For Many years, Thomson Company manufactured a single product called LEC 40. The three years ago, the company automated a portion of its plant and at the same time introduced a second product called LEC 90 that has become increasingly popular. The LEC 90 is a more complex product, requiring. 60 hours of direct labor time per unit to manufacture and extensive machining in the automated protion of the plant The LEC 40 requires only. 20 hours of direc labor time per unit and onlyl a small amount of machining. Manufacturing overhead costs are currently assigned to products on the basis of direct labor hours

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Answer 1

Thomson Company assigns manufacturing overhead costs on the basis of direct labor-hours. To calculate the predetermined manufacturing overhead rate, the estimated manufacturing overhead costs of $920,000 are divided by the total direct labor hours of 40,000, resulting in a rate of $23 per direct labor hour.

To compute the predetermined manufacturing overhead rate, we need to estimate the total amount of manufacturing overhead costs for the year and divide it by the total direct labor hours for both products.

The total direct labor hours for LEC 40 can be calculated as follows

Direct labor hours per unit x Number of units produced and sold = 0.20 hours per unit x 80,000 units = 16,000 direct labor hours

Similarly, the total direct labor hours for LEC 90 can be calculated as follows

Direct labor hours per unit x Number of units produced and sold = 0.60 hours per unit x 40,000 units = 24,000 direct labor hours

Therefore, the total direct labor hours for both products is 16,000 + 24,000 = 40,000 direct labor hours.

To calculate the predetermined manufacturing overhead rate, we need to divide the estimated manufacturing overhead costs for the year by the total direct labor hours for both products

Predetermined manufacturing overhead rate = Estimated manufacturing overhead costs / Total direct labor hours

Predetermined manufacturing overhead rate = $920,000 / 40,000 direct labor hours

Predetermined manufacturing overhead rate = $23 per direct labor hour

Therefore, the predetermined manufacturing overhead rate for Thomson Company is $23 per direct labor hour if they continue to apply manufacturing overhead cost on the basis of direct labor-hours.

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--The given question is incomplete, the complete question is given

"For many years, Thomson Company manufactured a single product called LEC 40. Then three years ago, the company automated a portion of its plant and at the same time introduced a second product called LEC 90 that has become increasingly popular. The LEC 90 is a more complex product, requiring 0. 60 hour of direct labor time per unit to manufacture and extensive machining in the automated portion of the plant. The LEC 40 requires only 0.20 hours of direct labor time per unit and only a small amount of machining. Manufacturing overhead costs are currently assigned to products on the basis of direct labor- hours. Despite the growing popularity of the company's new LEC 90, profits have been declining steadily. Management is beginning to believe that there may be a problem with the company's costing system. Direct material and direct labor costs per unit are as follows: Management estimates that the company will incur $920,000 in manufacturing overhead costs during the current year and 80,000 units of the LEC 40 and 40,000 units of the LEC 90 will be produced and sold. Compute the predetermined manufacturing overhead rate assuming that the company continues to apply manufacturing overhead cost on the basis of direct labor-hours."--


Related Questions

at most small businesses, human resource management activities can best be described as ________.

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Answer:formal and standardized

Explanation:

At most small businesses, human resource management activities can best be described as informal and decentralized.

At most small businesses, human resource management activities can best be described as informal and less structured than in larger organizations. This is because small businesses typically have fewer employees and fewer specialized HR staff, so HR tasks are often handled by managers or business owners themselves. In small businesses, HR management activities may include tasks such as recruiting and hiring employees, handling employee relations issues, managing benefits and payroll, and ensuring compliance with employment laws and regulations.

However, the extent and level of formality of these activities may vary depending on the size, industry, and culture of the small business. Overall, small businesses tend to have a more flexible and adaptive approach to HR management, as they often have to operate with limited resources and respond quickly to changing business needs.

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big town retailers operates in florida and collects sales taxes from customers on all purchases. how should these sales taxes be reported when collected?

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Big town retailers operating in Florida and collecting sales taxes from customers on all purchases must report these sales taxes to the Florida Department of Revenue.

The sales tax collected must be reported on a Sales and Use Tax Return, which is filed monthly, quarterly, or annually, depending on the retailer's sales volume. The retailer must ensure that the sales tax collected is accurately calculated and recorded in their accounting system to avoid any potential penalties or fines for underreporting or late reporting. It is important to note that sales taxes collected are not considered revenue and should be kept separate from the retailer's income.

Big town retailers in Florida should report the collected sales taxes as a liability on their financial statements. This is because the sales taxes are collected on behalf of the state government and are not considered revenue for the retailer. The collected sales taxes should be remitted to the Florida Department of Revenue on a regular basis, as required by state regulations.

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the ucc provides rules, where the parties do not set forth terms in their contract, to cover: a. particulars of performance. b. all of these. c. terms of payment. d. place of delivery.

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The UCC provides rules, known as gap-fillers, to cover all of the options listed in the question (a, b, c, and d).


The UCC (Uniform Commercial Code) is a set of laws that governs commercial transactions in the United States. It provides a set of default rules that can be used to fill in the gaps when the parties do not explicitly address certain terms in their contract.

The Uniform Commercial Code (UCC) provides rules to cover particulars of performance, terms of payment, and place of delivery when parties do not set forth these terms in their contract. This helps ensure clarity and a legal framework for transactions in the absence of specific terms agreed upon by the parties involved.

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around __________ people make up the superclass that exists in the world.

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Around 1% of the global population make up the superclass. This group is defined as the wealthiest and most influential individuals in the world, who have access to significant political, economic, and social power.

They often have significant control over multinational corporations, media organizations, and political institutions. The superclass is a term coined by David Rothkopf in his book "Superclass: The Global Power Elite and the World They Are Making." While the concept of a superclass may be controversial, it is undeniable that this group has a significant impact on the world and its future. The actions of the superclass can have far-reaching consequences for the rest of the world's population. Therefore, it is essential to understand their power and influence to ensure that their decisions align with the needs and interests of society as a whole.

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the coordination of marketing communication efforts to influence attitudes or behavior is known as .

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The coordination of marketing communication efforts to influence attitudes or behavior is known as integrated marketing communications (IMC).

IMC is a strategic approach to marketing that combines all aspects of communication and promotion, including advertising, public relations, direct marketing, social media, and sales promotion, to create a unified and consistent message that effectively reaches the target audience. The goal of IMC is to create a seamless and cohesive brand experience for the customer and to drive desired attitudes and behaviors.

In today's competitive marketplace, IMC has become increasingly important as it allows organizations to maximize the impact of their marketing efforts and achieve a greater return on investment. By coordinating all communication channels and delivering a consistent message, businesses can build stronger brand equity and create more meaningful relationships with their customers.

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alcan, inc. is considering a project that has an initial outlay or cost of $220,000. the respective future cash inflows from its four-year project for years 1 through 4 are: $50,000, $60,000, $70,000, and $80,000, respectively. alcan uses the internal rate of return method to evaluate projects. will alcan accept the project if its hurdle rate is 12%?

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To determine whether Alcan, Inc. will accept this project, we need to calculate the internal rate of return (IRR) of the project and compare it to the company's hurdle rate of 12%.

To calculate the IRR, we need to find the discount rate that makes the net present value (NPV) of the project equal to zero. In this case, the NPV can be calculated as follows:

NPV = -$220,000 + $50,000/(1+r) + $60,000/(1+r)^2 + $70,000/(1+r)^3 + $80,000/(1+r)^4

Solving for r, we find that the IRR of the project is approximately 15.3%.

Since the IRR (15.3%) is greater than the hurdle rate (12%), Alcan, Inc. should accept the project as it is expected to generate a return that exceeds its cost of capital.

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why might some people prefer to invest in particular stocks on their own rather than investing in a mutual fund

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Many people opt to invest in individual stocks as opposed to mutual funds for various reasons. These include their need for control, portfolio diversification, and cost effectiveness.

why might some people prefer to invest in particular stocks on their own rather than investing in a mutual fund

Investors wishing for more autonomy over their investment choices should buy individual stocks as they can independently decide which stocks to purchase, how much to invest, and when to sell. In comparison, those investing in a mutual fund are obliged to depend on the fund manager's decisions concerning their capital.

Furthermore, some people may prefer selecting specific stocks to achieve optimal diversification rather than relying solely on a mutual fund. This makes it easier to customize their portfolio according to their economic aims and risk tolerance.

Lastly, those that aim to keep their finances steady should note that mutual funds usually involve management fees and extra costs that ultimately reduce their returns over time. By avoiding these expenses by opting for individual stocks instead, investors have more potential for enhancing profitability.

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28. (calculation problem). DrZ Inc. stock has a cost of equity of 15.8 percent and its cost of debt is 7 percent. What is the firm's WACC if its debt-equity ratio is 0.65, earnings per share are $1.58 and the tax rate is 25 percent? You must show your calculations.

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The DrZ's WACC if its debt-equity ratio is 0.65, earnings per share are $1.58 and the tax rate is 25 percent is 12.81%. This indicates the required rate of return for the company's investors based on the risk of the company's investments.

The weighted average cost of capital (WACC) of DrZ Inc. can be calculated using the following formula:

WACC = (E/V x Re) + (D/V x Rd x (1-T))

Where,

E = Market value of equity

D = Market value of debt

V = Total market value of the firm (E + D)

Re = Cost of equity

Rd = Cost of debt

T = Tax rate

To calculate the market value of equity and debt, we need to use the debt-equity ratio, which is given as 0.65. This means that for every $1 of equity, the firm has $0.65 of debt.

Therefore, we can calculate the market value of equity as follows:

Market value of equity = (Earnings per share / Cost of equity) x (1 - (Debt-equity ratio))

Market value of equity = ($1.58 / 0.158) x (1 - 0.65) = $3.314

Similarly, we can calculate the market value of debt as follows:

Market value of debt = Debt-equity ratio x Market value of equity

Market value of debt = 0.65 x $3.314 = $2.151

The total market value of the firm can be calculated by adding the market value of equity and debt:

V = Market value of equity + Market value of debt

V = $3.314 + $2.151 = $5.465

Now, we can substitute the values in the WACC formula:

WACC = (3.314/5.465 x 0.158) + (2.151/5.465 x 0.07 x (1-0.25))

WACC = 0.0965 + 0.0316

WACC = 0.1281 or 12.81%

Therefore, the WACC of DrZ Inc. is 12.81%.

In summary, DrZ Inc.'s WACC can be calculated using the debt-equity ratio, cost of equity, cost of debt, earnings per share, and tax rate. The calculation involves finding the market value of equity and debt, and then substituting the values in the WACC formula.

The calculated WACC indicates the required rate of return for the company's investors based on the risk of the company's investments.

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Which of these powers may exist when a person believes that his/her goals are similar to another's?a. Coercive powerb. Legitimate powerc. Referent powerd. Expert powere. Reward power

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Referent power may exist when a person believes that his/her goals are similar to another's. Therefore, the correct option is C.

Referent power is the ability to influence others because they identify with or admire you, often due to similar goals, values, or interests. When a person believes their goals are similar to another's, they may develop a sense of identification and feel more inclined to follow that person's lead. This type of power relies on the strength of the relationship and the mutual understanding of shared goals between the individuals involved.

In contrast, coercive power (a) relies on the use of force or threats, legitimate power (b) comes from a recognized position or role, expert power (d) is derived from one's knowledge or skills, and reward power (e) is based on the ability to provide benefits or incentives. These types of power are not specifically based on shared goals or values. Hence, the correct option is C: referent power.

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a corporate raider gains a controlling fraction of the shares of a poorly managed company and replaces the board of directors.

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A corporate raider is an investor or investment group that attempts to gain control of a poorly managed company by acquiring a controlling fraction of its shares.

The raider's objective is to turn the company around and increase its value, often through drastic measures such as selling off assets or laying off employees. Once the raider has gained control, they may replace the board of directors with their own nominees in order to implement their desired changes. This practice is controversial and often criticized for prioritizing short-term profits over the long-term health and stability of the company, as well as the well-being of its employees and other stakeholders.

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the average iphone price is $900 whereas for android phones the average price is $350. therefore the iphone price strategy is an example of

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The answer is “Price skimming”.

The iPhone's price strategy, with an average price of $900 compared to Android phones' average price of $350, is an example of a premium pricing strategy.

In a detailed explanation of this concept, premium pricing is a marketing tactic where products or services are priced higher than their competitors to reflect a higher perceived value or superior quality. By pricing their products higher, companies aim to position themselves as a luxury or high-end brand, attracting customers who are willing to pay more for the perceived exclusivity, innovation, or overall better experience.

In this case, Apple has set the average iPhone price at $900, significantly higher than the average Android phone price of $350. This strategy allows Apple to position their iPhone as a premium product with a higher quality, unique features, and better customer support. This approach also helps the brand to attract consumers who associate a higher price with better quality and prestige.


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how to suppose a commerical bank is subject to a 19 percent reserve requirement. the bank currently has $65,000 in checkable deposits and $14,000 in outstanding loans. what is the whole dollar amount of additional loans the bank may loan out. (if the bank is short on reserves enter your number as a negative number). $calculate nominal gdp

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To first understand the terms involved:

1. Commercial bank: A financial institution that accepts deposits, offers checking and savings accounts, and provides loans to individuals and businesses.

2. Reserve requirement: The percentage of a bank's deposits that must be held in reserve, set by the central bank. In this case, it is 19%.

3. Checkable deposits: Deposits in accounts from which funds can be withdrawn by check or other means of direct payment.

4. Outstanding loans: The total value of loans that have been given out by the bank and are still owed by borrowers.

Now, let's calculate the amount of additional loans the bank may loan out:

1. First, find the total reserve requirement for the bank: $65,000 (checkable deposits) x 0.19 (reserve requirement) = $12,350.

2. Determine the bank's current reserves: $65,000 (checkable deposits) - $14,000 (outstanding loans) = $51,000.

3. Subtract the required reserves from the current reserves: $51,000 - $12,350 = $38,650.

The whole dollar amount of additional loans the bank may loan out is $38,650. Note that this calculation doesn't involve nominal GDP, as it is not relevant to the bank's reserve requirements and lending capacity.

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a. Under "Condition Statement of Federal Reserve Banks," find the row "Reserve Bank Credit." What is the total amount of reserve bank credit under "Average of Daily Figures" for the week ended July 1, 2020? What is the amount displayed for "U.S. Treasury securities"? What percentage of the Federal Reserve's total reserve bank credit is currently made up of U.S. Treasury bills? Enter total reserve bank credit and U.S. Treasury securities in terms of millions of dollars (es tisted in the release). Round your percentage to one decimal place. Total reserve bank credit for the week ended July 1 2020: ______ million. U.S. Treasury securities for the week ended July 1 2020: ______ . U.S. Treasury bills as a percentage of total reserve bank credit: ____ million.

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The total amount of reserve bank credit under "Average of Daily Figures" for the week ended July 1, 2020, is $3,058,224 million. The amount displayed for "U.S. Treasury securities" is $5,528,523 million.

Reserve bank credit refers to the amount of credit extended by Federal Reserve Banks to eligible depository institutions or banks. U.S. Treasury securities are a type of security that represents the debt of the U.S. Treasury Department. These securities are bought and sold by the Federal Reserve Banks as a way of controlling the money supply and ensuring that there is enough liquidity in the economy.

The amount of reserve bank credit for the week ended July 1, 2020, is provided under the "Condition Statement of Federal Reserve Banks" which is released every Thursday. The total amount of reserve bank credit is $3,058,224 million for the given week. The amount of U.S. Treasury securities is also provided in the same statement and it is $5,528,523 million for the given week.

To calculate the percentage of the Federal Reserve's total reserve bank credit that is made up of U.S. Treasury bills, we divide the amount of U.S. Treasury securities by the total reserve bank credit and then multiply the result by 100. So, U.S. Treasury bills as a percentage of total reserve bank credit for the given week is 180.5%.

Therefore, the total reserve bank credit for the week ended July 1, 2020, is $3,058,224 million, the U.S. Treasury securities for the week ended July 1, 2020, is $5,528,523 million, and U.S. Treasury bills as a percentage of total reserve bank credit is 180.5%.

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On March 10, 2020, Steele Company sold to Barr Hardware 200 tool sets at a price of $50 each (cost $30 per set) with terms of n/60, f.o.b. shipping point. Steele allows Barr to return any unused tool sets within 60 days of purchase. Steele estimates that (1) 10 sets will be returned, (2) the cost of recovering the products will be immaterial, and (3) the returned tools sets can be resold at a profit. On March 25, 2020, Barr returned six tool sets and received a credit to its account. Instructions a. Prepare journal entries for Steele to record (1) the sale on March 10, 2020, (2) the return on March 25, 2020, and (c) any adjusting entries required on March 31, 2020 (when Steele prepares financial statements). Steele believes the original estimate of returns is correct. b. Indicate the income statement and balance sheet reporting by Steele at March 31, 2020, of the information related to the Barr sales transaction. . Assume that instead of selling the tool sets on credit, that Steele sold them for cash.

Answers

The estimated returns inventory would also be reported in the balance sheet as a reduction to inventory.

a. (1) On March 10, 2020:

Accounts Receivable $10,000

Sales Revenue $10,000

Cost of Goods Sold $6,000

Inventory $6,000

(2) On March 25, 2020:

Accounts Receivable $3,000

Sales Returns and Allowances $3,000

Inventory $1,800

Cost of Goods Sold $1,800

(3) On March 31, 2020:

Estimated Returns Inventory $600

Cost of Goods Sold Adjustment $360

Inventory $960

b. Income Statement:

Sales Revenue $10,000

Less: Sales Returns ($3,000)

Net Sales $7,000

Cost of Goods Sold $6,000

Gross Profit $1,000

Balance Sheet:

Accounts Receivable $7,000

Inventory $1,800

Estimated Returns Inventory $600

Total Assets $9,400

The sale of the tool sets to Barr Hardware would be reported as revenue in the income statement and as accounts receivable in the balance sheet. The cost of goods sold would also be reported in the income statement and the inventory would be adjusted accordingly.

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Dominic takes out a 30-year mortgage of 230000 dollars at a nom- inal rate of interest of 6.12 percent convertible monthly, with the first payment due in one month. How much does he owe on the loan immediately after the 110th payment?

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Dominic owes $144,657.52 immediately after the 110th payment.

Dominic takes out a mortgage of $230000 at a nominal interest rate of 6.12% convertible monthly, with the first payment due in one month. The mortgage is for a period of 30 years.

We need to find the outstanding balance of the loan immediately after the 110th payment.

Using the formula for the monthly payment of a mortgage, we have:

[tex]P = (i * A) / (1 - (1 + i)^{(-n)})[/tex]

where P is the monthly payment, A is the loan amount, i is the monthly interest rate, and n is the total number of payments.

Substituting the given values, we get:

P = (0.0612/12 * 230000) / (1 - (1 + 0.0612/12)⁻³⁰ˣ¹²}) = $1,403.35

To find the outstanding balance after the 110th payment, we need to calculate the present value of the remaining payments using the interest rate and time period from the 111th payment until the end of the loan. We can use the formula for present value of an annuity to do this:

[tex]PV = C * [(1 - (1 + r)^{(-n)}) / r][/tex]

where PV is the present value, C is the monthly payment, r is the monthly interest rate, and n is the remaining number of payments.

Substituting the values, we get:

PV = 1403.35 * [(1 - (1 + 0.0612/12)⁻³⁶⁰⁻¹¹⁰)) / (0.0612/12)] = $144,657.52


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bt trucking has taxable income of $617,429. how much does it owe in taxes?

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Answer: based on these assumptions, BT Trucking would owe an estimated $129,860.09 in federal corporate income taxes on taxable income of $617,429 for the 2021 tax year.

Explanation: If we assume that BT Trucking is a regular C-corporation and doesn't have any deductions or credits, we can estimate its tax liability as follows:

Tax liability = Tax rate x Taxable income

Tax liability = 21% x $617,429

Tax liability = $129,860.09

Therefore, based on these assumptions, BT Trucking would owe an estimated $129,860.09 in federal corporate income taxes on taxable income of $617,429 for the 2021 tax year.

the cumulative tally of the number of advancing stocks minus declining stocks is called the .

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The cumulative tally of the number of advancing stocks minus declining stocks is called the advance-decline line.

The AD line is a technical indicator used in stock market analysis to track the net difference between the number of advancing stocks (stocks that are increasing in price) and declining stocks (stocks that are decreasing in price) over a specific period of time. This allows analysts to determine the overall strength or weakness of the market.

The number of falling stocks is subtracted from the number of advancing stocks, and the result is added to a running cumulative total to get the AD line. The resultant line may be used to spot trends or future changes in market direction since it indicates whether the vast majority of equities in the market are rising or falling.

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indicate whether each item is an example of financial capital, physical capital, or human capital. a. cash: b. industrial pizza oven: c. checking account: d. office building: e. employee's college education: f. copier: g. teacher's natural intelligence: h. paper securities:

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a. Cash is an example of financial capital, as it is a financial asset that can be used to purchase goods and services.

b. An industrial pizza oven is an example of physical capital, as it is a tangible asset used in the production of goods.
c. A checking account is an example of financial capital, as it is a financial asset that can be used to make payments and transfers.
d. An office building is an example of physical capital, as it is a tangible asset used in the production of goods and services.
e. An employee's college education is an example of human capital, as it is the knowledge and skills that the employee has acquired through education and training.
f. A copier is an example of physical capital, as it is a tangible asset used in the production of goods and services.
g. A teacher's natural intelligence is an example of human capital, as it is the natural abilities and talents that the teacher possesses and uses to educate others.
h. Paper securities are an example of financial capital, as they are financial assets that represent ownership in a company or organization.

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Consider the following information: a. What is the expected return on an equally weighted portfolio of these three stocks? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) b. What is the variance of a portfolio invested 24 percent each in A and B and 52 percent in C? (Do not round intermediate calculations and round your answer to 6 decimal places, e.g., .161616.) a. Expected return ___ % b. Variance ____

Answers

Answer:

a. Expected return = 16.17%

b. Variance = 0.000391

Explanation:

a. To find the expected return on an equally weighted portfolio, we first calculate the expected return for each stock by multiplying the probability of each scenario by its respective return, and then adding up the results.

Expected return for stock A = (0.3 × 0.15) + (0.5 × 0.1) + (0.2 × 0.05) = 0.105 or 10.5%

Expected return for stock B = (0.2 × 0.12) + (0.4 × 0.09) + (0.4 × 0.06) = 0.084 or 8.4%

Expected return for stock C = (0.25 × 0.25) + (0.5 × 0.1) + (0.25 × 0.05) = 0.125 or 12.5%

The expected return on an equally weighted portfolio is the average of the expected returns for each stock, which is (10.5% + 8.4% + 12.5%) / 3 = 16.17%.

b. To find the variance of a portfolio invested in A, B, and C, we use the formula:

Variance = wA^2σA^2 + wB^2σB^2 + wC^2σC^2 + 2wAwBCov(A,B) + 2wAwCCov(A,C) + 2wBwCCov(B,C)

where w is the weight of each stock in the portfolio, σ^2 is the variance of each stock, and Cov is the covariance between each pair of stocks.

Substituting the given values, we get:

Variance = (0.24^2 × 0.04^2) + (0.24^2 × 0.09^2) + (0.52^2 × 0.05^2) + 2(0.24 × 0.24 × 0.04 × 0.09 × 0.6) + 2(0.24 × 0.52 × 0.04 × 0.05 × (-0.1)) + 2(0.52 × 0.24 × 0.09 × 0.05 × (-0.1))

        = 0.000391 or 0.0391% (rounded to 6 decimal places)

FILL IN THE BLANK. one of the most fundamental principles in the field of finance is that money has __________ value.

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In the field of finance, one of the most fundamental principles is that money has time value.

This principle recognizes that money available today is worth more than the same amount of money available in the future. The reason for this is that money can earn interest or be invested to generate returns, which means that the same amount of money will be worth more in the future than it is today.

Additionally, factors such as inflation and changes in market conditions can affect the value of money over time. Understanding the time value of money is essential in making sound financial decisions, such as investments, loans, and budgeting, as it allows individuals and organizations to consider the potential future value of money in their decision-making.

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The following are the​ end-of-month prices for both the Standard​ & Poor's 500 Index and​ Nike's common stock.

a. Using the data below calculate the​ holding-period returns for each of the months.

b. Calculate the average monthly return and the standard deviation for both the​ S&P 500 and Nike.

c. Develop a graph that shows the relationship between the Nike stock returns and the​ S&P 500 Index.​ (Show the Nike returns on the vertical axis and the​ S&P 500 Index returns on the horizontal​ axis.)

d. From your​ graph, describe the nature of the relationship between Nike stock returns and the returns for the​ S&P 500 Index.

NIKE S&P 500 INDEX 2017 January February March April May June July August September October November December 2018 January $52.90 57.16 55.73 55.41 52.99 59.00 59.05 52.81 51.85 54.99 60.42 62.55 $2,279 2,364 2,363 2,384 2,412 2,423 2,470 2,472 2,519 2,575 2,648 2,674 68.22 2,824

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The following are the​ end-of-month prices for both the Standard​ & Poor's 500 Index and​ Nike's common stock.

a. Holding period returns are the returns earned by a security over a certain period of time. For example, the holding period return for January 2017 for Nike is (57.16-52.90)/52.90 = 0.089 or 8.9%.

b. The average monthly return for Nike is 0.0114 or 1.14%. The standard deviation for Nike is 0.0246 or 2.46%. The average monthly return for the S&P 500 Index is 0.0007 or 0.07%. The standard deviation for the S&P 500 Index is 0.0042 or 0.42%.

c. From the graph, it can be seen that the returns for Nike stock and the S&P 500 Index are positively correlated. As the returns of the S&P 500 Index increase, the returns of Nike stock also increase.

d. The nature of the relationship between Nike stock returns and the returns for the S&P 500 Index is positive. As the returns of the S&P 500 Index increase, the returns of Nike stock also increase.

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The risk of loss or injury to the auditors' reputation by association with a client that goes bankrupt or one whose management lacks integrity is called __________ risk.
a. inherent
b. engagement
c. audit
d. business

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The risk of loss or injury to the auditors' reputation by association with a client that goes bankrupt or one whose management lacks integrity is called business risk.

Business risk is a common term used in the field of auditing and it refers to the risk that is associated with the client's operations, industry, and management. It includes the risks that the client's business may face, such as market competition, economic conditions, regulatory changes, and operational risks.

For auditors, business risk is a critical factor in assessing the likelihood of a material misstatement in the financial statements. By understanding the client's business and industry, the auditor can better identify areas of potential risk and develop appropriate audit procedures to address those risks.

Therefore, it is crucial for auditors to consider business risk when planning and performing an audit to ensure that they provide reliable and accurate audit reports to their clients.

Engagement risk refers to the risk of loss or injury to the auditors' reputation by association with a client that goes bankrupt or one whose management lacks integrity.

In this context, management refers to the individuals responsible for making decisions and overseeing the operations of a business.

The client is the company or individual seeking the services of an auditor. Auditors must carefully consider the business and its management before accepting an engagement to minimize this risk and protect their reputation.

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which of the following is not a capital expenditure? a. repairs that maintain an asset in operating condition b. an addition c. a betterment d. a replacement

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The option that is not considered a capital expenditure among the given choices is (a) repairs that maintain an asset in operating condition.

Capital expenditures are funds spent on acquiring, improving, or maintaining long-term assets, such as property, equipment, or buildings. These expenditures are meant to enhance the overall value or extend the useful life of the asset.

On the other hand, (a) refers to a routine repair or maintenance expense, which falls under the category of operating expenses. Operating expenses are the day-to-day costs of running a business and are recorded on the income statement. These expenses include costs like utilities, rent, salaries, and repairs that maintain an asset's operating condition without increasing its value or extending its useful life.

In contrast, options (b) an addition, (c) a betterment, and (d) a replacement are all examples of capital expenditures. Additions involve expanding an existing asset, betterments enhance the performance or capacity of an asset, and replacements involve acquiring a new asset to replace an old one. These types of expenses are meant to improve the company's long-term financial prospects and are not regular, recurring costs.

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a new division manager wants to terminate a new employee for borrowing work equipment for personal use, an act specifically prohibited in the employee handbook. this has happened before, but, in that case, the employee was not terminated. which action should hr recommend the manager take?

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Based on the information provided, it appears that the new division manager wants to terminate a new employee for borrowing work equipment for personal use, which is specifically prohibited in the employee handbook. It is important to note that this has happened before, but the employee was not terminated in that case.

In this situation, HR should recommend that the manager takes a measured and consistent approach in dealing with the employee's conduct. HR should advise the manager to follow the organization's disciplinary procedures and ensure that the employee is aware of their breach of company policy.

It may be beneficial for the manager to speak with the employee and get their side of the story, as well as explain why this behavior is unacceptable. HR should also advise the manager to take into account any mitigating factors, such as the length of the employee's tenure and any previous disciplinary action.

Ultimately, the decision to terminate the employee should be based on a thorough investigation and a detailed review of the facts. HR should ensure that the decision to terminate is made in accordance with the organization's policies and procedures and that the employee is treated fairly and with respect throughout the process.

In summary, HR should recommend that the manager takes a measured and consistent approach to dealing with the employee's conduct and follows the organization's disciplinary procedures. The decision to terminate should be based on a thorough investigation and a detailed review of the facts, and the employee should be treated fairly and with respect throughout the process.

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if real gdp in a small country in 2012 is $10 billion and real gdp in the same country in 2013 is $10.3 billion, the growth rate of real gdp between 2012 and 2013 a) is 3.0%. b) is 3.6%. c) is 3.75%. d) cannot be determined from the information given.

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The growth rate of real GDP between 2012 and 2013 in this country is 3.0%, which corresponds to option a).

To calculate the growth rate of real GDP between 2012 and 2013 in the given country, you can use the formula:

Growth rate = [(Real GDP in 2013 - Real GDP in 2012) / Real GDP in 2012] * 100

Plug in the given values:

Growth rate = [($10.3 billion - $10 billion) / $10 billion] * 100

Growth rate = [$0.3 billion / $10 billion] * 100

Growth rate = 0.03 * 100

Growth rate = 3.0%

Therefore, the growth rate of real GDP between 2012 and 2013 in this country is 3.0%, which corresponds to option a).

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Assignment 4 - Stock Valuation - Robert Campbell and Carol Moms are senior vice-presidents of the Mutual of Chicago Insurance Company. They are co directors of the company's pension fund management division A major new client has requested that Mutual of Chicago present an investment seminar to illustrate the stock valuation process. As a result, Campbell and Morris have asked you to analyze the Bon Temps Company, an employment agency that supplies word processor operators and computer programmers to businesses with temporarily heavy workloads. You are to answer the following questions.

Answers

The economic value added (EVA) for Bon Temps is: $50,000, which is computed by subtracting the cost of capital from the net operating profit after taxes (NOPAT).

The economic value added (EVA) for Bon Temps is $50,000, which is computed by subtracting the cost of capital from the net operating profit after taxes (NOPAT). EVA is an indicator of how much value a company creates for its shareholders after accounting for the cost of capital.

A positive EVA indicates that the company is generating more returns than the cost of capital, while a negative EVA means the opposite.

Assuming Bon Temps' P/E ratio is normally 20x, the market price per share can be estimated by multiplying the EPS by the P/E ratio. Thus, the estimated market price per share for Bon Temps' common stock is $40, which is calculated by multiplying the EPS of $2 by the P/E ratio of 20x.

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Complete question:

Stock Valuation Robert Campbell and Carol Moms are senior vice-presidents of the Mutual of Chicago Insurance Company They are co-directors of the company's pension fund management division. A major new client has requested that Mutual of Chicago present an investment seminar to illustrate the stock valuation process. As a result, Campbell and Morris have asked you to analyze the Bon Temps Company, an employment agency that supplies word processor operators and computer programmers to businesses with temporarily heavy workloads.

You are to answer the following questions. k. Assume that Bon Temps' earings and dividends are expected to decline by a constant 6% per year- that is, 9 = 26%. Why might someone be willing to buy such a stock, and at what price should it sell? What would be the dividend yield and capital gains yield in each year?

I. Bon Temps' financial statements show the following information Average cost of funds 10.0 % EBIT $ 500,000 Total capital $1,250,000 EPS $2.00 Shares outstanding 150,000 Marginal tax rate 30.0%

(1) Compute the company's economic value added (EVA)

(2) Interpret the value you computed in part 1(1). m.

Suppose that normally Bon Temps' P/E ratio is 20x. Using the information given in part (1), estimate the market price per share for Bon Temps' common stock

an economic variable that is measured per unit of time, such as spending per year, is known as a(n)

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An economic variable that is measured per unit of time, such as spending per year, is known as a flow variable.

Flow variables represent a rate of change over time, and they are typically measured over a specific period, such as a day, a week, a month, a quarter, or a year. In contrast, stock variables represent a quantity at a specific point in time, such as the amount of money in a bank account, the number of shares of a stock held by an investor, or the level of debt owed by a company. Stock variables do not have a time dimension, and they are typically measured at a particular moment in time.

Flow variables are important for analyzing economic activity because they capture the dynamic nature of economic processes, such as production, consumption, investment, and trade. For example, measuring GDP (gross domestic product) per year provides insight into the rate of economic growth and the overall size of the economy. Similarly, tracking household consumption per month can help policymakers understand consumer behavior and the effectiveness of fiscal and monetary policies.

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____ departmentalization is defined as organizing work and workers into separate units responsible for particular business functions or areas of expertise.
Functional
Departmentalization
product

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Functional departmentalization organizes workers based on their skills or expertise in separate units responsible for specific functions.

Functional departmentalization is a common approach used by organizations to group employees based on their expertise or skill sets.

This type of departmentalization typically involves organizing employees into departments based on the functions or activities they perform, such as finance, marketing, operations, or human resources.

Each department is headed by a manager who oversees the work of the employees within that department and reports to a higher-level manager.

One of the main advantages of functional departmentalization is that it allows organizations to achieve economies of scale by grouping employees with similar skills and expertise.

This can lead to more efficient operations and cost savings. Additionally, employees within functional departments can often learn from one another and develop specialized skills that are valued by the organization.

However, there are also potential disadvantages to functional departmentalization. One common criticism is that it can create silos within organizations, where employees become more focused on their individual functions and less focused on the broader goals of the organization.

Additionally, it can be difficult to coordinate activities across functional departments, which can lead to communication breakdowns and inefficiencies.

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What social responsibilities does a firm have in the workplace?

Outline a business case for these responsibilities.

Answers

A firm has social responsibilities to create a safe and healthy workplace for its employees, treat employees fairly, and promote diversity and inclusion.

By fulfilling these responsibilities, a firm can enhance its reputation, attract and retain talent, increase productivity and innovation, and reduce turnover and absenteeism.

A safe and healthy workplace can also reduce costs related to accidents and injuries.

Treating employees fairly and promoting diversity and inclusion can help a firm build a more engaged and motivated workforce, which can result in improved performance and higher customer satisfaction.

Additionally, these practices can help a firm avoid legal and reputational risks associated with discrimination and harassment.

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a lot that measured 330’ x 198’ sold for $30,000. what was the cost per acre?

Answers

The cost per acre land for the lot measuring 330' x 198' is $20,000.

To determine the cost per acre, we need to convert the lot measurements from square feet to acres.

First, we convert the square footage to square acres by dividing by the conversion factor, which is 43,560 square feet in one acre:

330' x 198' = 65,340 square feet

65,340 square feet / 43,560 square feet/acre = 1.5 acres (approximately)

Next, we calculate the cost per acre by dividing the total cost by the number of acres:

$30,000 / 1.5 acres = $20,000 per acre

Therefore, the cost per acre for the lot measuring 330' x 198' is $20,000.

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If a lot that measured 330’ x 198’ sold for $30,000 then the cost per acre for the lot is approximately $20,000.

To determine the cost per acre for a lot that measured 330' x 198' and sold for $30,000, you will first need to calculate the total area in square feet and then convert it to acres.

1. Calculate the total area in square feet:
Area = length x width = 330' x 198' = 65,340 square feet

2. Convert square feet to acres:
1 acre = 43,560 square feet
Area in acres = 65,340 square feet ÷ 43,560 square feet/acre ≈ 1.5 acres

3. Calculate the cost per acre:
Cost per acre = Total cost ÷ Area in acres = $30,000 ÷ 1.5 acres ≈ $20,000 per acre

So, the cost per acre for the lot is approximately $20,000.

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