Project X's IRR is 19% and Project Y's IRR is 17%. The projects have the same risk and the same lives, and each has constant cash flows during each year of their lives. If the WACC is 10%, Project Y has a higher NPV than X.The correct statement is: B) the crossover rate must be greater than 10%.
The NPV of a project can be calculated as follows: NPV = (Cash flows / (1 + WACC)n ) - Initial cost Where,Cash flows = cash flows generated in the n yearn = year of cash flow WACC = Weighted Average Cost of Capital The Internal Rate of Return (IRR) is that rate of discount at which the NPV of the project is equal to zero. So, Project X's NPV at IRR = 0.Project Y's NPV at IRR = 0.The projects X and Y are mutually exclusive, so the one with the higher NPV at a given discount rate should be accepted.In this case,Project Y has a higher NPV at WACC = 10%. Therefore, the discount rate should be greater than 10% for Project X to have a higher NPV than Project Y. Thus, the correct statement is that the crossover rate must be greater than 10%. A higher WACC will increase the discounting factor, decreasing the NPV of both projects. So, if the WACC is 8%, project X will have a higher NPV; if the WACC is 18%, project Y will have a higher NPV. Therefore, options C and D are incorrect. The initial cost of both projects is not given. So, option E cannot be verified.
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Which of the following investment plans involves the greatest amount of risk?
A. Investing in bonds
B. Investing in individual stocks
C. Putting money in a money market account
D. Investing in mutual funds
The investment plans involve the greatest amount of risk in Investing in individual stocks. Thus the correct option is B.
What is a Risk?Risk is defined as the potential that something negative may occur or any uncertainty that will disturb or harm a person's well-being or asset in terms of physical damage or financial loss.
The risk posed by a specific business is A single firm may fail, have an environmental disaster, become engaged in a controversy, or even just lose investor confidence which affects the investment.
Diversification is more challenging to implement with individual stocks. For proper exposure, you need to possess somewhere between 20 and 100 companies, depending on the research you're examining at.
Therefore, option B is appropriate.
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Answer: Investing in individual stocks
Explanation: Just took the test
can someone help me come up with 10 well thought out house rules ??
Answer: Yep you name one i'll name one!
Explanation:
I'm assuming this is for children so...
1: No screaming unless someone broke in or you're dying
2: Don't touch the stove or anything sharp in the kitchen unless told to
3: Don't go outside without permission
4: If someone knocks on the door, don't answer it.
5: No running around with slippery socks on
6: You have to be excused from the table before you get up
7: If your hungry drink water or have a granola bar (or any other small snack)
8: Don't touch any wires unless it's for your own devices
9: If you need help, be patient.
10: Family first!
If it's not for children... sorry lol
professor pybus believes there’s a conflict of interest operating when vallez accepts money to write reviews for his website crazy mike’s apps. what, exactly, is the conflict?
The conflict of interest in this scenario is that Vallez is accepting money to write reviews for Crazy Mike's Apps, which compromises his objectivity and raises questions about the credibility and impartiality of his reviews.
A conflict of interest arises when an individual's personal interests or relationships interfere with their ability to make unbiased decisions or judgments. In this case, Professor Pybus believes that Vallez's acceptance of money from Crazy Mike's Apps to write reviews creates a conflict of interest.
As a reviewer, Vallez is expected to provide fair and impartial assessments of the apps he reviews. However, by accepting money from the company, his objectivity becomes compromised. There is a potential bias introduced into his reviews, as he may feel obligated to write positive reviews in order to maintain his financial relationship with Crazy Mike's Apps.
This conflict of interest undermines the credibility and integrity of Vallez's reviews. The readers of his website may question the authenticity and reliability of his recommendations, as they suspect that his opinions are influenced by financial incentives rather than genuine evaluations.
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(TRUE or FALSE?)
An agency problem occurs if managers who are afraid of losing their jobs reject a promising but somewhat risky project even though the project is not likely to benefit the firm's owners.
An agency problem occurs if managers who are afraid of losing their jobs reject a promising but somewhat risky project even though the project is not likely to benefit the firm's owners is True.
An agency issue alludes to a circumstance where there's a strife of intrigue between the supervisors (operators) and the proprietors (principals) of a firm. In this case, in case of directors fear losing their employment and dismissing a promising but to some degree hazardous extent, indeed though the extension isn't likely to advantage the firm's proprietors, it can be considered an organization issue.
Directors may prioritize their interfaces, such as work security or self-preservation, over maximizing shareholder riches. By dismissing the venture to maintain a strategic distance from potential dangers or negative results that might reflect ineffectively on their performance, directors may not act within the best interface of the firm's proprietors. This misalignment of the interface makes an office issue.
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The guidelines stated for alcohol consumption should not exceed ______________ a week.
The guidelines stated for alcohol consumption should not exceed 14 units a week.
What is alcohol consumption?
Alcohol has played a significant part in social interaction and bonding throughout history and continues to do so today. For many people, moderate alcohol consumption or social drinking is enjoyable. However, excessive alcohol use is associated with a number of unfavourable consequences, including being a risk factor for diseases and bad health effects, criminality, traffic accidents, and for some, alcohol dependence. Worldwide, drinking alcohol contributes to 2.8 million early deaths each year. This item examines statistics on alcohol consumption patterns around the world, types of drinks consumed, the incidence of alcoholism, and the effects on crime, mortality, and traffic accidents.
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what do you understand by attributes in HTML?
this question is of computer.
Double-entry bookkeeping is a system of recording and classifying business transactions in separate accounts in order to maintain the accounting equation. By the amount of the transaction. In all accounts including those that do not maintain the accounting equation. in general ledgers. none of the above.
Double-entry bookkeeping is a system of recording and classifying business transactions in separate accounts in order to maintain the accounting equation. This is done by recording the amount of the transaction in at least two accounts, ensuring that all accounts are affected by the transaction.
This method is used in all accounts, including those that do not maintain the accounting equation and is recorded in the general ledgers. Under this system, every business transaction is recorded by debiting one or more accounts and crediting one or more accounts. The amount of the transaction is recorded in at least two accounts, ensuring that the total debits equal the total credits.
This process maintains the balance in the accounting equation and provides a comprehensive view of the financial impact of each transaction. Double-entry bookkeeping is applied to all types of accounts, including those that do not directly impact the accounting equation. For example, revenue and expense accounts, which contribute to the determination of net income, are also recorded using the double-entry method.
These transactions are then recorded in the general ledgers, which serve as the central repository for all account balances in an organization. The general ledgers provide a comprehensive and organized record of financial activities, allowing for accurate financial reporting and analysis.
Overall, double-entry bookkeeping ensures accuracy, integrity, and consistency in financial recording, classification, and reporting, enabling businesses to maintain a clear understanding of their financial position. Therefore, the correct answer is "By the amount of the transaction. In all accounts including those that do not maintain the accounting equation. In general ledgers."
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who looks over the land and determines the best location for the structure.
Answer:
what does this mean
Explanation:
Portions of the financial statements for Hawkeye Company are provided below.HAWKEYE COMPANYIncome StatementFor the Year Ended December 31, 2021($ in millions)Sales $ 990 Cost of goods sold 395 Gross margin 595 Operating expenses: Salaries $ 241 Depreciation 199 Loss on sale of land 12 Total operating expenses 452 Operating income 143 Other income (expense): Gain on sale of cash equivalents 4 Interest expense (49 ) Income before tax 98 Income tax expense 49 Net income $ 49 HAWKEYE COMPANYSelected Accounts from Comparative Balance SheetsDecember 31, 2021 and 2020($ in millions)Year 2021 2020 ChangeCash $ 230 $ 209 $ 21 Accounts receivable 404 439 (35 )Inventory 878 859 19 Accounts payable 219 252 (33 )Salaries payable 189 206 (17 )Interest payable 73 59 14 Income tax payable 99 122 (23 )Required:1. Prepare the cash flows from operating activities section of the statement of cash flows for Hawkeye Company using the direct method. (Enter your answers in millions (i.e., 10,000,000 should be entered as 10). Amounts to be deducted should be indicated with a minus sign.)
We can prepare the cash flows from operating activities section of the statement of cash flows for Hawkeye Company using the below direct method.
Begin with the beginning balance of cash:
December 31, 2021: $230 million
Next, calculate the cash inflows and outflows from operating activities using the following information:
Net income: $49 million
Depreciation: $199 million
Interest expense: $49 million
Income tax expense: $49 million
Gain on sale of cash equivalents: $4 million
Loss on sale of land: $12 million
Total operating cash inflows: $49 million
Purchases of property, plant, and equipment: $150 million
Purchases of supplies: $30 million
Increase in accounts payable: $15 million
Decrease in accounts receivable: $35 million
Increase in inventory: $19 million
Decrease in salaries payable: $17 million
Increase in interest payable: $14 million
Net cash provided by operating activities: $150 million
Finally, add back the changes in working capital accounts to obtain the net cash provided by operating activities:
Adjusted net cash provided by operating activities: 17million+14 million = $217 million
The net cash provided by operating activities section of the statement of cash flows would look like this:
| 2021 | Net cash provided by operating activities | $217 million |
Therefore, the cash flows from operating activities section of the statement of cash flows for Hawkeye Company using the direct method would be: Net cash provided by operating activities: $217 million
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There are two goods, Energy (E) and Forestry products (F). Factors of production are specified as Labour (L), Capital (K) and Land (T). Marginal Productivity of factor i in production of good j is specified as MPij. Factor prices are PL = =w (wage), PK = r (rental rate on capital), PT = s (lease/rental rate on land). (a) Specific Factors: production functions, E = E(L, K) and F = F(L,T). K and T are fixed and immobile. L is mobile between industries. MPL¡ is diminishing for both j E and j F. Use a 4-quadrant diagram to derive the Production Possibilities for this economy.
In this scenario, we have two goods, Energy (E) and Forestry products (F), and three factors of production - Labour (L), Capital (K), and Land (T). The marginal productivity of each factor in the production of each good is specified as MPij, and the factor prices are PL=w (wage), PK=r (rental rate on capital), and PT=s (lease/rental rate on land).
In the specific factors model, we assume that K and T are fixed and immobile, while L is mobile between industries. The production functions for E and F are specified as E = E(L, K) and F = F(L,T), with MPL¡ diminishing for both goods. This means that as we increase the amount of labour used in production, the marginal productivity of labour will decrease. This is a common assumption in economic models, as it reflects the fact that as we add more of a particular factor of production, its productivity eventually begins to decline. Overall, the specific factors model provides a useful framework for understanding how changes in factor prices and availability can affect production and trade patterns in an economy.
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managers will have more power in the negotiation process if they appear less confident than the other party.T/F
False. Managers will not have more power in the negotiation process if they appear less confident than the other party.
In the negotiation process, confidence plays a significant role in exerting influence and achieving favorable outcomes. Therefore, the statement that managers will have more power in negotiations if they appear less confident is false.
Confidence is often associated with competence, credibility, and assertiveness, which can contribute to a manager's perceived power and influence during negotiations. Appearing less confident may undermine a manager's power in negotiations. It can create an impression of weakness, lack of conviction, or uncertainty, potentially leading the other party to exploit the situation or negotiate from a position of strength.
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Which seven-step guidelines are designed to help organizations with compliance and reporting?
Federal Sentencing Guidelines are designed to help organizations with compliance and reporting.
What are Federal Sentencing Guidelines?
The United States Federal Sentencing Guidelines are rules issued by the United States Sentencing Commission that establish uniform policy for the sentencing of individuals and entities convicted of felonies and misdemeanors in the federal court system of the United States. This principle does not apply to crimes or less serious crimes.
Although the Guidelines were initially called mandatory, the 2005 decision of the United States Supreme Court in United States v. Booker concluded that the Principles, as originally created, violated the Sixth Amendment's right to trial by jury, and the remedy chosen was to repeal those provisions of the statute establishing Rules are mandatory.
After Booker and other Supreme Court cases, such as Blakely v. Washington (200), The Guidelines are currently considered advisory only. Federal judges (state magistrates are not affected by the guidelines) must calculate the guidelines and consider them when determining a sentence, but are not required to impose sentences within the guidelines. .
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qualified student loans may be discharged without the borrower incurring cancelled debt income T/F
Qualified student loans may be discharged without the borrower incurring cancelled debt income True. If the discharge is due to the borrower's death or permanent and total disability.
Additionally, if the borrower qualifies for certain loan forgiveness programs, such as Public Service Loan Forgiveness or Teacher Loan Forgiveness, any cancelled debt would not be considered taxable income. However, if the borrower's loan is discharged due to other reasons, such as bankruptcy or insolvency, any cancelled debt may be considered taxable income. It is important for borrowers to understand the specific circumstances under which their loan may be discharged and whether or not they will be subject to cancelled debt income.
True, qualified student loans may be discharged without the borrower incurring cancelled debt income. To clarify, this means that under certain circumstances, borrowers can have their student loans discharged without facing any tax implications for the cancelled debt. This can occur, for example, if the borrower qualifies for loan forgiveness through the Public Service Loan Forgiveness Program or Teacher Loan Forgiveness Program, or if the borrower becomes permanently disabled.
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does anyone know how this is done? i need to know asap due in a while
a) The method used to calculate GDP should be the expenditure approach, which adds up total consumption (C), investment (I), government spending (G), and net exports (X-M).
Solution to the rest of the questions in detailb) Using the expenditure approach, the GDP can be calculated as follows:
GDP = C + I + G + (X - M) = 30 + 15 + 20 + (50 - 70) = 25.
c) The value of net exports can be calculated as:
Net exports = Exports - Imports = 50 - 70 = -20
d) The method that cannot be used with the given data is the income approach.
e) The data is incomplete because the information provided only covers some of the components of GDP, such as consumption, exports, rent, investment, government spending, and wages. Information on other components, such as net taxes, subsidies, and depreciation, is not provided, making the data incomplete for calculating GDP using the income approach.
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what is the purpose of preparing an adjusted trial balance? multiple choice question. to ensure that all transactions have been recorded to ensure that total debits equal total credits after the adjustments have been recorded to ensure that the correct accounts have been adjusted to ensure that there have been no errors in recording the transactions
The purpose of preparing an adjusted trial balance to ensure that total debits equal total credits after the adjustments have been recorded.
A trial balance is a financial report that shows the closing balances of all accounts in your general ledger at a point in time. Creating a trial balance is the first step towards closing the books at the end of the accounting period.
There are three types of Trial Balance: Unadjusted Trial Balance, Adjusted Trial Balance, and Post-Closing Trial Balance. Each is used at different stages of the billing cycle.
A ledger is an account-by-account summary of business transactions recorded in a journal. A mock trial Balance sheet is a statement produced at the end of a fiscal year to show the debit or credit balances of all general ledger accounts.
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True or false: the operations manager is involved primarily with supply network design.
The activities director is very familiar with a few sorts of plan: procedure, design, job design, supply network design, and organizational design.
In supply chain management, what role does the operations manager play?Supply Chain Management The operations manager is in charge of managing the process of the supply chain by controlling inventory management, the production process, sales, distribution, and locating suppliers who can supply the necessary goods at fair prices.
In terms of operations management, what is network design?The process of building and modeling a supply chain to better understand the costs and time involved in bringing goods to market with the resources and locations available is known as supply chain network design.
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All of the following our services that are available at banks except.....
Automatic bill payment
ATM
Tax accounts
Money orders
Overdraft protection
Debit card
Travelers checks
Online banking
is it money order.i am confused
Type the correct answer in the box. Spell all words correctly.
Ideally, what should more than one member of the family contribute to for a better financial position?
A family can have more than one person contributing to the household _______
for a better financial position.
A family can have more than one person contributing to the household income for a better financial position.
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♥️ \(\large{\underline{\textcolor{red}{\mathcal{SUMIT\:\:ROY\:\:(:\:\:}}}}\)
A ({bond} or {stock}) will pay income based on an interest rate, while a ({bond) or (stock)} may give dividends to investors. Both interest income and dividends contribute to the ({cost) or (return) or (risk)} on an investment.
Answer:
A bond will pay income based on an interest rate, while a stock may give dividends to investors. Both interest income and dividends contribute to the return on an investment.
Explanation:
A bond is a long-term debt tool used by governments and corporations to raise funds. To investors, bonds offer long-term investment opportunities that pay interest based on the prevailing market rates.
A stock is the smallest unit of a company. Owning stock is owning a small portion of the company. Stockholders are entitled to share in the profits of a company; that's why they receive dividends.
An investment is a commercial undertaking that provides the investor with a financial gain. The financial gain or profits may be dividends from shares or interests from deposits.
Answer:
A bond will pay income based on an interest rate, while a stock may give dividends to investors. Both interest income and dividends contribute to the return on an investment.
Explanation:
it just make sense to me
Answer the qwustion and show your work and provide a detailed
explanation as to why that answer is correct (letter d is wrong).
The question asks for an explanation of the given question.
The given question requests an explanation, which means providing a detailed account or description of the question. In this context, an explanation would involve breaking down the components of the question, examining its structure, and offering insights into its purpose and relevance.
Explaining a question typically involves analyzing its underlying concepts, identifying any key terms or assumptions, and providing a clear and comprehensive response that addresses the question's intent. It often requires breaking down complex ideas into simpler terms, providing examples or evidence to support the answer, and ensuring the response is logical and coherent.
By explaining the given question, we can enhance understanding, clarify any uncertainties, and provide a thorough response that satisfies the inquiry. It allows for a deeper exploration of the topic at hand and provides the necessary context for a meaningful and informed discussion.
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Which statement below defines accounting?
a) It identifies, records, and communicates business transactions.
b) It contains a record of all transactions that cannot be measured in monetary units.
c) It is helpful in comparing the performance of one company against a competitor.
d) It is essential to help make business decisions.
The defining claim of accounting is that it identifies, records and communicates business transactions to help an organization make better decisions.
Accounting objectivesIt helps a company to measure economic performance and make more effective decisions based on its financial records, developing more effective cost planning for the correct flow of business.
Therefore, accounting is an essential process for companies to assess their financial situation, demonstrate transparency, comply with legality and make decisions more in line with their objectives.
The correct alternative is letter a.
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Pretend you are President of the United States. The Citizens and the economy of the USA need financial assistance to get back on their feet. List and describe three fiscal Policies you would initiate (describe each policy in 3 sentences):
Assuming i am the President of U.S. and the country needs a financial assistance to get back on their feet. The most likely fiscal Policies we would initiate are the:
contractionary fiscal policyexpansionary fiscal policyWhat do we call a Fiscal policy?In economics, a fiscal policy refers to a governmental decision to increase or decrease taxation and spending. Most time, a Fiscal and monetary policy are often used together to influence the economy. But the fiscal policy can affect a company’s growth, hiring ability and taxes.
We have 3 types of fiscal policy which includes a neutral, expansionary, and contractionary fiscal policy. The neutral policy is one where government takes no steps to provide economic support because it feels the economy is healthy and stable, the expansionary fiscal policy mainly involves increasing spending or cutting taxes to prevent or end a recession or depression and the contractionary fiscal policy involves cutting spending or raising taxes to slow down unsustainable economic growth.
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Springwater Brewery has two main products: premium and regular ale. Its operating results and master budget for 20×X(000 s omitted) follow: Pam Kuder, CEO, expected the total industry sales to be 1,625,000 barrels during the period. After the year, Mark Goldfeder, the controller, reported that the total sales for the industry were 1,680,000 barrels. \begin{tabular}{|l|rr|l|} \hline Market size variance & $ & 2,904 & Favorable \\ \hline Market share variance & $ & 9,240 & Favorable \\ \hline Sales quantity variance & $ & 10,450 & Favorable \end{tabular}
The market size variance for Springwater Brewery is $2,904 favorable. This indicates that the actual industry sales of 1,680,000 barrels exceeded the expected sales of 1,625,000 barrels.
The market share variance is $9,240 favorable. This suggests that Springwater Brewery's share of the total industry sales was higher than anticipated.
The sales quantity variance is $10,450 favorable. This means that Springwater Brewery sold more barrels of ale than expected during the period.
Overall, these variances indicate that Springwater Brewery performed better than expected in terms of market size, market share, and sales quantity.
The favorable variances suggest that the brewery was able to capitalize on a larger market, gain a larger share of the market, and sell more products than initially projected.
This could be attributed to various factors such as effective marketing strategies, customer demand, product quality, or competitive advantages.
These positive variances indicate a successful performance for Springwater Brewery in terms of sales volume and market penetration.
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What are taxes that are applied specifically to imports and/or exports?
A.
capital
B.
tariffs
C.
wages
D.
global trade
Answer:
hola nose puede en español
The Correct Answer: tariffs
even though you believe college tuition should be increased to meet rising expenses, you go along with a group of friends as they organize a protest for lower tuition. this is an example of:
To maximize benefits and cut down on expenditures is the goal of this trade.In keeping with this notion, people evaluate the advantages and disadvantages of their social connections.
What does it mean that people engage in a way that maximizes benefits and minimizes costs? You join a group of friends as they plan a demonstration for cheaper tuition, despite the fact that you think college tuition should be raised to keep up with rising costs.Identification is demonstrated by this.According to the social exchange theory, exchange processes lead to social behavior.To maximize benefits and cut down on expenditures is the goal of this trade.In keeping with this notion, people evaluate the advantages and disadvantages of their social connections.Government elections call for voting in secret so that we are not subject to outside pressure because it has been found that replies are more likely to be conformist when they are public than when they are private.When kids must publicly cast their votes for something, the Asch effect is plainly visible.To learn more about maximize benefits refer
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Lao and Lamar fill egg cartons with eggs. Lao just started the job and can fill only 25 cartons an hour. Lamar has significant on-the-job experience and can fill 50 cartons an hour. Both Lao and Lamar work 50 hours a week. Lao's average weekly productivity is ______ cartons; Lamar's average weekly productivity is ______ cartons; and as a team their average weekly productivity is ______ cartons.
Lao's average weekly productivity is 1,250 (25 x 50) cartons; Lamar's average weekly productivity is 2,500 (50 x 50) cartons, and as a team, their average weekly productivity is 1,875 (1,250 + 2,500)/2 cartons.
What is productivity?Productivity is the measure of the output versus the input. The input, in this case, is the labor hours. The output is the number of cartons produced by each worker per week.
Data and Calculations:
Number of cartons filled per hour by Lao = 25 cartons
Number of cartons filled per hour by Lamar = 50 cartons
Number of hours per workweek = 50 hours
Total productivity by Lao = 1,250 cartons (25 x 50)
Total productivity by Lamar = 2,500 cartons (50 x 50)
Total productivity by both workers = 3,750 cartons (1,250 + 2,500)
Average productivity per week = 1,875 cartons (3,750/2)
Thus, Lao's average weekly productivity is 1,250 (25 x 50) cartons; Lamar's average weekly productivity is 2,500 (50 x 50) cartons, and as a team, their average weekly productivity is 1,875 (1,250 + 2,500)/2 cartons.
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xavi is considering advertising his artwork in a local gallery, the cost of which is $80 per month. what would be the new annual breakeven revenue (in dollars) if he continues to sell his pieces for $15?
If he keeps selling his artwork for $15, his new yearly breakeven earnings will be $4,150.
The definition of revenue:Revenue is the total sum of funds received first from sale of goods or services essential to a company's primary activities. Revenue, often referred to as total profits or revenue, is at the bottom of the revenue sheet and is frequently referred to as the "top line."
Briefing:Total fixed cost = $700 + ($80 X 12) = $1,660
Margin of contribution = $15 - $9 Equals $6
40% is the contribution margin ratio, or $6 / $15.
Breakeven sales = $1,660 / 40%
= $4,150
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The complete question is-
Xavi sells seashore paintings, his annual Fixed Costs are $700 and the Variable Costs are $9 per canvas. The Market Size for the souvenir paintings in his area is 2,800 canvases, and Xavi wants to achieve a Market Share of 8%.
Xavi is considering advertising his artwork in a local gallery, the cost of which is $80 per month. What would be the new annual break-even revenue (in dollars) if he continues to sell his pieces for $15?
The United Nations (UN) has many goals. Which statement below is one of its goals?
Question 2 options:
to provide tax cuts to the ultra wealthy throughout the world
to promote anti-vaccination campaigns
to end extreme poverty
to stay out of assisting in national elections, leaving the issue of voting to each individual nation or country
Answer:
to promote anti- vaccination campaigns
Solar Innovations Corporation bought a machine at the beginning of the year at a cost of $22,000. Assume the estimated productive life was five years and the residual value was $2,000. The estimated productive life of the machine is 10,000 units. Expected annual production was year 1, 2,000 units; year 2, 3,000 units; year 3, 2,000 units; year 4, 2,000 units; and year 5, 1,000 units. Required: Complete a depreciation schedule for the units-of-production method. Prepare the journal entry to record Year 2 depreciation.
The highest Depreciation Expense was recorded in Year 2 for $6,600
Using the Units of production method, we Use the formulae
Units of Production = ( Cost of Asset / Total Machine units ) X Usage per year
Year 1 : ( 22,000 / 10,000 ) X 2,000 = $4,400
Year 2 : ( 22,000 / 10,000 ) X 3,000 = $6,600
Year 3 : ( 22,000 / 10,000 ) X 2,000 = $4,400
Year 4 : ( 22,000 / 10,000 ) X 2,000 = $4,400
Year 5 : ( 22,000 / 10,000 ) X 1,000 = $2,200
journal entry to record Year 2 depreciation.
Account titles and explanation Debit Credit
Depreciation Expense Year 2 $6,600
Accumulated Depreciation $6,600
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eastman publishing company is considering publishing an electronic textbook about spreadsheet applications for business. the fixed cost of manuscript preparation, textbook design, and web-site construction is estimated to be $160,000. variable processing costs are estimated to be $6 per book. the publisher plans to sell single-user access to the book for $46.build a spreadsheet model to calculate the profit/loss for a given demand. what profit can be anticipated with a demand of 3500 copies?use a data table to vary demand from 1000 to 6000 in increments of 200 to assess the sensitivity of profit to demand.use goal seek to determine the access price per copy that the publisher must charge to break even with a demand of 3500 copies.
To determine the access price per copy that the publisher must charge to break even with a demand of 3500 copies, we can use the goal seek function. We can set the profit to zero and use the goal seek function to find the access price per copy that would result in zero profit with a demand of 3500 copies. This will give us the access price per copy required to break even at the given demand level.
Eastman Publishing Company is considering publishing an electronic textbook on spreadsheet applications for business. In order to make this decision, the company needs to analyze the potential profits and losses that may arise from this venture. This can be done by building a spreadsheet model that takes into account the fixed and variable costs, as well as the demand for the book.
The fixed costs of manuscript preparation, textbook design, and web-site construction are estimated to be $160,000. This means that regardless of how many copies of the book are sold, the publisher will need to spend this amount of money to produce the book. On the other hand, the variable processing costs are estimated to be $6 per book. This means that the more copies of the book that are sold, the higher the processing costs will be.
The publisher plans to sell single-user access to the book for $46. This price is the revenue per copy that the publisher will earn from each sale. Using this information, we can build a spreadsheet model to calculate the profit/loss for a given demand.
To calculate the profit or loss for a given demand, we need to determine the total revenue and total cost. Total revenue is calculated by multiplying the access price per copy by the number of copies sold. Total cost is the sum of the fixed cost and variable cost.
For example, if the demand is 3500 copies, the total revenue would be $46 x 3500 = $161,000. The total cost would be $160,000 (fixed cost) + $6 x 3500 (variable cost) = $182,000. Therefore, the profit would be $161,000 - $182,000 = -$21,000, indicating a loss.
To assess the sensitivity of profit to demand, we can use a data table. We can set up a data table with demand as the input, and total revenue, total cost, and profit as the outputs. We can then vary the demand from 1000 to 6000 in increments of 200 and observe the corresponding outputs. This will help us determine the demand level at which the venture becomes profitable.
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