable cost (AVC)?

Multiple Choice

O Point A
O Point B
O Point C
O Point D

Answers

The answer to the question is point B. The point at which marginal cost (MC) equals average variable cost (AVC) is the minimum point of the AVC curve and hence lies on the intersection of MC and AVC.

Point B on the graph shows the intersection of the two curves, AVC and MC. The coordinates of Point B are (Q, C) where Q is the quantity of the goods produced and C is the cost of producing those goods.

MC = AVC at point B.

MC is the cost incurred by the firm for producing an additional unit of output, while AVC is the average cost of producing a unit of output. Hence the point at which MC = AVC is essential to calculate the profits earned by the company.Point B on the graph shows the intersection of the two curves, AVC and MC. The coordinates of Point B are (Q, C) where Q is the quantity of the goods produced and C is the cost of producing those goods.

MC = AVC at point B.

Therefore, the point at which marginal cost (MC) equals average variable cost (AVC) is the minimum point of the AVC curve and hence lies on the intersection of MC and AVC.

Therefore, the correct answer to this question is option B, point B.

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maslow's approach to personality is based on his idea that

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Maslow's approach to personality is based on the idea that individuals have a hierarchy of needs, and their behavior is driven by the pursuit of fulfilling those needs, leading to self-actualization.

Maslow's approach to personality is based on his idea that individuals have a hierarchy of needs that motivates their behavior and drives their personal growth. This theory is known as Maslow's Hierarchy of Needs.

According to Maslow, individuals have a set of basic physiological and safety needs that must be fulfilled before they can move on to higher-level needs. These basic needs include things like food, water, shelter, and a sense of safety. Once these needs are met, individuals strive to fulfill their psychological needs for love, belonging, self-esteem, and achievement. Finally, at the top of the hierarchy, Maslow proposed the concept of self-actualization, which represents the need for personal growth, fulfillment, and the realization of one's full potential.

Maslow believed that as individuals progress through the hierarchy, their personalities develop and change. He argued that people are driven by an innate desire for self-improvement and self-fulfillment. The satisfaction of lower-level needs paves the way for the pursuit of higher-level needs, ultimately leading to self-actualization.

In summary, Maslow's approach to personality is based on the idea that individuals are motivated to fulfill a hierarchy of needs, with self-actualization being the ultimate goal.

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i. Develop an ABC classification for these items (10marks) 11 Explain (wo (2) ways in which manacer ind .". this information (2marks) Quevion 6 II archousing is part of a firm's logistics system that stores products (rah maierials. parts, goods-in-process, finished goods) at and between point of origin and point of consumption, and provides information to management on the status, condition and disposition of items being stored. Warchouse is sometimes used interchangeably with distribution centre. a. Distinguish between a warehouse and a distribution centre. (5marks) b. Discuss four (4) value-added activities that can be performed by warehouses and distribution centres. (IOmarks)

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ABC Classification:

ABC classification is a technique used to categorize items based on their value or importance. In the context of inventory management, it helps prioritize items for effective control and management. To develop an ABC classification for the given items, the following steps can be followed:

Gather data: Collect data on the items, including their annual usage value or sales revenue. This data will help determine their relative importance.

Calculate usage value: Calculate the total annual usage value for each item by multiplying its unit price by the annual demand or sales quantity.

Rank the items: Rank the items in descending order based on their annual usage value. The items with the highest usage value are considered the most important.

Assign categories: Divide the items into categories based on their cumulative usage value. For example, the top 20% of items with the highest cumulative usage value can be classified as Category A, the next 30% as Category B, and the remaining 50% as Category C.

By following these steps, the items can be classified into ABC categories, allowing the organization to allocate resources, set inventory levels, and apply different control measures based on the importance of each item.

ii. Managerial Indications of ABC Classification:

ABC classification provides valuable information to managers in various ways:

Inventory Control: Managers can use ABC classification to establish different inventory control policies for different categories of items. Category A items, which are high-value and critical, may require stricter control measures, such as frequent monitoring and tighter inventory levels, compared to Category C items.

Supplier Management: With ABC classification, managers can identify their top suppliers based on the items' value contribution. This information enables them to establish strategic relationships, negotiate better terms, and focus on supplier performance improvement for critical items.

Demand Forecasting: By analyzing historical sales data of different ABC categories, managers can improve demand forecasting accuracy. They can allocate more resources to forecasting and analyzing Category A items, which have a significant impact on overall sales and profitability.

Cost Optimization: Managers can identify cost-saving opportunities by focusing on the high-value items in Category A. They can negotiate better pricing, explore bulk purchasing options, or consider alternative sourcing strategies to reduce costs associated with these items.

In summary, ABC classification assists managers in making informed decisions related to inventory control, supplier management, demand forecasting, and cost optimization, ultimately contributing to more efficient and effective operations.

b. Distinguishing between a warehouse and a distribution centre:

A warehouse and a distribution center serve different functions within the logistics system:

Warehouse: A warehouse is a facility used to store goods, materials, or inventory for an extended period. It typically focuses on storing finished goods or raw materials in a centralized location. Warehouses are strategically placed within the supply chain to optimize inventory management, provide storage, and facilitate order fulfillment. They may also handle activities like packaging, labeling, and quality control.

Distribution Centre: A distribution center, on the other hand, is a specialized facility designed for the rapid movement and distribution of goods. It acts as a central hub in the supply chain, receiving products from multiple sources and distributing them to various destinations. Distribution centers are strategically located near transportation networks to facilitate quick and efficient order processing, sorting, and transportation.

While both warehouses and distribution centers involve storage and handling of goods, the key distinction lies in their primary purpose. Warehouses primarily focus on long-term storage and inventory management, while distribution centers emphasize the efficient and timely movement of goods to meet customer demands.

Value-Added Activities performed by Warehouses and Distribution Centers:

Consolidation and Cross-Docking: Warehouses and distribution centers can consolidate shipments from multiple suppliers or sources into a single outbound shipment. They also facilitate cross-docking, where incoming goods are unloaded.

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Two payments of $10,000 and $3,300 are due in 1 year and 2
years, respectively. Calculate the two equal payments that would
replace these payments, made in 6 months and in 4 years if money is
worth 7.

Answers

To calculate the two equal payments that would replace the payments of $10,000 due in 1 year and $3,300 due in 2 years, we can use the concept of present value.

PV1 = $10,000 / (1 + 0.07)^1

PV1 = $9,345.79

Next, let's calculate the present value of the $3,300 payment due in 2 years. Since the payment is due in 2 years, the present value can be calculated as:

PV2 = $3,300 / (1 + 0.07)^2

PV2 = $2,796.17

The present value of the payment made in 6 months can be calculated as: PV3 = X / (1 + 0.07)^(0.5)

The present value of the payment made in 4 years can be calculated as:

PV4 = X / (1 + 0.07)^4

Since these two payments are equal, we can set PV1 + PV2 = PV3 + PV4:

$9,345.79 + $2,796.17 = X / (1 + 0.07)^(0.5) + X / (1 + 0.07)^4

Simplifying the equation:

$12,141.96 = X / 1.035 + X / 1.3108

To solve for X, we can multiply both sides of the equation by 1.035 * 1.3108:

$12,141.96 * 1.3516 = X * (1.3108 + 1.035)

$16,425.29 = 2.3458X

Dividing both sides by 2.3458:

X = $7,006.89

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Go to the Bureau of Labor Statistics (BLS) Employment and Unemployment website and retrieve the data for the following series provided below. Construct, on Excel using the line graph, the charts for the following:

1. Latest Job Openings Rate (2000-2021). What can you conclude? Is the current recession (COVID-19 Recession) worse than the Great Recession? Why or why not?

2. Latest Hires Rate (2000-2021). What can you conclude? Is the current recession (COVID-19 Recession) worse than the Great Recession? Why or why not?

3. Latest Turnover Rate (2000-2021). What can you conclude? Is the current recession (COVID-19 Recession) worse than the Great Recession? Why or why not?

4. Latest Quits Rates (2000-2021). What can you conclude? Is the current recession (COVID-19 Recession) worse than the Great Recession? Why or why not?

5. Latest Layoffs/Discharges Rate (2000-2021). What can you conclude? Is the current recession (COVID-19 Recession) worse than the Great Recession? Why or why not?

Answers

1. To retrieve the data for the Latest Job Openings Rate (2000-2021) from the Bureau of Labor Statistics (BLS) Employment and Unemployment website, you would need to visit the website and locate the specific series for the Job Openings Rate. Once you have retrieved the data, you can proceed to construct a line graph in Excel.

To construct the line graph, you would plot the years (2000-2021) on the x-axis and the Job Openings Rate on the y-axis. Each data point would represent the rate of job openings for a specific year. By connecting these data points with a line, you can visualize the trend of job openings over time.

2. Similarly, to retrieve the data for the Latest Hires Rate (2000-2021), you would need to find the specific series for the Hires Rate on the BLS website. Once you have obtained the data, you can create a line graph in Excel.

The line graph for the Hires Rate would also have the years (2000-2021) on the x-axis and the Hires Rate on the y-axis. Each data point would represent the rate of new hires for a specific year. By connecting these data points with a line, you can observe the trend of hiring activity over time.

3. To retrieve the data for the Latest Turnover Rate (2000-2021), you would need to find the specific series for the Turnover Rate on the BLS website. Once you have acquired the data, you can proceed to create a line graph in Excel.

The line graph for the Turnover Rate would have the years (2000-2021) on the x-axis and the Turnover Rate on the y-axis. Each data point would represent the rate of employee turnover for a specific year. By connecting these data points with a line, you can analyze the pattern of turnover over time.

4. To retrieve the data for the Latest Quits Rates (2000-2021), you would need to locate the specific series for the Quits Rate on the BLS website. After obtaining the data, you can construct a line graph in Excel.

The line graph for the Quits Rate would display the years (2000-2021) on the x-axis and the Quits Rate on the y-axis. Each data point would represent the rate at which employees voluntarily quit their jobs for a particular year. By connecting these data points with a line, you can assess the trend of voluntary job separations over time.

5. Finally, to retrieve the data for the Latest Layoffs/Discharges Rate (2000-2021), you would need to find the specific series for the Layoffs on the BLS website. Once you have obtained the data, you can create a line graph in Excel.

The line graph for the Layoffs/Discharges Rate would have the years (2000-2021) on the x-axis and the Layoffs/Discharges Rate on the y-axis. Each data point would represent the rate at which employees were laid off or discharged from their jobs for a particular year. By connecting these data points with a line, you can examine the trend of job separations due to layoffs or discharges over time.

To compare the current recession (COVID-19 Recession) with the Great Recession, you would need to analyze the line graphs for each series individually. Look for any significant differences or patterns between the two recessions in terms of job openings, hires, turnover, quits, and layoffs/discharges rates. Consider factors such as the severity and duration of each recession, the impact on different industries, and any unique circumstances that may have influenced the labor market.

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Ramesh participates in an employer's Section 401(k) plan, which obligates the employer to contribute 25 cents for every dollar that an employee elects to contribute to the plan. This year. Ramesh elects to contribute the maximum allowable to this plan, and has salary of $110.000. Required: a. How much of Ramestis salary is taxable this year? b. Compute the total contribution to Ramesh's plan. c. Compute the employer's deduction for compensation paid to Ramesh. Complete this question by entering your answers in the tabs below. How much of Ramesh's salary is taxable this year?

Answers

a. Ramesh is contributing the maximum allowable amount to the plan, we can assume that the employer will contribute the equivalent amount.

Ramesh's contribution = $110,000
Employer's contribution = $110,000 * 25% = $27,500
Total contribution to the plan = Ramesh's contribution + Employer's contribution = $110,000 + $27,500 = $137,500

The taxable amount of Ramesh's salary this year is $110,000 - $137,500 = -$27,500.

It is important to note that a negative taxable amount indicates that Ramesh's contributions to the plan exceeded his salary, resulting in a tax deduction.

b. The total contribution to Ramesh's plan is the sum of his contribution and the employer's contribution, which is $110,000 + $27,500 = $137,500.

c. The employer's deduction for compensation paid to Ramesh is equal to the amount they contribute to his plan. In this case, the employer's deduction is $27,500.

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The taxable salary, we subtract Ramesh's contribution and the employer's contribution from his total salary: is $82,500.

To calculate Ramesh's taxable salary, we need to determine the amount of his salary that is subject to taxation. Ramesh's salary is $110,000, but he elects to contribute the maximum allowable amount to the Section 401(k) plan. For every dollar Ramesh contributes, the employer contributes 25 cents. Therefore, Ramesh's contribution is $110,000, and the employer's contribution is $

The taxable salary is calculated by subtracting the total contribution to the plan from Ramesh's salary. So, Ramesh's taxable salary is $110,000 - $137,500 = $82,500. This is the amount that will be subject to taxation for the year.

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Sam wants to invest $5,000 for 5 years. Which one of the following rates will provide him with the largest future value?
1) 6 percent interest, compounded annually
2) 5 percent interest, compounded annually
3) 7 percent interest, compounded daily
4) 7 percent interest, compounded annually
5) 5 percent simple interest

Answers

Sam wants to invest $5,000 for 5 years and wants to know which one of the following rates will provide him with the largest future value.

The future value of an investment is calculated using the formula FV = PV(1 + r/n)^(n*t), where FV is the future value of the investment, PV is the present value of the investment, r is the annual interest rate, n is the number of times the interest is compounded per year, and t is the number of years.

For option 1, 6 percent interest compounded annually, the future value of the investment would be FV = $5,000(1 + 0.06/1)^(1*5) = $6,720. At the end of the five-year term, Sam would have $6,720

For option 2, 5 percent interest compounded annually, the future value of the investment would be FV = $5,000(1 + 0.05/1)^(1*5) = $6,386.95. At the end of the five-year term, Sam would have $6,386.95.

For option 3, 7 percent interest compounded daily, the future value of the investment would be FV = $5,000(1 + 0.07/365)^(365*5) = $7,426.61. At the end of the five-year term, Sam would have $7,426.61.

For option 4, 7 percent interest compounded annually, the future value of the investment would be FV = $5,000(1 + 0.07/1)^(1*5) = $7,612.25. At the end of the five-year term, Sam would have $7,612.25.

For option 5, 5 percent simple interest, the future value of the investment would be FV = $5,000(1 + 0.05*5) = $7,500. At the end of the five-year term, Sam would have $7,500.

Out of all the options, option 4, 7 percent interest compounded annually, will provide him with the largest future value. Therefore, Sam should choose option 4 if he wants to get the largest future value.

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Due Friday by 11:59pm Points 15 Submitting a file upload Available Jul 29 at 12 am - Aug 5 at 11:59pm 8 days Week 12 Assignment We Are Hiring "Arrrow Head" is recognized as a market leader with its strong presence in supply chain, logistics and so on. We are hiring a few outstanding candidates for our head office in Toronto. Name of the position: Administrative Assistant Your responsibilities may include, but are not limited to: - Reception and front desk duties - Digital distribution of sales inquiries and documentation - Supporting inventory control on all branded promotional items ensuring adequate on-hand supply of giveaways. - Distribution of items as requested - Filing and organizing digital and physical files - Providing support to compliance team on documentation requirements and data entry - Assisting with office meetings, organizing various spaces, and preparation of A/V equipment - Other duties as assigned by management Knowledge and skills required for the role: - Currently enrolled or have obtained their College Diploma in Business General/ Administration or similar field - Proficient in MS Office suit - Relevant experience - Interpersonal communication - Customer orientation - Exceptional attention to detail - Exceptional organizational skills - Analytical skills - Results orientation - Team orientation - Prioritization skills - Well organized - Ability to multitask Your task: Build your resume based on the requirement of the job opportunity posted above. - Submit doc file - Must not be more than 2 pages - Resume must be prepared as per the guidelines discussed in the week 12 class. - Resume could be chronological or combination style. - Make sure you resume meets the requirements specified in the RUBRIC

Answers

The administrative assistant at Arrow Head is responsible for reception, digital distribution of sales inquiries and documentation, supporting inventory control, filing and organizing digital and physical files, and other duties as assigned by management.

In order to be qualified for the role, one must be currently enrolled or have obtained their College Diploma in Business General/ Administration or a similar field, be proficient in MS Office suite, have relevant experience, interpersonal communication, customer orientation, exceptional attention to detail, exceptional organizational skills, analytical skills, results orientation, team orientation, prioritization skills, and be well organized. The administrative assistant at Arrow Head is responsible for performing reception and front desk duties, including answering phone calls and greeting visitors. They must also be able to distribute sales inquiries and documentation digitally, as well as support inventory control on all branded promotional items, ensuring an adequate on-hand supply of giveaways. Additionally, the administrative assistant must file and organize digital and physical files, provide support to the compliance team on documentation requirements and data entry, assist with office meetings, organize various spaces, and preparation of A/V equipment. Other duties as assigned by management may also be required. According to the job posting, the knowledge and skills required for the role include being currently enrolled or having obtained their College Diploma in Business General/ Administration or a similar field, being proficient in MS Office suite, having relevant experience, possessing interpersonal communication skills, having customer orientation, having exceptional attention to detail, exceptional organizational skills, analytical skills, results orientation, team orientation, prioritization skills, and being well organized. Therefore, one must have these qualifications to be considered for the role. The resume that one submits for the position of administrative assistant at Arrrow Head must be no more than 2 pages and prepared as per the guidelines discussed in the week 12 class. The resume could be chronological or combination style. The resume must also meet the requirements specified in the RUBRIC.

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Help your audience explain how a tactic is different from a
strategy, in the strategic planning and implementation process.

Answers

Strategy is defined as a plan of action or a road map for the organization to achieve its goals and objectives. A strategy defines what the organization wants to accomplish and how it plans to do so. It is an overall plan that integrates all the organization's activities and is intended to give the organization a competitive advantage.

A tactic, on the other hand, is a specific action that an organization takes to achieve a particular goal. Tactics are more short-term and specific than strategies. They are focused on the implementation of specific actions that are designed to support the overall strategy of the organization.In the strategic planning and implementation process, tactics are used to achieve the goals and objectives of the strategy.

The strategy provides the overall direction and focus for the organization, while the tactics provide the specific actions that are needed to achieve the goals of the strategy. It is important to note that tactics are not a substitute for strategy, but rather they are a part of the overall strategy of the organization.

In conclusion, a strategy is a broad and long-term plan for achieving the organization's goals and objectives, while tactics are specific actions taken to support the overall strategy. Strategies are focused on the long-term success of the organization, while tactics are focused on achieving short-term goals that are aligned with the overall strategy.

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Describe public relations and public relations tools used by companies. Describe a situation where a company has faced unfavorable publicity. How should an organization deal with unfavorable/negative publicity? What is the plan of corrective action?

Answers

Public relations (PR) refers to the strategic communication efforts by an organization to build and maintain positive relationships with its various stakeholders, including the public, customers, employees, investors, and the media. The goal of PR is to shape public perception, enhance reputation, and create a favorable image of the organization.

Companies use various PR tools and techniques to effectively communicate with their target audiences. Some common PR tools include:

Press Releases: Official statements distributed to the media to announce news, events, or organizational developments.Media Relations: Building relationships with journalists and influencers to secure positive media coverage and manage media inquiries.Social Media Management: Utilizing social media platforms to engage with the public, share updates, respond to customer inquiries, and manage online reputation.Content Creation: Developing informative and engaging content such as articles, blog posts, videos, and infographics to educate and engage the target audience.Crisis Communications: Strategies and protocols to effectively respond to and manage crises or unfavorable situations that could potentially harm the company's reputation.Community Engagement: Participating in community events, sponsorships, and corporate social responsibility initiatives to demonstrate commitment and goodwill.Influencer Partnerships: Collaborating with influential individuals or organizations to promote products, services, or brand messages.

In the context of unfavorable publicity, when a company faces negative or unfavorable publicity, it is crucial to respond promptly and effectively. Here are some steps an organization can take to deal with negative publicity:

Assess the Situation: Evaluate the nature and extent of the negative publicity and its potential impact on the company's reputation and stakeholders.Respond Swiftly: Act promptly to address the issue, acknowledging the concerns and showing empathy towards affected stakeholders.Transparent Communication: Provide accurate and transparent information about the situation, taking responsibility for any mistakes or shortcomings.Engage with Stakeholders: Open channels of communication with stakeholders, including customers, employees, and the public, to address their concerns and provide updates on corrective actions.Take Corrective Actions: Implement measures to rectify the situation, resolve the issue, and prevent similar incidents from occurring in the future.Monitor and Manage Online Reputation: Monitor online platforms and social media for discussions and comments related to the unfavorable publicity, and respond appropriately to address concerns and correct misinformation.Learn from the Experience: Conduct a thorough analysis of the situation to identify lessons learned and make necessary improvements to prevent similar issues in the future.

The plan of corrective action may vary depending on the specific situation, but it generally involves a combination of immediate actions to mitigate the negative impact, long-term strategies to rebuild trust and reputation, and ongoing efforts to monitor and manage the company's image and communication.

Overall, effectively managing unfavorable or negative publicity requires transparency, timely communication, genuine concern for stakeholders, and a proactive approach to address the issue and prevent its recurrence in the future.

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Suppose at December 31 of a recent year, the following information (in thousands) was available for sunglasses manufacturer Oakley, Inc.: ending inventory $143,000, beginning inventory $115,000, cost of goods sold $327,660, and sales revenue $684,000.

Answers

To calculate the cost of goods sold (COGS), we can use the formula: COGS = Beginning Inventory + Purchases - Ending Inventory In this case, the beginning inventory is $115,000, and the ending inventory is $143,000. However, we don't have the information about purchases directly. Instead, we can calculate purchases by using the following formula:

Purchases = COGS + Ending Inventory - Beginning Inventory Substituting the values into the equation, we have: Purchases = $327,660 + $143,000 - $115,000 Purchases = $355,660 Now that we have the value of purchases, we can calculate the cost of goods sold (COGS):

COGS = $115,000 + $355,660 - $143,000

COGS = $327,660 The cost of goods sold for Oakley, Inc. is $327,660. To calculate the gross profit, we can subtract the cost of goods sold (COGS) from the sales revenue: The gross profit for Oakley, Inc. is $356,340.

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Do you believe that the advancement of digitalisation has
rendered microeconomic theory obsolete?
Give an example to back up your claims.

Answers

No, I do not believe that the advancement of digitalization has rendered microeconomic theory obsolete. While digitalization has certainly brought about significant changes in various industries.

And market dynamics, microeconomic theory remains relevant in understanding and analyzing economic behavior at the individual level.

Microeconomic theory focuses on the study of how individuals, households, and firms make decisions regarding resource allocation, production, consumption, and pricing. It examines the fundamental principles of supply and demand, market equilibrium, elasticity, and cost analysis. These concepts continue to hold importance in the digital age, even with the emergence of new technologies and business models.

An example that highlights the relevance of microeconomic theory in the digital era is the rise of online marketplaces such as Amazon or eBay. These platforms have transformed the way consumers shop, sellers operate, and markets function. However, at the core, microeconomic principles still govern the interactions between buyers and sellers.

For instance, the concept of price elasticity of demand is crucial in understanding consumer behavior in response to changes in prices on online marketplaces. Microeconomic theory helps analyze how price changes impact consumer demand and how firms can adjust their pricing strategies to maximize revenue and profit.

Additionally, microeconomic theory plays a role in understanding the impact of digitalization on market structure and competition. The entry of digital platforms has led to the rise of multi-sided markets, where platforms connect buyers and sellers, creating new dynamics and challenges. Microeconomic theory provides tools to analyze market power, network effects, and platform competition, enabling policymakers and regulators to address potential antitrust concerns and promote fair competition.

Moreover, microeconomic theory continues to guide firms in making strategic decisions in the digital era. Concepts such as cost analysis, economies of scale, and pricing strategies remain relevant for businesses operating in digital markets. Firms still need to analyze production costs, determine optimal pricing levels, and assess profitability based on the principles of microeconomics.

In conclusion, while digitalization has brought about significant changes in the business landscape, microeconomic theory remains a fundamental framework for understanding economic behavior at the individual level. Its concepts and principles continue to be applicable in analyzing consumer behavior, market dynamics, competition, and firm decision-making, even in the context of digital advancements.

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Zainab is researching whether a Poisson process would be a suitable model for vehicle breakdowns on a busy motorway. For weekdays across one month, she collects data on the number of breakdowns each hour on the motorway, over a specific time period, between 10.00a.m. and 2.00 p.m. (a) With reference to one of the assumptions underlying a Poisson process, give a possible reason for why Zainab has restricted her study to vehicle breakdowns at a particular time of day. (b) Zainab enters her data into Minitab and calculates the following summary statistics for the number of breakdowns occurring each hour. Do the summary statistics support the Poisson process as a model for the data? Justify your answer. Statictirc (c) Based on the data collected, Zainab assumes that on average, two breakdowns occur per hour on the motorway. (i) Calculate the probability that there will be fewer than three breakdowns between 10.30 a.m. and 12.30 p.m. (ii) Calculate the probability that the interval between two successive breakdowns is less than 30 minutes.

Answers

(a) The reason why Zainab has restricted her study to vehicle breakdowns at a particular time of day is that a Poisson process assumes that the rate at which events occur should be constant over time. Therefore, Zainab has restricted her study to vehicle breakdowns between 10:00 a.m. and 2:00 p.m. to make sure the rate of breakdowns is relatively constant.

(b) The summary statistics do support the Poisson process as a model for the data. In a Poisson distribution, the variance should be equal to the mean. In the data provided, the mean is 2.08 and the variance is 2.11, which are very close. The histogram of the data also appears to be Poisson-like. Therefore, we can conclude that the data follows the Poisson distribution.

(c) (i) we need to use the Poisson distribution. The average rate of breakdowns per hour is 2. Therefore, the average rate is 4. The probability of having zero or one breakdown calculated as follows :P(X ≤ 2) = P(X = 0) + P(X = 1) + P(X = 2) where X ~ Poisson (4). Using a Poisson distribution table, we get;(X ≤ 2) = P(X = 0) + P(X = 1) + P(X = 2) = 0.018 + 0.073 + 0.147 = 0.238.(ii) we need to use the exponential distribution. Average time between two successive breakdowns = 60 minutes/2 breakdowns = 30 minutes Therefore, the rate parameter, λ = 1/30.  This can be calculated as:P(X < 30) = 1 - e^(-λx) = 1 - e^(-1) = 0.6321 Therefore, the probability that the interval between two successive breakdowns is less than 30 minutes is 0.6321.

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Zainab has restricted her study to a particular time of day to assume that the rate of vehicle breakdowns remains constant during that time period, which is an underlying assumption of a Poisson process.

The probability of having fewer than three breakdowns between 10.30 a.m. and 12.30 p.m. is approximately 0.406 or 40.6%.

The probability that the interval between two successive breakdowns is less than 30 minutes is approximately 0.632 or 63.2%.

How to Solve the Problem?

(a) One of the acceptances underlying a Poisson process is that the rate of occurrences occurring inside a given time pause is constant. By confining her study to a particular opportunity of day, between 10.00 a.m. and 2.00 p.m., Zainab is provided that the traffic conditions, driver performances, and other determinants that contribute to boat breakdowns remain almost constant all the while this time period. This presumption allows her to treat the dossier as a Poisson process.

(b) To determine if the summary enumerations support the Poisson process as a model for the data, we need to analyze if certain environments are met. The key conditions for a Poisson process are:

The occurrences occur alone.The average rate of events is perpetual over time.The expectation of more than individual event occurring in an infinitesimally insignificant interval is insignificant.

If Zainab's data answer these conditions, it would support the Poisson process model.

(c) (i) To reckon the probability of less than three breakdowns between 10.30 a.m. and 12.30 period after 12 noon and before sunset, we can use the Poisson distribution. The average rate of breakdowns is given as two per time.

Let's denote the haphazard variable X as the number of breakdowns all the while this time ending. The parameter λ (lambda) shows the average rate of breakdowns, which is 2.

Using the Poisson distribution recipe, the probability maybe calculated in this manner:

P(X < 3) = P(X = 0) + P(X = 1) + P(X = 2)

P(X = k) = (e^(-λ) * λ^k) / k!

P(X < 3) = (e^(-2) * 2^0) / 0! + (e^(-2) * 2^1) / 1! + (e^(-2) * 2^2) / 2!

Calculating this expression, we find:

P(X < 3) = 0.406

Therefore, the expectation of having minor than three breakdowns between 10.30 a.m. and 12.30 p.m. is nearly 0.406 or 40.6%.

(ii) To calculate the expectation that the interval middle from two points two successive breakdowns is inferior 30 minutes, we need to feel the exponential distribution, that is often guide the interarrival times in a Poisson process.

In a Poisson process, the interarrival periods follow an rapid change distribution accompanying a rate parameter (λ) equal to the average rate of occurrences.

The average rate of breakdowns is given as two per period. Since the exponential disposal is defined in agreements of the rate parameter, we can reckon the probability as follows:

P(break < 30 minutes) = 1 - e^(-λt)

place t is the time in hours. In this case, t = 0.5 (30 proceedings is half an hour).

P(pause < 30 minutes) = 1 - e^(-2 * 0.5)

Calculating this verbalization, we find:

P(interval < 30 minutes) = 1 - e^(-1)

Using the rapid change distribution, this odds is approximately 0.632 or 63.2%.

Therefore, the feasibility that the interval betwixt two successive breakdowns is inferior 30 minutes is approximately 0.632 or 63.2%.

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Dan Snyder wants sell his NFL franchise immediately (in USD), with no risk. He has one offer of JPY 100 Billion from a Japanese consortium, and another for GBP 700MM from a London group. Both offers will pay half immediately, and half in one year. Current bid-ask spot rates are 90-91 JPY/USD, and 1.5-1.6 USD/GBP. The U.S. interest rates for lending and borrowing are 9%−10%. The JPY rates are 1%−2%, and the GBP rates are 19%−20%. Evaluate the offers. Which offer should Snyder accept? Why? What should he do about hedging? Explain specifically, and show your work!

Answers

Dan Snyder has two offers to sell his NFL franchise, one for JPY 100 billion and another for GBP 700 million. Each offer will pay half immediately and half in one year. The bid-ask spot rates for JPY/USD and USD/GBP are provided, along with the interest rates for lending and borrowing in the respective currencies.

To evaluate the offers, we need to calculate the present value (PV) of each offer using the given spot rates and interest rates.

For the JPY offer:

- Half of JPY 100 billion immediately is JPY 50 billion.

- Half of JPY 100 billion in one year is JPY 50 billion / (1 + 2%) = JPY 49.0196 billion (using the lower interest rate).

Converting the JPY amounts to USD:

- JPY 50 billion / 90 JPY/USD = USD 555.556 million (immediate payment).

- JPY 49.0196 billion / 90 JPY/USD = USD 544.661 million (one-year payment).

For the GBP offer:

- Half of GBP 700 million immediately is GBP 350 million.

- Half of GBP 700 million in one year is GBP 350 million / (1 + 20%) = GBP 291.6667 million (using the higher interest rate).

Converting the GBP amounts to USD:

- GBP 350 million * 1.5 USD/GBP = USD 525 million (immediate payment).

- GBP 291.6667 million * 1.6 USD/GBP = USD 466.6667 million (one-year payment).

Comparing the PV of the offers:

- JPY offer: USD 555.556 million + USD 544.661 million = USD 1.100217 million.

- GBP offer: USD 525 million + USD 466.6667 million = USD 991.6667 million.

Snyder should accept the JPY offer as it provides a higher present value.

Regarding hedging, Snyder may consider hedging against exchange rate risk since the payments are in different currencies. By using forward contracts or currency options, he can lock in exchange rates for the future payments to mitigate potential losses due to exchange rate fluctuations. The decision to hedge should be based on his risk tolerance and expectations of exchange rate movements.

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During a period of permanent constant growth, the capltal gains yield equals which one of the following? Multiple Choice Required rate of return Market rate of return Dividend growth rate Dividend yield Total yield

Answers

During a period of permanent constant growth, the dividend yield is equal to the capital gains yield.

Dividend yield is a measure of the income generated by a company's dividends relative to its share price. The capital gains yield, on the other hand, is the growth in the value of an asset or investment over time.Answer:In a period of permanent constant growth, the capital gains yield equals the dividend yield. Dividend yield is a measure of the income generated by a company's dividends relative to its share price. The capital gains yield, on the other hand, is the growth in the value of an asset or investment over time.Answer:In a period of permanent constant growth, the capital gains yield equals the dividend yield. Dividend yield is a measure of the income generated by a company's dividends relative to its share price. The capital gains yield, on the other hand, is the growth in the value of an asset or investment over time.Answer:In a period of permanent constant growth, the capital gains yield equals the dividend yield.

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A Mastercard statement shows a balance of $510 at 13.3%
compounded monthly. What monthly payment will pay off this debt in
1 year 9 months?

Answers

Monthly Payment to Pay off $510 Debt in 1 Year 9 Months: To calculate the monthly payment required to pay off a debt of $510 in 1 year 9 months, we need to consider the interest rate of 13.3% compounded monthly.

First, we convert the 1 year 9 months into the total number of months. Since there are 12 months in a year, we have:

1 year = 12 months

9 months = 9 months

Total number of months = 12 + 9 = 21 months

Next, we can use the formula for calculating the monthly payment for a loan with compound interest:

Monthly Payment = Principal Amount / Present Value Interest Factor of an Annuity (PVIFA)

PVIFA is calculated using the interest rate and the number of periods. In this case, the interest rate is 13.3% compounded monthly, so we divide it by 100 to get the decimal form: 0.133/12 = 0.011083.

PVIFA can be found using financial tables or calculated using a formula. However, since the question specifies a target monthly payment, we can rearrange the formula to solve for the monthly payment as follows:

Monthly Payment = Principal Amount / PVIFA

Plugging in the values:

Principal Amount = $510

PVIFA = 1 - (1 + 0.011083)^(-21) / 0.011083

By substituting the values and performing the calculation, we can determine the monthly payment that will pay off the debt of $510 in 1 year 9 months.

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You bring your boss a report indicating that the own-price elasticity of your main product is -2.6. She indicates that the higher-ups have been thinking about offering a sale. The current price is $14. and they're thinking of cutting it by $5. What will that do?" By what percentage will quantity demanded change according to your calculations? Provide the percentage as a whole number (i.e., 2.5 for 2.5%) and round to one decimal place.

Answers

Elasticity of demand is the degree of consumer responsiveness to price changes. Elastic demand is the situation in which a small change in price leads to a large change in demand. Inelastic demand occurs when there is a small or no change in demand due to a change in price.

Own price elasticity of demand is the responsiveness of quantity demanded of a commodity to changes in its price, other things being equal. It is computed as: PED = Percentage change in Quantity Demanded / Percentage change in Price Given that the own price elasticity of demand of the main product is -2.6.

This leads to:PED [tex]= [(35.7 / 14) / (-2.6)] * 100% = -13.14%[/tex]  (rounded to two decimal places)Since the value is negative, the quantity demanded is expected to decline by 13.14% if the price is decreased by $5.

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Competitive negotiation is considered as an efficient
procurement approach and is the default procurement method in the
private sector. Should negotiation be adopted as a procurement
method in the pub

Answers

Competitive negotiation is widely used in the private sector as an effective procurement approach. The question is whether negotiation should be adopted as a procurement method in the public sector.

Negotiation as a procurement method involves engaging in discussions and bargaining with potential suppliers to secure the best possible terms and conditions. While competitive negotiation is commonly employed in private sector procurement, its applicability in the public sector requires careful consideration. Public procurement is typically governed by regulations and principles of transparency, fairness, and accountability to ensure the optimal use of public funds. Therefore, adopting negotiation as a procurement method in the public sector must be accompanied by robust procedures to maintain transparency, prevent favoritism, and promote competition.

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For each of the following, gives a PEAS description of the task and given solver of the tasks.

An intelligent agent cleans the hospital.

Answers

PEAS description of the task and given solver of the task in the case of an intelligent agent that cleans the hospital are  Performance Measure, Environment, Actuators, Sensors, and Solver.

PEAS description is as follows:

Performance Measure: The performance measure can be defined by the cleanliness of the hospital and the amount of time taken by the intelligent agent to complete the task.

Environment: The environment is the hospital and includes all the rooms, medical equipment, and other such things used in the hospital.

Actuators: The cleaning equipment, such as brooms, mops, cleaning solutions, etc. are the actuators for the task.

Sensors: The sensors for the task include cameras and other such devices to help the intelligent agent navigate through the hospital. The agent will also need sensors to detect dirt and other debris in the environment.

Solver: An appropriate solver for this task would be a mobile robot that is designed for cleaning environments like hospitals. The robot would be programmed with a map of the hospital and the locations where cleaning is required. The robot would use sensors to navigate through the hospital and detect the areas that need to be cleaned. It would use its actuators to clean the environment and provide a performance measure.

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​​​​​​​
Wild Swings, Inc.'s stock has a beta of \( 2.6 \). If the risk-free rate is \( 6.1 \% \) and the market risk premium is \( 6.9 \% \), what is an estimate of Wild Swings' cost of equity?

Answers

An estimate of Wild Swings, Inc.'s cost of equity is approximately 24.04%. Rounded to two decimal places, it is 21.25%.

An estimate of Wild Swings, Inc.'s cost of equity is approximately **21.25%**.

The cost of equity can be estimated using the Capital Asset Pricing Model (CAPM). The formula for CAPM is as follows:

\( \text{Cost of Equity} = \text{Risk-Free Rate} + \text{Beta} \times \text{Market Risk Premium} \)

Given the following values:

Risk-Free Rate = 6.1%

Beta = 2.6

Market Risk Premium = 6.9%

Substituting these values into the formula, we get:

Cost of Equity = 6.1% + 2.6 × 6.9%

Cost of Equity ≈ 6.1% + 17.94%

Cost of Equity ≈ 24.04%

Therefore, an estimate of Wild Swings, Inc.'s cost of equity is approximately 24.04%. Rounded to two decimal places, it is 21.25%.

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: You have just been transferred from the Montreal office to the Vancouver office of your company, a national sales organization of electrical products for developers and contractors. In Montreal, team members regularly called customers after a sale to ask whether the products arrived on time and whether they are satisfied. But when you moved to the Vancouver office, no one seemed to make these follow-up calls. A recently hired coworker explained that other co- workers discouraged her from making those calls. Later, another co-worker suggested that your follow-up calls were making everyone else look lazy. Give three possible reasons why the norms in Vancouver might be different from those in the Montreal office, even though the customers, products, sales commissions, and other characteristics of the workplace areal most identical.

Answers

Vancouver office norms may differ from Montreal office due to regional cultural differences, management styles, and past follow-up calls experiences.

Regional cultural differences could play a role in shaping the norms and behaviors within the Vancouver office. Different regions may have distinct communication styles or customer service expectations, which could influence whether follow-up calls are considered necessary or effective.

Cultural nuances and preferences may vary between Montreal and Vancouver, leading to differences in customer interaction practices.

Another possible reason could be varying management styles or priorities. Different managers in the Vancouver office may have different approaches to customer service and prioritize certain aspects over others.

If the management in Vancouver does not emphasize the importance of follow-up calls as much as in Montreal, it could result in a shift in the office's norms and practices.

Lastly, past experiences or perceptions of follow-up calls within the Vancouver office could shape the prevailing norms. If previous attempts at follow-up calls did not yield positive results or were met with resistance, it could have created a perception among the co-workers that such calls are unnecessary or ineffective.

Negative experiences or the belief that follow-up calls make others appear lazy might have influenced the prevailing norms within the office

Overall, regional cultural differences, varying management styles or priorities, and past experiences or perceptions could all contribute to the divergence of norms between the Montreal and Vancouver offices, despite other workplace characteristics being similar.

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Canada bonds have provided a higher historical return than Treasury bills , which can be attributed to :
a ) Greater default risk
b) A higher level of unique risk
c) Greater price risk due to longer maturities
d) The fact that they are less frequently traded than bills

Answers

Canada bonds have provided a higher historical return than Treasury bills, which can be attributed to greater price risk due to longer maturities. (Option C)

The higher historical return of Canada bonds compared to Treasury bills can be attributed to the greater price risk associated with longer maturities. Bonds with longer maturities are exposed to fluctuations in interest rates over a more extended period, which can impact their market value.

When interest rates rise, the prices of existing bonds tend to fall because newly issued bonds offer higher coupon rates. This inverse relationship between interest rates and bond prices creates price risk. Since Canada bonds generally have longer maturities than Treasury bills, they are more susceptible to changes in interest rates, resulting in greater price risk.

In contrast, Treasury bills have shorter maturities, typically less than one year, which means they are less affected by changes in interest rates. As a result, their price risk is relatively lower compared to bonds with longer maturities.

The other options, such as greater default risk (a), a higher level of unique risk (b), or less frequent trading (d), do not necessarily explain the higher historical return of Canada bonds compared to Treasury bills.

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In 2009, US foreign assets was 129 percent of GDP and its liabilities was 148 percent. Suppose that 70 percent of U.S. foreign assets are denominated in foreign currencies, but that all U.S. liabilities to foreigners are denominated in dollars (these are approximately the correct numbers). In 2009, U.S. GDP was around $14.4 trillion. (i) Compute the effect of a 10\% USD depreciation on US foreign assets, US foreign liabilities and US net foreign wealth position (in USD). (ii) Compute the effect of a 10\% USD depreciation on the foreign assets, the foreign liabilities and the net foreign wealth position of the Rest of the World (ROW) measured in USD. Note: from ROW's point of view, the US is defined as Foreign and ROW is defined as Home.

Answers

1. Assets decreased by 10% to $19.1808 trillion from a ROW viewpoint.

2. The value of liabilities rose by 10% to $14.3035 trillion.

3. Net foreign wealth is $4.8773 trillion (19.1808 - 14.3035). It was $8.31 trillion before depreciation). As a result, the NFWP declines by $3.4327 trillion.  

According to the information, the calculations are provided below:

The value of US Foreign assets ( in $ ) is

= 129% of $14.4 trillion.

= $18.576 trillion

The value of US Foreign liabilities ( in $) is

= 148% of $14.4 trillion

= $21.312 trillion

Now 70% of US assets are in Foreign denomination i.e. 30% are in dollar values,

30% of $ 18.576 = $ 5.5728 trillion

When the dollar depreciates 10% all US holdings in $ values will depreciate and all US holdings in foreign currencies will appreciate.  

Therefore, after a Depreciation of 10 %

Value of US assets in $ values

= (1-10%)of 5.5728

= $5.0155 trillion

Value of US assets in foreign values

= (1+10%) of 13.002

= $ 14.3035 trillion

Value of US Liabilities in $ values

= (1-10%) of 21.312

= $19.1808 trillion.

A currency's value declines when compared to other currencies, which is known as currency depreciation. Political unrest, interest rate differences, weak economic fundamentals, and investor risk aversion are a few examples of the causes of currency devaluation.

Currency depreciation, which often occurs in a floating exchange rate system when no official currency value is maintained, is the decline in the value of a nation's currency in relation to one or more foreign reference currencies. In the same context, currency appreciation refers to a rise in the currency's worth.

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Current Attempt in Progress LeBron James (LB) Corporation agrees on January 1.2020, to lease equipment from Ivanhoe, Inc, for 3 years. The lease calls for annual lease payments of $18,000 at the beginning of each year. The lease does not trarbfer ownership, nor does it eontaina bargnin purchase option, and is not a specialized asset. In addition, the usefullife of the equipment is 10 years, and the present value of the tease payments is less than 90% of the fair value of the equipment. Prepare t.Bf's journal entries on January 1,2020 icommencenent of the operating lease), and on December 31, 2020 , Assame the implicit rate used by the iessor is unknown, and LBI's incremental borrowing rate is 6%. (Credit occount tites are automaticolly indented when the omount is entered. Do not indent maniwink. For calculotion purposes use 5 decinal phace as disployed in the foctor table provided and round final answers to O decimal placts. es: 5.275. Record journal entries in the order presented in the probiem. Question 6 of 8<> ⋅/1.25 i Date Account Titles and Explanation Debit Credit (To record kase liability) 6 Week 6 - Practice: Chapter 21 Question 6 of 8↔⩾ −/1.25≡i (To record lease liability) (To record lease payment) eTextbook and Media- List of Accounts

Answers

DateAccount Titles and ExplanationDebitCredit1 JanuaryLease Liability$52,423

Equipment$52,423(To record lease liability)

1 JanuaryEquipment$52,423

Lease Liability$4,980

Cash (lease payment)$18,000

Interest Expense$2,146(To record lease payment)

31 DecemberLease Liability$14,663

Interest Expense$2,146

Cash (lease payment)$18,000(To record lease payment)

The given lease does not contain the bargain purchase option, and it also does not transfer ownership. Therefore, it is an operating lease.Preparation of amortization table:

YearPaymentInterestReduction in the lease liabilityLease liability31 December2020$18,000$2,514.38$15,485.62$36,937.381

January2021$18,000$2,216.25$15,783.75$21,153.6321

December2021$18,000$1,269.22$16,730.78$4,422.8531

December2022$18,000$265.37$17,734.63$0

Journal entries:

1 JanuaryLease Liability$52,423

Equipment$52,423(To record lease liability)

1 JanuaryEquipment$52,423

Lease Liability$4,980

Cash (lease payment)$18,000

Interest Expense$2,146(To record lease payment)

31 DecemberLease Liability$14,663

Interest Expense$2,146

Cash (lease payment)$18,000(To record lease payment)

Hence, the correct answer is $52,423, $52,423, $4,980, $18,000, and $2,146.

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"DELL Problems:
What are the causes that DELL focus on improving current
products instead of constantly developing and following the
curve?

Answers

DELL, a prominent computer technology company, has established itself as a market leader by consistently delivering high-quality products and prioritizing customer satisfaction. The company's customer-centric approach has been a key driver of its success. Rather than constantly introducing new products, DELL has wisely chosen to concentrate on enhancing its existing product offerings.

The primary objective behind DELL's focus on improving current products is to cultivate and maintain customer loyalty. DELL recognizes that its customers highly value superior quality and dependability, and they are willing to invest in products that fulfill their requirements. By dedicating efforts to refining existing products, DELL can effectively adapt to evolving customer needs while upholding customer loyalty and trust.

Another significant factor that drives DELL's strategy is the consideration of costs associated with constant new product development. Developing and launching new products can be an expensive endeavor, both in terms of time and financial resources. Therefore, by emphasizing the improvement of current products, DELL can optimize resource allocation while consistently delivering high-quality offerings that meet customer demands.

In conclusion, DELL's strategic focus on enhancing current products has proven to be a prudent approach, enabling the company to retain its market share and customer loyalty. While DELL continues to invest in research and development, it does so in a calculated manner that centers around the customer. Consequently, DELL is well-positioned to adapt to evolving customer preferences and maintain its prominent position in the competitive computer technology industry. This strategy has yielded positive results for DELL in the past and is expected to continue driving its success in the future.

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Lang Enterprises is interested in measuring its overall cost of capital. Current investigation has gathered the following data. The firm is in the 40% tax bracket. Debt The firm can raise debt by selling $1,000-par-value, 8% coupon interest rate, 20-year bonds on which anmual interest payments will be made. To sell the issue, an average discount of $30 per bond would have to be given. The firm also must pay flotation costs of $30 per bond. Preferred stock The firm can sell 8% preferred stock at its $95-per-share par value. The cost of issuing and selling the preferred stock is expected to be $5 per share. Preferred stock can be sold under these terms. Common stock The firm's common stock is currently selling for $90 per share. The firm expects to pay cash dividends of $7 per share next year. The firm's dividends have been growing at an annual rate of 6%, and this growth is expected to continue into the future. The stock must be underpriced by $7 per share, and flotation costs are expected to amount to $5 per share. The firm can sell new common stock under these terms. Retained earnings When measuring this cost, the firm does not concern itself with the tax bracket or brokerage fees of owners. It expects to have available $100,000 of retained earnings in the coming year, once these retained earnings are exhausted, the firm will use new common stock as the form of common stock equity financing. a. Calculate the after-tax b. Calculate the cost of preferred stock. c. Calculate the cost of common stock. d. Calculate the firm's weighted average cost of capital using the capital structure weights shown in the following table. (Round answer to the nearest 0.1%.) CHAPTER 9 The Cost of Capital 383

Answers

a. The after-tax cost of debt is 4.8%.

b. The cost of preferred stock is 8.5%.

c. The cost of common stock is 11.8%.

d. The weighted average cost of capital (WACC) is 9.6%.

a. To calculate the after-tax cost of debt, we need to consider the discount and flotation costs. The effective cost of debt is calculated as follows:

Effective cost of debt = (Coupon interest - Bond discount - Flotation costs) / (Bond price - Flotation costs)

= (8% - $30 - $30) / ($1,000 - $30)

= 4.8%

b. The cost of preferred stock is simply the preferred stock dividend divided by the net proceeds from the sale of preferred stock:

Cost of preferred stock = Preferred stock dividend / (Preferred stock price - Flotation costs)

= 8% / ($95 - $5)

= 8.5%

c. The cost of common stock is calculated using the dividend growth model:

Cost of common stock = (Dividend / Stock price) + Growth rate

= ($7 / $90) + 6%

= 11.8%

d. The weighted average cost of capital (WACC) is calculated by multiplying the cost of each capital component by its weight in the capital structure and summing them up:

WACC = (Weight of debt * Cost of debt) + (Weight of preferred stock * Cost of preferred stock) + (Weight of common stock * Cost of common stock)

= (0.4 * 4.8%) + (0.2 * 8.5%) + (0.4 * 11.8%)

= 9.6%

Hence, the firm's weighted average cost of capital (WACC) is 9.6%.

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You get a job as a telemarketer calling people at home. The person assigned to train you says that 80% of the calls you make will result in either no one answering the phone or answering and immediately hanging up. Consider your first 50 calls you make. What is the probability that 42 calls out of the 50 results in no one answering the phone or answering and immediately hanging up? Round your answer to the thousandths place. B) You get a job as a telemarketer calling people at home. The person assigned to train you says that 80% of the calls you make will result in either no one answering the phone or answering and immediately hanging up. What is the expected number of calls needed to find the first person that does not hang up? C) You get a job as a telemarketer calling people at home. The person assigned to train you says that 80% of the calls you make will result in either no one answering the phone or answering and immediately hanging up. If you called 210 people, what is the expected number of calls resulting in not answering or answering and immediately hanging up? D) You get a job as a telemarketer calling people at home. The person assigned to train you says that 80% of the calls you make will result in either no one answering the phone or answering and immediately hanging up. What is the probability that on the seventh call you encounter the first person that answers the phone and does not immediately hang up?

Answers

Probability is a measure of the likelihood or chance of an event occurring. It quantifies the uncertainty associated with different outcomes or events in a given situation.

A) Probability that 42 calls out of the 50 result in no one answering the phone or answering and immediately hanging up is 0.0000277.

B) The probability of success is the probability of getting an answer other than "no" in the first call, which is 1-0.8 = 0.2. The expected value of a geometric random variable is 1/p. So, the expected number of calls needed to find the first person that does not hang up is

E(X) = 1/0.2 = 5.

C) Let X be the number of calls resulting in no answer or immediate hang-up. Since each call is independent, we know that X is a binomial random variable with n = 210 calls and p = 0.8.

Therefore, E(X) = np = 210 x 0.8 = 168.

D) Let Y be the number of calls until you encounter the first person that answers the phone and does not immediately hang up. Since each call is independent and has a probability of success of 0.2, we know that Y is a geometric random variable with p = 0.2.

Therefore, the probability that on the seventh call you encounter the first person that answers the phone and does not immediately hang up is

P(Y = 7) = (1-0.2)⁶ x 0.2 = 0.0671, rounded to four decimal places.

Answer: A) 0.0000277 B) 5 C) 168 D) 0.0671

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