QUESTION 10 As the CEO of Hakooplan clothing company you want to decide whether to manufacture a particular product or outsource its production. Your business analysis team develops a spreadsheet model and uses Excel's What If analysis to analyze "Savings due to Outsourcing" based on different scenarios. The results below are provided to you as the CEO D Parameters 2 Outsourcing Cost per unit Saving due to outsourcing per prod. volume Savings due to outsourcing per prod. volume and outsource cost per unit 3 Prod Vol.5 14.500.00 $14.500.00 420 54355 4505 45 Fred Cost $ 25,000.00 10000 $21,500 10000 524500 $20,000 521.500 $70,000 SHSCO 5 Material cost per unit $ 2.15 20000 $10,000 10000 $4,000 $71.000 $18,000 515.000 $12.000 6 Labor cost per unit 5 2.00 30000 514.500 30000 $23.500 519,000 $140.500 $10,000 $5.500 7 10000 $11,000 4000 $23,000 517.000 $11.000 55.000 000 Model 50000 57.500 Wood 522.500 $15,000 57.500 50 7.00 9 Production Volume 000 10000 54.000 togoo $22.000 $13,000 $4.000 S. 514 10 70000 $500 7000 $250 $11,000 $500 510.000) 11 Total Outsource Cost 5.135.000.00 20000 151001 ROCCO $21,000 59.000 S. 55.000.000 12 0000 156 Sool OOO $20.500 $7.000 50 .co. Total Fixed Cou 5 25,000.00 100000 1510 000 100000 $20.000 55.000 10.000.000 14 Total Material Cost $ 64,500.00 The outsourcing cout it is $450 The most protheses rebe 15 Total Labor Cost $ 60,000.00 The amounts in partenente The first most compress the production 16 Total Cost $ 149,500.00 Laft.colum present production volume The top row mounts represent "Overcing Cost" 17 Night column present Savings or to viewing The amount in each cal represent "Savings de touring 18 Savings due to outsourcing 514.500.00 19 Assuming that the company to which you outsource charges you $4.65 per unit, based on the results above, at what production volume is the break even point) Note: . Do not use the sign in your answer. For example, if there is a saving of 599, the answer is 99 Use a negative sign before the amount to show that it is a loss. For example, if there is a loss of $99, the answer is 99. If there is a saving or $99, then the answer is 99

Answers

Answer 1

As the CEO of Hakooplan clothing company, you have to decide whether to manufacture a particular product or outsource its production.

The business analysis team developed a spreadsheet model and used Excel's What If analysis to analyze "Savings due to Outsourcing" based on different scenarios. The table given provides the results.As per the given data, the outsourcing cost per unit is \($450\), and the saving due to outsourcing per production volume is\($14,500\). Given, the company to which you outsource charges you \($4.65\) per unit.

The break-even point occurs where the total cost of manufacturing equals the total cost of outsourcing. To find the break-even point, we will equate the total cost of manufacturing to the total cost of outsourcing.The total cost of outsourcing = Outsourcing cost per unit x Production volumeTotal Cost of Manufacturing = \($25,000 + $64,500 + $60,000 = $149,500\)Let the production volume at the break-even point be x.

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Related Questions

monetarists believe that changes in the supply of money a. affect aggregate demand directly. b. do not affect aggregate demand. c. affect aggregate demand through the loanable funds market only. d. affect only the investment component of aggregate demand.

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Monetarists believe that changes in the supply of money affect aggregate demand directly. Option A

Monetarism is an economic theory that emphasizes the role of money supply in the economy. According to monetarists, the supply of money directly affects the level of aggregate demand in the economy.

They argue that an increase in the money supply leads to an increase in spending, while a decrease in the money supply leads to a decrease in spending. Therefore, the monetarist theory suggests that controlling the money supply is an effective way to stabilize the economy and control inflation.

Monetarists believe that changes in the money supply affect aggregate demand because money is the medium of exchange used in transactions. An increase in the money supply lowers the cost of borrowing, which encourages more investment and consumption, leading to higher aggregate demand.

Conversely, a decrease in the money supply raises the cost of borrowing, which reduces investment and consumption, leading to lower aggregate demand.

Overall, monetarists view the money supply as a critical tool for macroeconomic stabilization, and they advocate for monetary policy to be used to manage the money supply to achieve stable economic growth and control inflation. Option A is correct.

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the connection between trade balances and international flows of financial capital is so close that economists sometimes describe the balance of trade as the _______________.

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The connection between trade balances and international flows of financial capital is so close that economists sometimes describe the balance of trade as the "current account."

The connection between trade balances and international flows of financial capital is so close that economists sometimes describe the balance of trade as the "current account."

The current account measures the balance of trade, net income from abroad, and net current transfers.

The current account is part of the balance of payments, which includes the capital and financial accounts.

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Pearl has estimated that fixed costs per month are $344,655 and variable cost per dollar of sales is $0.31. What level of sales dollars is needed for a monthly profit of $79,212? For the month of July, the marina anticipates sales of $991,400. What is the expected level of profit?

Answers

The expected level of profit for the month of July is approximately $628,905.60.

To determine the level of sales dollars needed for a monthly profit of $79,212, we can use the following formula:

Profit = (Sales - Variable Costs) - Fixed Costs

Given that the fixed costs per month are $344,655 and the variable cost per dollar of sales is $0.31, we can rewrite the formula as:

$79,212 = (Sales - $0.31 * Sales) - $344,655

Simplifying the equation:

$79,212 = (1 - 0.31) * Sales - $344,655

$79,212 = 0.69 * Sales - $344,655

Now, we can solve for Sales:

0.69 * Sales = $79,212 + $344,655

0.69 * Sales = $423,867

Sales = $423,867 / 0.69

Sales ≈ $614,797.10

Therefore, to achieve a monthly profit of $79,212, Pearl would need sales dollars of approximately $614,797.10.

For the month of July, with anticipated sales of $991,400, we can calculate the expected level of profit using the same formula:

Profit = (Sales - Variable Costs) - Fixed Costs

Profit = ($991,400 - ($0.31 * $991,400)) - $344,655

Profit ≈ $628,905.60

Hence, the expected level of profit for the month of July is approximately $628,905.60.

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The National Association of Theatre Owners (NATO) bills itself as the "largest exhibition trade organization in the world" dedicated to helping to "influence federal policy-making". NATO keeps track of the movie-going public, tallying the kinds of movies people go to see, where they see them, and how much money they spend on such outings. Suppose you attend a city council meeting and a citizen claims that only R-rated films are being shown these days. You are intrigued and visit NATO's website to see if you can find any numbers to corroborate that claim. You find the following table that shows the number of movies released by year for each rating:

Answers

The National Association of Theatre Owners (NATO) is an organization that claims to be the "largest exhibition trade organization in the world" dedicated to helping "influence federal policy-making".

The organization maintains track of the movie-going public, keeping a record of the types of movies people watch, where they watch them, and how much money they spend on such outings. If you attend a city council meeting and a citizen claims that only R-rated films are being shown these days, you can find out whether the claim is valid by visiting NATO's website and looking up the numbers.

The following table, which displays the number of movies released each year for each rating, was discovered on NATO's website:  

Year  G  PG  PG-13  R  NC-17 2012  78  169  168  194  2 2013  81  149  141  199  1 2014  78  146  149  194  1 2015  81  121  155  179  2 2016  95  117  147  171  1

The above table confirms the citizen's complaint as only around 20% of the movies released over the past few years have been rated R. This information can be used by theater owners to dispel this and other incorrect notions, and perhaps to persuade city councils to assist in the construction of new theaters.

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What is the opportunity cost of samsung repairs production (in terms of iphone repairs/samsung repairs)?

Answers

The opportunity cost of Samsung repairs production in terms of iPhone repairs/Samsung repairs is the ratio of the number of iPhone repairs that could have been performed instead of producing one more unit of Samsung repairs.

Opportunity cost is the expense of giving up the next best option while making a decision. The finest option in this situation is Samsung repair production, with iPhone repair coming in second.

The opportunity cost of creating Samsung repairs, for instance, would be 2 iPhone repairs for every Samsung repair if generating one extra unit of Samsung repairs meant forgoing two units of iPhone repairs. This indicates that the potential cost of the manufacture of Samsung repairs was two units of iPhone fixes for every unit of Samsung repairs produced.

The worth or benefit lost by engaging in a specific activity in comparison to engaging in a different task is defined as the opportunity cost in microeconomic theory.

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Rachel Radcliff earns an annual salary of $126,000. How much social security taxes will be deducted from her salary in May?

Answers

Answer:

$651

Explanation:

Rachel earns  $126,000 per year. Since a year has 12 months, her monthly income will be $126,000 divide by twelve.

=$126,000/ 12

=$10,500

Social security deductions are at a rate of 6.2% of gross pay.

Rachel earned $10,500 in May. Her social deductions will be,

6.2 % of $10,500.

=6.2/100 x $10,500

=0.062 x $10,500

=$651

Look at the following email (attached). Name two good email netiquette practices used in the
email. Name two poor email netiquette practices

Look at the following email (attached). Name two good email netiquette practices used in theemail. Name

Answers

Two good email etiquettes practices used in email are:

Inserting a SubjectKeep the email short and restricted to three paragraphs.

Two bad email etiquettes used in the email above are:

Indiscriminate use of the exclamation markDiscussing personal issues in a formal email.

What are email etiquettes?

The use of acceptable language, standards, and politeness in an email is referred to as email etiquette. Business emails often need formal language as well as rigorous respect to appropriate grammar and spelling.

Five useful E-mail Etiquette are:

Address your addressee appropriately. Check, double-check, and triple-check that you have the right spelling of the recipient's name and title.Proper greetings and closing statements should be used.Format correctly.Avoid using ALL CAPS.Large files should be compressed.

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, environmental trends and Ethical trends affect a pharmacy business? I need one whole paragraph for them

Answers

The negative impact of the production of pharmaceutical products on the natural environment is well known. However, this remains largely unregulated, meaning the extremely toxic impact it has on both animals and humans continues with no clear end in sight.

International organisations and the pharmaceutical industry have begun to notice that the detrimental impact pharma products have on the environment on a global scale.Pharmaceutical products enter the environment at various stages of their life-cycle, but particularly during the production phase. One of the main threats is that discharging antibiotics into the environment can promote the natural development of antibiotic-resistant pathogens that are harder to treat. Lord Jim O’Neill noted this trend in his 2016 UK government-funded independent Review on Antimicrobial Resistance.Although it is a global issue, like other environmental issues, pharma pollution more directly and seriously affects those living near production plants whose water and food sources are contaminated with waste pharma products.Health Care Without Harm (HCWH) Europe runs the Safer Pharma campaign to raise awareness of the negative relationship between pharma and the environment and challenge the healthcare industry to clean up its production.The production of both active pharmaceutical ingredients (APIs) and finished dose antibiotics is concentrated in specific locations so the resulting point, source pollution, is in incredibly high concentrations and encourages the development of drug resistance,” says HCWH Europe pharmaceuticals policy officer Dr Adela Maghear. “This practice has a detrimental impact on vulnerable populations living near manufacturing facilities and wastewater treatment plants in these countries.The pollution of pharma products into the environment also adversely affects animals, particularly fish living in contaminated water. For example, a report published in science journal Nature in 2009 noted that ‘many of Europe’s rivers are home to male fish that are ‘intersex’ and so display female sexual characteristics, including female reproductive anatomy. Some males also produce vitellogenin, a protein normally.

Discuss the roll of timing and technology as it relates to competitive advantage.

Answers

The role of timing and technology in gaining a competitive advantage is crucial in today's fast-paced business environment.

1. Timing: Timing refers to the ability to enter the market at the right moment. It involves identifying and seizing opportunities before competitors do. Being the first to introduce a new product or service can give a company a significant competitive advantage.

2. Advantages of timing: Early market entry allows a company to establish brand recognition, capture market share, and set industry standards. It can also enable the company to build customer loyalty and gain a first-mover advantage, which makes it harder for competitors to catch up.

3. Examples of timing: Consider the launch of the iPhone by Apple. By entering the smartphone market ahead of its competitors, Apple was able to establish itself as a leader and gain a substantial market share. Similarly, companies like Netflix and Uber capitalized on emerging trends and technologies to disrupt traditional industries.

4. Technology: Technology plays a vital role in gaining a competitive advantage. It enables companies to innovate, streamline operations, improve efficiency, and deliver better products or services to customers. Adopting the right technology can differentiate a company from its competitors.

5. Technological advantages: By leveraging technology, companies can automate processes, improve data analysis and decision-making, enhance customer experience, and increase productivity. For example, e-commerce platforms use advanced algorithms and artificial intelligence to personalize product recommendations and improve customer satisfaction.

6. Examples of technology: Amazon's use of advanced logistics technology allows them to provide fast and efficient delivery, giving them a competitive edge in the retail industry. Tesla's electric vehicles and their cutting-edge battery technology have revolutionized the automotive industry, positioning them as leaders in the market.

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Identify the type of variance defined by the following formula: (Actual Price - Standard Price) Actual Quantity. O Quantity variance O Price variance O Cost variance:

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The type of variance defined by the formula (Actual Price - Standard Price) Actual Quantity is the "Price variance". This is because the formula calculates the difference between the actual price and the standard price, and multiplies it by the actual quantity.

This gives us the variance in price, which can then be used to analyze the reasons behind the difference in cost and take corrective measures if necessary. The formula (Actual Price - Standard Price) Actual Quantity calculates the difference between the actual cost of a product and the standard cost of a product, multiplied by the actual quantity produced. Therefore, the type of variance defined by this formula is a Price Variance, as it measures the difference between the actual price paid for a product or material and the expected or standard price, multiplied by the actual quantity purchased or used.

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Market segmentation and asymmetric information would help explain, which of the following:Select one:a. foreign investors do not have capital to investb. international investors lack skills to do researchc. domestic investors lack skills to do researchd. foreign investors lack information about the local markets and firms

Answers

The correct answer is d. foreign investors lack information about the local markets and firms.

Market segmentation refers to dividing a market into distinct groups based on characteristics such as demographics, behaviors, or needs. It helps companies target specific segments with tailored marketing strategies. In the context of the given options, market segmentation explains why foreign investors may lack information about the local markets and firms.
Asymmetric information occurs when one party in a transaction possesses more information than the other, leading to an imbalance in knowledge. In this case, foreign investors may face a lack of information about local markets and firms due to the asymmetry of information. Domestic investors, on the other hand, are more likely to have better access to information and knowledge about their local markets.
Therefore, market segmentation and asymmetric information help explain why foreign investors may lack information about local markets and firms, making it more challenging for them to make informed investment decisions.

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Careers emerging to improve environmental conditions include:


sanitary engineer

red physician

environmental geologist

green architect

Answers

Answer: The answer is green architect & environmental geologist.

Explanation:

Answer:

green architect and environmental geologist

Explanation:

Which is not true of birthday and/or annual review automatics?a. the purpose is to trigger a telephone call for a face-to-face meeting.b. quarterly automatic contacts decrease cross-sales and lead to reduced referrals.c. you are expected to stay in touch with all your active prospects and clients through two personal contacts each year?

Answers

Answer: b. Quarterly automatic contacts decrease cross-sales and lead to reduced referrals

Explanation:

During the annual review of business considering automatics it is observed that there is always a decrease in cross sales and these leads to a reduce in referrals.

When these happens, clients who raise offer for referrals drop interest.

The expected return for Stock Z is 30 percent. If we know the following information about Stock Z:
Return Probability
Poor 0.2 0.25
Lukewarm ? 0.5
Dynamite! 0.4 0.25
What return will stock Z produce in the Lukewarm state of the world?

Answers

The return for Stock Z in the Lukewarm state of the world is 30 percent.  

 To find the expected return?

To find the expected return for the Lukewarm state of the wrld, we need to use the probabilities provided and the overall expected return for Stock Z (which is 30 percent).

Let's call the return for the Lukewarm state "X". We know that the probability of Stock Z having a Poor return is 0.2, and the probability of having a Dynamite return is 0.4. So the probability of having a Lukewarm return must be 0.5 (since the sum of all probabilities must equal 1).

Using this information, we can set up the following equation:
0.2(0.25) + 0.5(X) + 0.4(0.25)

= 0.3
Simplifying, we get:
0.05 + 0.5X + 0.1

= 0.3
0.5X = 0.15
X = 0.3
Therefore, the return for Stock Z in the Lukewarm state of the world is 30 percent.

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Why would My future job be a flight attendant

Answers

Answer:

if you like to travel and be on planes and get that bag then be a flight attendant :) do what you want to!

Explanation:

Bakery has bought 250 pounds of muffin dough. They want to make waffles or muffins in half-dozen packs out of it. Half a dozen of muffins requires 1 lb of dough and a pack of waffles uses 3/4 lb of dough. It take bakers 6 minutes to make a half-dozen of waffles and 3 minutes to make a half-dozen of muffins. Their profit will be $1.50 on each pack of waffles and $2.00 on each pack of muffins. How many of each should they make to maximize profit, if they have just 20 hours to do everything?

Answers

Answer and Explanation:

The number of packets of waffles is W

and the number of muffins are M

The weight of dough is 250 pound and a pack of muffins requires 1 lb of dough whereas a pack of waffles uses 3/4 lb of dough.

3÷4W+M≤250

Multiplying both sides by 4

3W+4M≤1000

It takes bakers 6 minutes to make a packer of waffles and 3 minutes to make a pack of muffins, the total time available is 20 hours or 1200 minutes.

3M+6M≤1200

Minus the initial equation from the new equation:

(3M+6M≤1200)−(3W+4M≤1000)

2M≤200

Dividing equation by 2

M≤100

For M≤100

3W+4M≤1000

3W≤1000−4M

For the Maximum values of M

the least value of W is obtained

3W≥1000−4×100

3W≥600

Dividing the equation by 3

W≥300

For maximum profit, the number of waffles and muffins is taken as 300 and 100 respectively :

1.5∗300+2∗100

=650

If a buyer, after having a liquidated damages purchase contract accepted, purchases a car which causes the buyer not to qualify for the loan, and if seller does not timely receive written notice to terminate,

Answers

Buyer may be able to negotiate with the seller to modify or terminate the contract, especially if the buyer can demonstrate that they were not at fault for the loan disqualification.

Can the seller keep the earnest money deposit in this scenario?

A liquidated damages purchase contract is a type of agreement between a buyer and seller where the parties agree in advance on the amount of damages that the buyer will pay to the seller in the event of a breach of contract. In the scenario described, if the buyer purchases a car that results in the buyer no longer qualifying for the loan, and the seller does not receive timely notice to terminate the contract, the buyer will likely be bound by the terms of the contract.

If the contract specifies that the buyer must pay liquidated damages in the event of a breach, the buyer may be required to pay the specified amount to the seller. However, the buyer may be able to negotiate with the seller to modify or terminate the contract, especially if the buyer can demonstrate that they were not at fault for the loan disqualification.

It's important for both buyers and sellers to carefully review and understand the terms of any contract before entering into it, and to seek legal advice if they have any questions or concerns.

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town loan center agrees to loan sara $1,500, accepting as collateral her car. they put their agreement in writing and sign it. sara keeps possession of the car. does town loan have an enforceable security interest? how can town loan let other creditors know of its interest in the car?

Answers

Under UCC Article 9, the seller must follow four processes to complete their security interest in the collateral automobile, which might alert other creditors to their interest in the vehicle.

1. Sara must meet the following conditions to obtain an effective security interest mostly in the car:

a. Sara must have legal ownership of the automobile.

b. The seller must provide a fair market value for a security interest.

c. Sara must have described the security arrangement for it to be validated, or the Seller needs to have the collateral.

2. The seller must complete his significant stake in the vehicle by enrolling it with the proper statutory agency.

The seller must take four procedures under UCC Article 9 to perfect their security interest within the collateral automobile. They are as follows:

a. Developing and submitting a financial statement to the statutory body

b. Establishing actual possession of the car

c. Taking control of the automobile by refusing to allow Sara to keep it.

d. Including a financial security interest in the automobile as a purchase condition.

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what is the maximum price the company would be willing to pay the outside supplier for part dy uf ut decudes ti buy

Answers

The maximum price that the company would be willing to pay the outside supplier for part dy uf ut decudes ti buy would depend on various factors such as the company's budget, cost of producing the part in-house, quality and availability of the part from the supplier, and competition in the market.

It's difficult to give a specific number without knowing the specifics of the situation. However, the company would likely conduct a cost-benefit analysis to determine the most financially feasible option. This analysis would involve evaluating the costs and benefits of buying the part from the supplier versus producing it in-house. The company would also consider negotiating with the supplier to get the best possible price while maintaining the desired quality of the part. Ultimately, the company's decision would depend on balancing the costs and benefits and making the most financially viable decision for the business.



The maximum price the company would be willing to pay the outside supplier for part DY can be determined through the following steps:
1. Calculate the company's internal production cost for part DY, which includes labor, materials, and overhead costs.
2. Determine the company's opportunity cost, which is the value of the next best alternative use of the resources if the company chooses not to produce part DY internally.
3. Add the internal production cost and opportunity cost to find the total cost of producing part DY in-house.
4. Finally, the maximum price the company would be willing to pay the outside supplier for part DY would be the total cost of producing it in-house. This is because if the supplier's price is higher than the company's total cost of producing it internally, the company would be better off producing the part in-house instead of buying it from the supplier.

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Do you think every working American needs a 401(k) account or an IRA? Why or why not?


No links
Need ASAP

Answers

Answer:

Both 401(k) accounts and IRAs are retirement savings accounts that allow individuals to save for retirement on a tax-advantaged basis. Contributions to these accounts are tax-deductible, and the earnings on the investments grow tax-free until they are withdrawn during retirement.

There are some benefits to having a 401(k) account or an IRA. They allow individuals to save for retirement in a tax-efficient way, and can provide a significant source of income during retirement. In addition, many employers offer matching contributions to 401(k) accounts, which can be a valuable incentive to participate.

However, there are also some drawbacks to these types of accounts. For example, they are subject to market fluctuations and the investment risk is borne by the individual. In addition, there are limits on how much can be contributed each year, which may not be enough to provide for a comfortable retirement.

Whether or not every working American needs a 401(k) account or an IRA depends on individual circumstances. For some people, these accounts may be a valuable tool for saving for retirement. For others, different types of retirement savings accounts or strategies may be more appropriate. Ultimately, it is up to each individual to determine the best approach for their own retirement planning.

When you plan a presentation, how should you make sure you stay on track as you talk?

A. Make a list of general topics and points you want to cover.

B. Write out every word of the presentation on notecards.

C. Memorize every word of the presentation in your head.

D. Have the audience tell you what else you need to talk about.

Answers

Answer:

A make a list

Explanation:

Answer:

It's A. Make a list of general topics and points you want to cover.

Explanation: hope it helps ^w^

At the start of the year, Winston Company’s Allowance for Doubtful Accounts had a credit balance of $14,000. During the year, it had credit sales of $1,500,000. It also wrote-off $60,000 of uncollectible accounts receivable during the year. Past experience indicates that the allowance should be 3% of the balance in receivables. If the accounts receivable balance at December 31 was $300,000, what is the required adjustment to the Allowance for Doubtful Accounts that is needed at year-end?

Answers

The required adjustment to the Allowance for Doubtful Accounts at year-end for Winston Company is $9,000.

To determine the required adjustment to the Allowance for Doubtful Accounts, we need to calculate the desired balance of the allowance based on the accounts receivable balance. The accounts receivable balance at December 31 is $300,000, and the desired allowance is 3% of this balance, which is $9,000. The adjustment is necessary to bring the Allowance for Doubtful Accounts to its appropriate level based on the estimated uncollectible accounts.

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answer pls due today

answer pls due today

Answers

$61.

you subtract $555.00 and $494.00, the difference between them at $61.00

Which one of the following methods determines the amount of the change a proposed project will have on the value of a firm?

A. discounted payback

B. net present value

C. internal rate of return

D. profitability index

E. payback

Answers

The method that determines the amount of the change a proposed project will have on the value of a firm is the net present value (NPV) method.

This method takes into consideration the time value of money and calculates the present value of future cash flows generated by the project, subtracting the initial investment. If the NPV is positive, it means that the project will increase the value of the firm.

On the other hand, if the NPV is negative, the project will decrease the value of the firm. Other methods such as discounted payback, internal rate of return, profitability index, and payback do not take into consideration the value of money over time and may not provide an accurate assessment of the impact of the project on the firm's value.

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Jonah earns a commission of 9% of his sales.

Jonah earns a commission of 9% of his sales.

Answers

Answer:

Jonah earned $165.51 in commission

Explanation:

add all of jonah's sales together and multiple them by .09

suppose that a european mnc has a dealer issue euro-commercial paper, on its behalf, to finance its debt. this example most closely resembles which of the following forms of financing? bank loans commercial paper internal control over funds short-term notes

Answers

The form of financing that closely resembles the given scenario is commercial paper. Commercial paper is a short-term debt instrument issued by companies to finance their immediate cash needs, and it is typically issued in large denominations by well-established companies.

In this case, the European MNC is using a dealer to issue Euro-commercial paper on its behalf to finance its debt, which is a form of commercial paper financing. Therefore, the answer is commercial paper.
Hi, I'm happy to help you with your question. Based on the given scenario, a European MNC has a dealer issue Euro-commercial paper on its behalf to finance its debt. This example most closely resembles the form of financing known as "commercial paper." Commercial paper is a short-term, unsecured debt instrument issued by corporations to meet their immediate financial needs.

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To increase the accumulated depreciation account, you would ______ the account, and to increase depreciation expense, you would _____ the account.

Answers

Answer:

Credit, debit

Explanation:

what is the importance of inference, psychological safety, and team effectiveness in the design thinking process?

Answers

Design thinking encourages collaboration, flexibility, curiosity, and positivity, creating happy teams and positively influencing the outcome. Through this process, team members feel valued and clients know that their feedback is taken into consideration.

Design is an art shape, a method of human expression that follows a gadget of tremendously evolved processes so that you can imbue objects, performances, and experiences with significance. like any artwork bureaucracy, the layout has the capacity to clear up issues, but there may be no guarantee that it's going to.

An critical part of the definition of the word layout is the reason: to intend for a particular motive, to assign in notion or purpose; a reason or plan of action. design without motive is design without that means or purpose. We accept as true with without a cause there's no design. An instance of design is a plaid sample on a pair of pants.

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A person offers you the following deal. You can have the proceeds of $2 doubled each year at the end of 15 years, or you can have $10,000 at the end of 15 years. Which deal should you take? Why?

Answers

I’d take the first answer as it getting doubled by the number so after the 4th year you’d make $65,536 which already a better deal then the second answer

Answer:

The deal I would take is the first deal.

Explanation:

I would take the first deal because as it's getting doubled by the number after the fourth year you would make $65,536 which is way more money then $10,000 at the end of 15 years.

y'all anyone have any name ideas for a brand for race cars

im kinda lost right now so any suggestions would be cool I could start from there and evolve

Answers

Answer:

turbo rush

Explanation:

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