IGC Distribution Company has three warehouses in the USA. The company would like to perform a pilot study to evaluate the inventory cost in the warehouses. The pilot study will consider the warehouse located in Houston, TX and a distribution valve. Based on the past data it is estimated that demand for the distribution valve in Houston, TX follows normal distribution with mean equal to 2000 units per week and standard deviation for demand is 350 units per week. It is also assumed that inventory holding rate will be 28% per unit per year and cost of each valve is $300. IGC pays $300 each time when an order is place for distribution valves and the lead time is five weeks. The objective customer service level is 95%.i) Considering only one of the three warehousesa) Calculate the economic order quantity, EOQ. (2 points)b) Calculate safety stock, ss. (2 points)c) Calculate the reorder point, ROP. (2 points)d) What will happen to ROP and ss if there is a lead time variability as well. Standard deviation of lead time is 2 weeks. (2 points)e) IGC assumes demands at all warehouses are independent and identical. What will be the total AIL and cost of these three warehouses. (2 points)If IGC decides to serve entire US from only a single location, what would be the new EOQ, ss, and total cost at this single warehouse. (5 points)

Answers

Answer 1

a) The economic order quantity is 2584 units. b) The SS is 6428 units. c) The ROP is 16428 units.

i) Considering only one of the three warehouses

a) Calculate the economic order quantity, EOQ.

EOQ = sqrt((2DS)/H)

where D = annual demand, S = setup cost per order, and H = holding cost per unit per year.

Annual demand = 2000 units/week * 52 weeks = 104,000 units

Setup cost per order = $300

Holding cost per unit per year = 28% of $300 = $84

EOQ = sqrt((2300104000)/84) = 2584.24 ≈ 2584 units

b) Calculate safety stock, ss.

ss = zσdL

where z = Z-value for the desired service level (95% = 1.645), σd = standard deviation of demand during lead time, and L = lead time in weeks.

σd = σw*sqrt(L)

where σw = standard deviation of weekly demand.

σw = 350 units per week

σd = σwsqrt(5) = 350sqrt(5) ≈ 782.62 units

ss = 1.645782.625 = 6427.98 ≈ 6428 units

c) Calculate the reorder point, ROP.

ROP = dL + ss

where d = demand per week and L = lead time in weeks.

d = 2000 units/week

L = 5 weeks

ROP = 2000*5 + 6428 = 16428 units

d) What will happen to ROP and ss if there is a lead time variability as well. Standard deviation of lead time is 2 weeks.

The safety stock and reorder point will increase due to the increased lead time variability.

σL = 2 weeks

New ss = 1.645782.62sqrt(5+2) ≈ 9036 units

New ROP = 2000*7 + 9036 ≈ 22036 units

e) IGC assumes demands at all warehouses are independent and identical. What will be the total AIL and cost of these three warehouses.

AIL (average inventory level) = EOQ/2 + ss

Total Cost = (D/EOQ)*S + (EOQ/2)H + DC

where D = annual demand, S = setup cost per order, H = holding cost per unit per year, and C = cost per unit.

Assuming demand and costs are the same for all three warehouses:

D = 104,000 units

S = $300

H = $84

C = $300

Total AIL = (2584/2 + 6428)*3 = 29076 units

Total Cost = (104000/2584)*300 + (2584/2)84 + 104000300 = $11,308,680

If IGC decides to serve entire US from only a single location, what would be the new EOQ, ss, and total cost at this single warehouse.

New EOQ = sqrt((2DS)/H) = sqrt((2300104000)/84) ≈ 2584 units

New ss = 1.645782.625 ≈ 6428 units

New total cost = (104000/2584)*300 + (2584/2)84 + 104000300 + (2584/2 + 6428)*84 = $11,405,771

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Related Questions

if the activity level increases 10%, total variable costs will question 15 options: 1) remain the same. 2) increase by more than 10%. 3) decrease by less than 10%. 4) increase 10%.

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If the activity level increases 10%, the total variable costs will increase by 10%.

Total variable costs are directly proportional to the level of activity. This means that when activity increases, variable costs will also increase proportionally. Therefore, if the activity level increases by 10%, the total variable costs will also increase by 10%. Option 4 is the correct answer. The other options are not accurate because total variable costs will not remain the same, decrease by less than 10%, or increase by more than 10% in this scenario. Variable costs are directly proportional to the activity level, meaning when the activity level increases, the total variable costs will increase accordingly. In this case, with a 10% increase in activity level, the total variable costs will also increase by 10%.

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If Susie earns $750,000 in taxable income, how much tax will she pay as a single taxpayer for year 2021? Marc, a single taxpayer, earns $60,000 in taxable income and $5,000 in interest from an investment in city of Birmingham Bonds. Using the U.S. tax rate schedule for year 2020, what is his average tax rate (rounded) & effective tax rate (rounded)?
Jamie is single. In 2020 , she reported $100,000 of taxable income, including a long-term capital gain of $5,000. What is her gross tax liability, rounded to the nearest whole dollar amount? (Use the tax rate schedules,long term capital gains tax brackets)

Answers

Tax will Susie pay as a single taxpayer in 2021 if she has taxable income of $750,000. Utilise the 2021 U.S. tax rate schedule that was located. Your gross income may come from a variety of sources, such as salary, capital gains, etc.

You are exempt from paying tax if your total yearly income is less than Rs 2.5 lakh and your only source of income is capital gains from mutual funds.If you regard your income as capital gains, you may deduct the costs associated with the transfer. Additionally, short-term profits from equity are taxed at 15% whereas long-term gains are taxable if they exceed Rs 1 lakh yearly.

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The stock of Business Adventures sells for $45 a share. Its likely dividend payout and end-of-year price depend on the state of the economy by the end of the year as follows:
Dividend Stock Price
Boom $2.60 $55
Normal economy 1.50 48
Recession .60 39
a. Calculate the expected holding-period return and standard deviation of the holding-period return. All three scenarios are equally likely. (Do not round intermediate calculations. Round your answers to 2 decimal places.)
Expected return %
Standard deviation %
b. Calculate the expected return and standard deviation of a portfolio invested half in Business Adventures and half in Treasury bills. The return on bills is 5%. (Do not round intermediate calculations. Round your answers to 2 decimal places.)
Expected return %
Standard deviation %

Answers

The expected holding-period return is 1.78% and the standard deviation of the holding-period return is 0.99%.

The expected return of the portfolio is 3.39% and the standard deviation of the portfolio is 0.50%.

a. To calculate the expected holding-period return and standard deviation of the holding-period return, we need to use the following formulas:

Expected return = Σ(Scenario probability × Scenario return)

Standard deviation = [(Σ(Scenario probability × (Scenario return - Expected return)^2))^0.5]

Given that each scenario is equally likely, the probability of each scenario is 1/3.

Expected return = (1/3 × $2.60) + (1/3 × $1.50) + (1/3 × $0.60) + ($55 - $45)

Expected return = $1.23 + $0.50 + $0.05

Expected return = $1.78

Standard deviation = [(1/3 × ($2.60 - $1.78)^2) + (1/3 × ($1.50 - $1.78)^2) + (1/3 × ($0.60 - $1.78)^2))^0.5]

Standard deviation = [(0.36 + 0.08 + 0.81))^0.5]

Standard deviation = 0.99

Therefore, the expected holding-period return is 1.78% and the standard deviation of the holding-period return is 0.99%.

b. To calculate the expected return and standard deviation of a portfolio invested half in Business Adventures and half in Treasury bills, we need to use the following formulas:

Expected return = (Portfolio weight × Business Adventures expected return) + ((1 - Portfolio weight) × Treasury bills return)

Standard deviation = [(Portfolio weight^2 × Business Adventures standard deviation^2) + ((1 - Portfolio weight)^2 × Treasury bills standard deviation^2) + 2 × Portfolio weight × (1 - Portfolio weight) × Business Adventures-Treasury bills covariance)^0.5]

Given that we're investing half in Business Adventures and half in Treasury bills, the portfolio weight is 0.5 and the Treasury bills return is 5%.

Expected return = (0.5 × $1.78) + (0.5 × 5%)

Expected return = $0.89 + 2.5%

Expected return = 3.39%

To calculate the standard deviation, we need to calculate the covariance between Business Adventures and Treasury bills. Since Treasury bills have a fixed return, the covariance between them and any other asset is zero. Therefore, the third term in the standard deviation formula becomes zero, and the formula simplifies to:

Standard deviation = [(Portfolio weight^2 × Business Adventures standard deviation^2) + ((1 - Portfolio weight)^2 × Treasury bills standard deviation^2))^0.5]

Standard deviation = [(0.5^2 × 0.99^2) + (0.5^2 × 0^2))^0.5]

Standard deviation = 0.50

Therefore, the expected return of the portfolio is 3.39% and the standard deviation of the portfolio is 0.50%.

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if nominal gdp increased from $4,500 billion in 2010 to $5,000 billion in 2011 and the gdp deflator increased from 100 to 112 over the same time period, what would the 2011 real gdp equal (expressed in terms of 2010 dollars)?

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Therefore, the 2011 real GDP expressed in terms of 2010 dollars would be $4,464.29 billion.

To calculate the 2011 real GDP expressed in terms of 2010 dollars, we need to use the formula:

Real GDP = Nominal GDP / GDP Deflator

We know that the nominal GDP increased from $4,500 billion in 2010 to $5,000 billion in 2011, which is a 11.1% increase:

%Δ Nominal GDP = [(Nominal GDP in 2011 - Nominal GDP in 2010) / Nominal GDP in 2010] x 100
%Δ Nominal GDP = [(5,000 - 4,500) / 4,500] x 100 = 11.1%

We also know that the GDP deflator increased from 100 to 112 over the same time period, which is a 12% increase:

%Δ GDP Deflator = [(GDP Deflator in 2011 - GDP Deflator in 2010) / GDP Deflator in 2010] x 100
%Δ GDP Deflator = [(112 - 100) / 100] x 100 = 12%

Now we can use the formula above to calculate the real GDP in 2011 expressed in terms of 2010 dollars:

Real GDP in 2011 = Nominal GDP in 2011 / GDP Deflator in 2011
Real GDP in 2011 = $5,000 billion / 1.12
Real GDP in 2011 = $4,464.29 billion (in 2010 dollars)

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a natural _____ is an industry in which of scale are so extensive that the market is better served by a single firm.

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A  natural monopoly is an industry in which economies of scale are so extensive that the market is better served by a single firm.

This means that it would not be practical or efficient to have multiple companies operating in the same industry due to the high costs associated with duplication of infrastructure, equipment, and other resources. Natural monopolies often arise in industries such as utilities, telecommunications, and transportation, where large capital investments are required to establish the necessary infrastructure.

Due to their monopoly status, natural monopolies are often subject to government regulations to ensure that they do not abuse their market power and exploit consumers.

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what would cause the level of demand (meaning the relationship between price and quantity demanded) to shift? group of answer choices the price of the

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The level of demand can be shifted by various factors such as changes in the price of the product, changes in consumer income, changes in consumer preferences or tastes,

changes in the availability of substitute products, changes in the availability of complementary products, changes in the overall economic conditions, changes in government policies or regulations, changes in population demographics, and changes in advertising or promotional activities. For example, if the price of the product decreases, it may lead to an increase in the quantity demanded, causing a shift in the demand curve. Similarly, if there is a change in consumer preferences towards a particular product, it may lead to an increase in demand for that product, causing a shift in the demand curve.

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which of the following is an example of an in-kind transfer? group of answer choices junko receives an old-age pension from her former employer. tomasi is eligible for an income supplement because he lost his job. ellen is eligible for income because she had a type of accident that qualifies. martin receives housing from the government due to his low income.

Answers

The example of an in-kind transfer is Martin receiving housing from the government due to his low income.

An in-kind transfer is a type of transfer payment in which goods or services are provided instead of cash. In the given options, only Martin receiving housing from the government due to his low income is an example of an in-kind transfer. In this case, instead of receiving cash, Martin is provided with housing from the government. The other options mentioned are examples of cash transfers. Junko receives an old-age pension, which is a cash transfer. Tomasi is eligible for an income supplement, which is also a cash transfer. Ellen is eligible for income because of a type of accident, which again is a cash transfer. Therefore, Martin receiving housing from the government due to his low income is the only example of an in-kind transfer among the given options.

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calculate the change in forecast (i.e. latest forecast vs. the previous forecast for 2023 real gdp growth).

Answers

In order to calculate the change in forecast for 2023 real GDP growth, it is necessary to have at least two forecasts from the same source or different sources for the same variable.

Without this information, it is not possible to provide an accurate calculation of the change in forecast. Additionally, it is important to consider the methodology and assumptions underlying the forecasts, as well as any external factors that may have influenced the changes in the forecasts.

Therefore, the answer to this question requires more information and context to provide a meaningful response.The question is incomplete and requires additional information regarding the source and nature of the forecasts in question.

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in the cost equation tc = f + vx, which term refers to the volume of activity?

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In the cost equation TC = F + VX, the term that refers to the volume of activity is "V." Here, TC represents the total cost, F stands for fixed costs, V is the volume of activity or quantity of units produced, and X denotes variable cost per unit. In this equation, the volume of activity (V) determines the overall variable costs incurred in the production process.

In the cost equation tc = f + vx, the term "v" refers to the volume of activity.

This term represents the level of production or the amount of output produced. It is also known as the activity level or the level of operation. The volume of activity is the key factor that drives the variable costs of the production process. As the volume of activity increases, the variable costs also increase proportionately.
For example, in a manufacturing company, the volume of activity could be measured in terms of the number of units produced or the number of labor hours worked. As the company produces more units or works more hours, the variable costs such as raw materials, direct labor, and utilities also increase. Therefore, it is important for businesses to understand the relationship between the volume of activity and the variable costs to make informed decisions about pricing, production levels, and profitability.In summary, the term "v" in the cost equation tc = f + vx refers to the volume of activity, which is the level of production or operation that drives the variable costs of the production process.

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What are some of the challenges being faced by malls?
Malls are challenged as competition from other retail locations (like power and lifestyle centers, etc.).
Shoppers are looking for "value" alternatives to stores found in malls.
The apparel business continues to be weak causing some specialty stores to close.
Many malls are old an unappealing to shoppers.

All of the above.

Answers

Malls face various challenges that impact their success and sustainability. One of the key challenges is competition from alternative retail locations, such as power and lifestyle centers.

These competitors often offer a diverse range of shopping and entertainment options, attracting customers away from traditional malls.

Another challenge is the increasing demand for value alternatives. Shoppers are becoming more budget-conscious and are looking for more affordable options compared to the often higher-priced stores found in malls. This shift in consumer behavior makes it difficult for malls to maintain their appeal and profitability.

The apparel business, which is a significant component of malls, is also experiencing a downturn. This weakness in the industry has led to closures of some specialty stores, further impacting the overall attractiveness and variety of shopping options within malls.

Lastly, many malls are old and unappealing to shoppers, which contributes to their declining popularity. In today's competitive retail environment, it is crucial for malls to invest in regular renovations and updates to maintain an attractive and modern shopping experience.

In conclusion, malls are facing multiple challenges such as competition from alternative retail locations, consumer demand for value alternatives, weakness in the apparel industry, and aging infrastructure. These factors combined have led to the decline of traditional malls and the need for them to adapt and evolve to stay relevant in today's market.


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Teresa Music Studio is currently an all-equity firm, with market price per share as $42 and there are 80,000 shares outstanding. The current cost of equity is 12% and the tax rate is 34%. The company is considering adding $1 million of debt with a coupon rate of 8% to her capital structure. The debt will be sold at par value. What is the levered value of the equity? A. $2.4 million B. $2.7 million C. $3.3 million

Answers

The answer is C. $3.3 million. Teresa Music Studio is currently an all-equity firm, with market price per share as $42 and there are 80,000 shares outstanding.

To calculate the levered value of equity, we need to first calculate the value of the entire firm with the added debt.
The value of the firm with the added debt can be calculated as follows:
Value of the firm = Value of equity + Value of debt
Value of equity = Market price per share * Number of outstanding shares = $42 * 80,000 = $3,360,000
Value of debt = $1,000,000 (since it will be sold at par value)
Total value of the firm = $3,360,000 + $1,000,000 = $4,360,000
Next, we need to calculate the cost of equity with the added debt. We can use the following formula:
Cost of equity = Risk-free rate + Beta * Equity risk premium
Assuming a risk-free rate of 3% and a beta of 1.2, the equity risk premium can be calculated as follows:
Equity risk premium = Cost of equity - Risk-free rate
Equity risk premium = 12% - 3% = 9%
Cost of equity with added debt = 3% + 1.2 * 9% = 13.8%
Finally, we can calculate the levered value of equity using the following formula:
Levered value of equity = Value of the firm - Value of debt
Levered value of equity = $4,360,000 - $1,000,000 = $3,360,000

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when managers nurture the most promising employees and devote less attention to those with less talent or interest in promotion, which talent management approach does this represent?

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The talent management approach that represents managers nurturing the most promising employees and devoting less attention to those with less talent or interest in promotion is the high potential approach.

This approach focuses on identifying and developing individuals who have the potential to become future leaders and key contributors to the organization. Detailed assessment and development plans are created for high-potential employees, while those with lower potential may receive less attention or developmental opportunities.

The goal of this approach is to ensure that the organization has a strong pipeline of talented individuals who can take on critical roles in the future.

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Suppose you wish to analyze the relationship between the number of years of schooling individuals complete, S, and their scores on a standardized test of cognitive ability, T. Suppose the true relationship depends on the individual’s mothers education, SM, but you do not include this variable. That is, the true model is; Si = β1 + β2Ti + β3SMi + ui (2) and you mistakenly fit the regression line Sˆ i = βˆ 1 + βˆ 2Ti . (3) a. [2 points] What is the bias called from this mistake? Write out E(βˆ 2) to show this bias. (No need to derive, just show.) b. [3 points] What are the interpretations of the components of this bias AND in what circumstances will the βˆ 2 be an unbiased estimator of β2? c. [2 points] Will βˆ 2 overestimate or underestimate β2? Explain why you expect this to be the case. (Note: you will receive a mark of 0 if you do not explain why.) d.[1 point] What is the consequence to the estimates of the regression coefficients from including an irrelevant variable into the regression specification? (Note: for full marks show the math behind your answer.)

Answers

The consequence of including an irrelevant variable into the regression specification is that the estimates of the regression coefficients will be biased.

a. The bias from this mistake is called omitted variable bias. E(βˆ2) = β2 + Cov(T, SM)β3.

b. The interpretation of the components of this bias is that if the omitted variable SM is positively correlated with the independent variable T and is also positively correlated with the dependent variable S, then the bias will be positive. The bias will be zero if the omitted variable is uncorrelated with the independent variable. The βˆ2 will be an unbiased estimator of β2 in the absence of correlation between the omitted variable and the independent variable.

c. βˆ2 will underestimate β2. This is because if the omitted variable is positively correlated with the independent variable T and is also positively correlated with the dependent variable S, then the bias will be positive, which results in an underestimation of β2.

d. This bias can be quantified by calculating the covariance between the included variable and the omitted variable, multiplied by the coefficient of the omitted variable. This bias can be reduced by including all relevant variables in the regression specification.

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. prepare an incremental analysis to show whether should discontinue the laminate flooring product line. will discontinuing laminate flooring add to operating income? ex

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The incremental analysis involves comparing the relevant costs and revenues of two different alternatives to determine which one is more profitable.

In this case, we want to compare the costs and revenues of continuing the laminate flooring product line versus discontinuing it.

Assuming that the laminate flooring product line is currently generating some revenue, discontinuing it would result in a loss of revenue. However, we also need to consider the costs associated with the product line, such as materials, labor, overhead, and any other direct or indirect costs.

If the costs of producing and selling the laminate flooring product line are higher than the revenue generated from it, then discontinuing it would actually increase operating income. On the other hand, if the revenue generated from the product line exceeds its costs, then discontinuing it would decrease operating income.

Therefore, to prepare an incremental analysis, we need to compare the revenue and costs of the laminate flooring product line against the revenue and costs of the alternative use of those resources. This could be investing in a different product line or simply reallocating resources to a different area of the business.

Once we have all the relevant costs and revenues, we can calculate the incremental operating income from continuing the laminate flooring product line versus discontinuing it. If the incremental operating income is positive, then discontinuing the laminate flooring product line would result in an increase in operating income. If it is negative, then discontinuing the product line would result in a decrease in operating income.

In conclusion, without knowing the specific costs and revenues associated with the laminate flooring product line, it is difficult to determine whether discontinuing it would add to operating income. However, an incremental analysis can help us make this decision by comparing the costs and revenues of the product line against the costs and revenues of the alternative use of those resources.

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jonathan made a down payment on a car. which statement is true? he has less loan left to repay. he has additional time to pay his loan back. he has more credit available. he has higher taxes.

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Jonathan has less loan left to repay. Paying back a loan involves returning the borrowed funds to the lender along with any accrued interest.

A down payment is an upfront payment made towards the purchase of a large item, such as a car. This payment reduces the overall amount of the loan needed to be taken out to make the purchase. Therefore, by making a down payment on the car, Jonathan has already paid a portion of the total amount owed, which means he has less loan left to repay. This can help to lower the total amount of interest he will pay over the life of the loan and may also shorten the length of time it takes to pay off the loan. It does not give him additional time to pay his loan back, more credit available, or result in higher taxes.

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Answer:

A. He has less loan left to repay.

max depree suggested that a successful entrepreneur could be compared to ________.

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Max DePree suggested that a successful entrepreneur could be compared to a conductor of an orchestra.

This comparison highlights the importance of the entrepreneur's role in bringing together different individuals and components to create a harmonious and successful outcome. Just as a conductor must have a deep understanding of each instrument and the unique talents of each musician, an entrepreneur must have a clear vision and understanding of the strengths and weaknesses of their team members and how to bring them together to create a successful business.

Like a conductor, an entrepreneur must also be able to adapt and adjust their approach based on the circumstances and challenges they encounter along the way. Overall, the comparison to a conductor emphasizes the importance of leadership, collaboration, and a clear sense of purpose in achieving entrepreneurial success.

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Benoit Company produces three products-A, B, and C. Data concerning the three products follow (per unit):

Product A Product B Product C

Selling price $80 $56 $70

Variable expenses: Direct materials $24 $15 $9

Other variable expenses $24 $27 $40

Total variable expenses $48 $42 $49

Contribution margin $32 $14 $21

Contribution margin ratio 40% 25% 30%

The company estimates that it can sell 800 units of each product per month. The same raw material is used in each product. The material costs $3 per pound with a maximum of 5,000 pounds available each month.

Required:

1. Calculate the contribution margin per pound of the constraining resource for each product.

2. Which orders would you advise the company to accept first, those for A, B, or C? Which orders second? Third?

3. What is the maximum contribution margin that the company can earn per month if it makes optimal use of its 5,000 pounds of materials?

Answers

Benoit Company produces three products-A, B, and C. Data concerning the three products follow (per unit)

1. The contribution margin per pound of the constraining resource for each product can be calculated by dividing the contribution margin per unit by the direct material cost per unit. Product A has a contribution margin of $32 per unit and a cost of $24 per unit of raw material, giving a contribution margin per pound of $1.33.

Product B has a contribution margin of $14 per unit and a cost of $15 per unit of raw material, giving a contribution margin per pound of $0.93. Product C has a contribution margin of $21 per unit and a cost of $9 per unit of raw material, giving a contribution margin per pound of $2.33.

2. The optimal orders to accept first, second and third would be Product C, Product A, and Product B. This is due to the fact that Product C has the highest contribution margin per pound of the constraining resource.

3. The maximum contribution margin that the company can earn per month if it makes optimal use of its 5,000 pounds of materials is $11,650. This is calculated by multiplying the contribution margin per pound of the constraining resource for each product by the number of pounds of material available for each product, and then adding the three products together.

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a company has net income of $180,000, assets at the beginning of the year of $800,000, and assets at the end of the year of $1 million. the company's return on assets for the year is:

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To calculate the company's Return on Assets (ROA) for the year, we need to use the following formula:

ROA = (Net Income / Average Total Assets) x 100

Let's break down the information given and apply it to the formula:

1. Net Income: $180,000
2. Assets at the beginning of the year: $800,000
3. Assets at the end of the year: $1,000,000

Now, we need to find the Average Total Assets, which is calculated as follows:

Average Total Assets = (Assets at the beginning of the year + Assets at the end of the year) / 2

Plugging in the values:

Average Total Assets = ($800,000 + $1,000,000) / 2 = $1,800,000 / 2 = $900,000

Now that we have the Average Total Assets, we can find the ROA:

ROA = ($180,000 / $900,000) x 100 = 0.2 x 100 = 20%

So, the company's Return on Assets for the year is 20%. This means that for every dollar invested in assets, the company generated 20 cents in net income during that year.

A company has net income of $180,000, assets at the beginning of the year of $800,000, and assets at the end of the year of $1 million. the company's return on assets for the year is 20%

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a decrease in y from y1 to y2 is explained as follows: group of answer choices the federal reserve increases the money supply, causing the money-demand curve to shift from md1 to md2; this shift of md causes r to increase from r1 to r2; and this increase in r causes y to decrease from y1 to y2. an increase in p from p1 to p2 causes the money-demand curve to shift from md1 to md2; this shift of md causes r to increase from r1 to r2; and this increase in r causes y to decrease from y1 to y2. a decrease in p from p2 to p1 causes the money-demand curve to shift from md1 to md2; this shift of md causes r to increase from r1 to r2; and this increase in r causes y to decrease from y1 to y2. an increase in the price level causes the money-demand curve to shift from md2 to md1; this shift of md causes r to decrease from r2 to r1; and this decrease in r causes y to decrease from y1 to y2.

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The correct answer is "an increase in the price level causes the money-demand curve to shift from md2 to md1; this shift of md causes r to decrease from r2 to r1; and this decrease in r causes y to decrease from y1 to y2."

This is known as the classical view of the economy, where a decrease in the price level leads to an increase in the real money supply, causing interest rates to decrease. This, in turn, increases investment and consumption, leading to an increase in output (y). On the other hand, an increase in the money supply, as described in the first option, would increase demand for goods and services, leading to an increase in prices and inflation. This would cause interest rates to increase, leading to a decrease in investment and consumption, ultimately resulting in a decrease in output.Therefore, the correct answer is that a decrease in y from y1 to y2 is caused by an increase in the price level, which causes a shift in the money-demand curve and a decrease in interest rates, leading to a decrease in investment and consumption, ultimately resulting in a decrease in output.

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the ________ value of an item is the actual amount of money buyers are willing to pay for it.

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The market value of an item is the actual amount of money buyers are willing to pay for it.

The market value is determined by the forces of supply and demand, where the price of an item will increase if demand is greater than supply, and decrease if supply is greater than demand.

Market value can also be influenced by other factors such as the quality of the item, competition, and external economic factors.

Understanding the market value of an item is important for both buyers and sellers, as it can help determine a fair price and ensure that both parties are satisfied with the transaction.

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erica’s employer offers to match her 401(k) contributions up to 4% of her pay. what should she do?

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Erica can ensure she is taking full advantage of her employer's matching 401(k) contributions, which can significantly boost her retirement savings.

Erica's employer offers to match her 401(k) contributions up to 4% of her pay. To take full advantage of this matching contribution, Erica should:

1. Determine her eligible pay for the 4% match: Calculate 4% of her annual salary (e.g., if her salary is $50,000, then 4% of that is $2,000).

2. Contribute at least 4% of her pay to her 401(k): Erica should contribute at least the calculated amount (e.g., $2,000) to her 401(k) account to maximize the employer match.

3. Monitor her contributions: Regularly review her 401(k) account to ensure she is contributing the necessary amount and that the employer match is being applied.

By following these steps, Erica can ensure she is taking full advantage of her employer's matching 401(k) contributions, which can significantly boost her retirement savings.

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. slow approach: add 2% per year to ad for two years (through some mix of money growth and higher confidence). what will real growth equal each year?

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the advertising budget would increase by 2% each year for the two-year period. The real growth each year depends on the inflation rate. Once you have the inflation rate, you can apply the formula to find the real growth for each year during the two-year period.

To provide an explanation, the slow approach suggests a gradual increase in the advertising budget over a period of two years. This increase could come from a combination of factors such as an increase in revenue or a boost in confidence in the effectiveness of advertising. By adding 2% to the advertising budget each year, the company can avoid overstretching its financial resources and ensure that the growth is sustainable. the slow approach to increasing the advertising budget by 2% per year for two years would result in a real growth of 2% each year. This approach provides a balanced and sustainable way to boost advertising efforts without risking financial instability.


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Christine borrowed money from her credit union to buy a motorcycle. She took out a personal, amortized loan for $13,500, at an interest rate of 4.15%, with monthly payments for a term of 5 years. For each part, do not round any intermediate computations and round your final answers to the nearest cent. If necessary, refer to the list of financial formulas. (a) Find Christine's monthly payment х ? (b) If Christine pays the monthly payment each month for the full term, find her total amount to repay the loan. si () If Christine pays the monthly payment each month for the full term, find the total amount of interest she will pay.

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Christine took out a personal, amortized loan for $13,500, at an interest rate of 4.15%, with monthly payments for a term of 5 years.

a) Christine's monthly payment is $262.45. This can be found by using the formula PMT = P x (r x (1 + r)n) / [(1 + r)n - 1], where P is the amount of the loan, r is the monthly interest rate (4.15%/12) and n is the number of payments (60).

b) Christine's total amount to repay the loan is $15,747.00. This can be found by multiplying the monthly payment by the number of payments, $262.45 x 60 = $15,747.

c) The total amount of interest Christine will pay is $2,247.00. This can be found by subtracting the loan amount from the total amount to repay the loan, $15,747.00 - $13,500.00 = $2,247.00.

In summary, Christine took out a personal, amortized loan for $13,500, at an interest rate of 4.15%, with monthly payments for a term of 5 years. Her monthly payment is $262.45 and her total amount to repay the loan is $15,747.00, of which $2,247.00 is interest.

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atlantic company has a manufacturing facility in brooklyn that manufactures robotic equipment for the auto industry. for year 1, atlantic collected the following information from its main production line: actual quantity purchased 200 units actual quantity used 110 units units standard quantity 100 units actual price paid 8 per unit standard price 10 per unit atlantic isolates price variances at the time of purchase. what is the materials price variance for year 1?

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The materials price variance for year 1 is $400 favorable.

The materials price variance measures the difference between the actual cost of materials and the expected or standard cost of materials. It is calculated as the difference between the actual quantity of materials purchased and the actual price paid per unit, compared to the standard price per unit, multiplied by the standard quantity.

Using the information given in the question, we can calculate the materials pric variance as follows:

Actual quantity purchased = 200 units

Actual price paid = $8 per unit

Standard price = $10 per unit

Standard quantity = 100 units

Materials price variance = (actual quantity purchased x (actual price paid - standard price))

= (200 x ($8 - $10))

= -$400 (unfavorable)

However, the question asks for the materials price variance, not the variance expressed as a dollar amount. Therefore, the materials price variance for year 1 is $400 favorable (i.e., the opposite of a $400 unfavorable variance).

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what effect does the change in the market for loanable funds in dodgeland have on burginville's currency and the real interest rate in burginville?

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The change in the market for loanable funds in Dodgeland could potentially have an impact on Burginville's currency and real interest rate.

If the interest rate in Dodgeland increases, it could lead to an increase in demand for loans in Dodgeland, which would increase the demand for loanable funds in the overall market. This increase in demand could cause the interest rate in the market for loanable funds to rise, which could lead to an appreciation in Burginville's currency and an increase in the real interest rate in Burginville.

However, the impact would depend on other economic factors, such as trade and investment flows between Dodgeland and Burginville.

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You can attract people by using _________ to create content and experiences.

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You can attract people by using creativity to create content and experiences.

Creativity is a powerful tool for attracting people to your content and experiences. By thinking outside the box and coming up with unique and engaging ideas, you can capture people's attention and keep them coming back for more. Whether it's through visual design, storytelling, or interactive experiences, creativity can help you stand out in a crowded field and build a loyal following.

Attracting people to your content and experiences is all about capturing their interest and keeping them engaged. To do this, you need to be creative in the way you approach your messaging and delivery. Creative content and experiences stand out from the sea of generic offerings, and can help you build a strong brand identity that people will remember.

One way to use creativity to attract people is through visual design. By creating eye-catching graphics, videos, or animations, you can draw people in and make a lasting impression. A visually appealing website, social media feed, or marketing campaign can make all the difference in getting people to take notice and engage with your content.

Another way to use creativity is through storytelling. By crafting compelling narratives that resonate with your audience, you can create an emotional connection that keeps people engaged. Whether it's through blog posts, podcasts, or video content, storytelling can be a powerful tool for building a loyal following and driving engagement.

Finally, interactive experiences can be a great way to attract people to your content. By creating games, quizzes, or other interactive elements, you can make your content more engaging and encourage people to spend more time with it. Interactive experiences can also be a great way to gather data about your audience, which can help you refine your messaging and delivery over time.

In short, creativity is a vital tool for attracting people to your content and experiences. By using innovative design, storytelling, and interactive elements, you can create a compelling brand identity that people will remember and engage with over time.

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Bond value and time: Constant required returns Pecos Manufacturing has just issueda 15-year, 12% coupon interest rate, $1,000-par bond that pays interest annually.The required return is currently 14%, and the company is certain it will remainat 14% until the bond matures in 15 years.a. Assuming that the required return does remain at 14% until maturity, find thevalue of the bond with (1) 15 years, (2) 12 years, (3) 9 years, (4) 6 years, (5) 3years, and (6) 1 year to maturity.b. Plot your findings on a set of "time to maturity (x axis)–market value of bond(y axis)" axes constructed similarly to Figure 6.5 on page 252.c. All else remaining the same, when the required return differs from the couponinterest rate and is assumed to be constant to maturity, what happens to thebond value as time moves toward maturity? Explain in light of the graph inpart b.

Answers

As time moves towards maturity and the required return remains constant but different from the coupon interest rate, the bond value will move closer to its par value ($1,000). This trend can be observed in the graph from part b.

To find the bond value at various times to maturity, we need to calculate the present value of the bond's cash flows (interest payments and principal repayment) discounted at the required return. We will use the following formula:
Bond value = C * (1 - (1 + r)^(-n)) / r + F * (1 + r)^(-n)

where C is the annual coupon payment, r is the required return, n is the number of years to maturity, and F is the face value of the bond.  For Pecos Manufacturing's bond, C = $120 (12% of $1,000), r = 0.14, and F = $1,000. Plugging in the values for n (15, 12, 9, 6, 3, and 1 years), we get the bond values as follows:

1. 15 years: $927.90
2. 12 years: $940.43
3. 9 years: $959.27


4. 6 years: $985.88
5. 3 years: $1,022.73
6. 1 year: $1,074.61

Plot these bond values against their respective time to maturity on a graph.

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in reference to fixed annuities, what comprises most of a life insurance company’s general account?

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In reference to fixed annuities, the majority of a life insurance company's general account is typically composed of investment-grade bonds and other low-risk fixed-income securities.

The general account is the life insurance company's main investment account that supports its fixed annuity products. The assets such as bonds and other low-risk fixed-income securities provide the financial stability and security necessary for the insurer to meet its contractual obligations to policyholders, such as paying out guaranteed interest rates on fixed annuity contracts.

The insurer's general account also includes a portion of equity investments and other higher-yield securities to generate additional income, but these investments are typically managed more conservatively than those in the insurer's separate accounts. Overall, the composition of a life insurance company's general account is designed to balance safety, liquidity, and profitability while meeting the long-term needs of policyholders.

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What separates a powerful strategy from a run-of-the-mill or ineffective one is A) the ability of the strategy to keep the company profitable. B) the proven ability of the strategy to generate maximum profits. C) the speed with which it helps the company achieve its strategic vision. D) management's ability to forge a series of moves, both in the marketplace and internally, that sets the company apart from rivals, tilts the playing field in the company’s favor, and produces sustainable competitive advantage over rivals. E) whether it allows the company to maximize shareholder value in the shortest possible time.

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A powerful strategy is separated from a run-of-the-mill or ineffective one by D) management's ability to forge a series of moves, both in the marketplace and internally, that sets the company apart from rivals, tilts the playing field in the company’s favor, and produces sustainable competitive advantage over rivals.

A powerful strategy is one that not only keeps the company profitable but also creates a competitive advantage that allows the company to stay ahead of its rivals. It involves a series of moves that are carefully planned and executed by the management team, both in the marketplace and internally, to set the company apart from its competitors.

This creates a playing field that is tilted in the company's favor, resulting in a sustainable competitive advantage over rivals. While maximizing profits and shareholder value are important, they are not the only factors that determine a powerful strategy.

The ability to achieve the company's strategic vision quickly is also crucial, but again, this is only possible through a series of well-planned moves that create a sustainable competitive advantage over rivals. So, the correct option is D.

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your firm is planning to invest in a new electrostatic power generation system. electrostat inc is a firm that specializes in this business. electrostat has a stock price of $25 per share with 16 million shares outstanding. electrostat's equity beta is 1.18. it also has $220 million in debt outstanding with a debt beta of 0.08. if the risk-free rate is 3%, and the market risk premium is 6%, then your estimate of your cost of capital for electrostatic power generators is closest to: group of answer choices 7.50%. 7.75%. 9.50%. 10.10%.

Answers

The Equity estimate of the cost of capital for electrostatic power generators is closest to7.50%.

Cost of Equity = Risk-Free Rate + (Equity Beta x Market Risk Premium) Cost of Equity = 0.03 + (1.18 x 0.06) Cost of Equity = 0.03 + 0.0708 Cost of Equity = 0.1008 or 10.08%

Cost of Debt = Risk-Free Rate + (Debt Beta x Market Risk Premium) Cost of Debt = 0.03 + (0.08 x 0.06) Cost of Debt = 0.03 + 0.0048 Cost of Debt = 0.0348 or 3.48% Next, we need to calculate the weight of equity and the weight of debt:

Weight of Equity = (Number of Shares x Price per Share) / (Number of Shares x Price per Share + Total Debt) Weight of Equity = (16,000,000 x $25) / (16,000,000 x $25 + $220,000,000) Weight of Equity = $400,000,000 / $620,000,000 Weight of Equity = 0.645 or 64.5% Weight of Debt = Total Debt / (Number of Shares x Price per Share + Total Debt)

Weight of Debt = $220,000,000 / ($25 x 16,000,000 + $220,000,000) Weight of Debt = $220,000,000 / $620,000,000 Weight of Debt = 0.355 or 35.5% Finally, we can calculate the weighted average cost of capital (WACC):

WACC = (Weight of Equity x Cost of Equity) + (Weight of Debt x Cost of Debt WACC = (0.645 x 0.1008) + (0.355 x 0.0348) WACC = 0.0653 or 6.53%

Therefore, the estimate of the cost of capital for electrostatic power generators is closest to 6.53%.

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