the quantity of the replenishment order is based on the .a.inventory space availableb.capacity availablec.size of the itemd.number of workers availablee.lot sizing rule used

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Answer 1

The quantity of a replenishment order is primarily determined by the lot sizing rule used, which helps businesses optimize their inventory management.

Several factors influence the choice of lot sizing rule, such as inventory space available, capacity available, size of the item, and number of workers available.

Inventory space available plays a crucial role in determining the quantity of an order, as limited space may require smaller or more frequent orders. Capacity available refers to the production or storage capabilities of a business, which directly impacts the amount of inventory that can be managed. The size of the item is also essential, as larger items may require additional space and resources for proper storage and handling.

The number of workers available influences the efficiency of the inventory management process, including the ability to handle, store, and process orders. A higher number of workers may lead to quicker and more efficient order processing, allowing for larger order quantities.

In conclusion, the quantity of a replenishment order is primarily determined by the lot sizing rule used, which takes into account various factors such as inventory space, capacity, item size, and the number of workers available. By considering these elements, businesses can optimize their inventory management and ensure efficient operations.


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Related Questions

Explain how a change in banking policy may impact a life decision that you will one day, or maybe have in the past, come across. This can include, among other decisions, a major purchase, a decision regarding schooling, or a decision to start a business.

Answers

Banks act as intermediaries between those with excess funds and those in need of funds. Banks offer low-interest loans to a huge number of customers. They also help the sector by offering low-interest loans to industrialists.

Banks are the economic backbone of the country. Banks act as a go-between for people who have extra cash and others who don't. They pay interest to depositors and charge interest to individuals who take out bank loans. The bank's major source of income is the difference between interest rates. Banks collect private savings and lend them to entrepreneurs and manufacturers. Bank loans facilitate trade.

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series i - an accrual-type security with a combination interest rate of a fixed and an inflation rate bon

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Series I is a type of security that combines a fixed interest rate with an inflation rate bond, making it an accrual-type security.

What is the structure of Series I, and how does it differ from other types of securities?

Series I is a unique type of security that offers investors a combination of a fixed interest rate and an inflation rate bond. Unlike other types of securities, Series I offers a guaranteed rate of return that adjusts with inflation, making it an attractive investment option for those seeking a low-risk, high-yield investment.

The fixed interest rate component of the security provides investors with a predictable income stream, while the inflation rate component helps to protect against the eroding effects of inflation over time. Overall, Series I is a versatile and flexible investment option that offers both stability and growth potential.

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which one of these applies to the weighted-average cost of capital (wacc)? multiple choice question. the weights are based on book values. the weights are based on the cost of each component. the tax adjustment applies to every component cost. wacc is an after-tax cost.

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The correct answer to the multiple choice question is "The weights are based on the cost of each component."

The weighted-average cost of capital (WACC) is a calculation used to determine the average cost of all the sources of financing used by a company, including debt and equity. The WACC is calculated by multiplying the cost of each source of financing by its respective weight, which is determined based on the proportion of that source in the company's capital structure.
In the case of the WACC, the weights are based on the cost of each component, meaning that the weight given to each source of financing is based on its cost of capital. This is because the cost of each component reflects the required return that investors demand to invest in that particular source of financing.
Furthermore, the WACC is an after-tax cost, meaning that it takes into account the effect of taxes on the cost of financing. The tax adjustment applies to every component cost, as the cost of debt is tax-deductible, whereas the cost of equity is not.
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you have two relations from which you can extract data: employee and proj mgr. which relational algebraic operation should you use to determine which employees are not project managers

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You can use the relational algebraic operation of set difference to identify which employees are not project managers. To be more precise, a set-difference operation would be carried out between the sets of all employees and all project managers.

A list of all employees who are not project managers would result from this. The "-" symbol stands for the set difference operation, which is used to remove every element from one set and add it to another.
1. "Project manager" and "employee" are two of your relatives.
2. Use the set-difference method to compare these two relations.
3. The outcome will be a partnership that includes staff members who are not project managers.

Using the "employee" and "project manager" relationships, you should run a set-difference operation between them to determine which employees are not project managers. Employees who are not project managers will be a part of the relationship that results.

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which of the following is an example of downward communication? group of answer choices a team member gives a suggestion to a team leader in an official meeting. an employee lodges an official complaint against a colleague. an employee engages in grapevine communication. an employee sends a resignation letter to a manager. a manager sends project details to a subordinate.

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The example of downward communication among the given options is when a manager sends project details to a subordinate.

Downward communication refers to the flow of information from higher authorities to lower levels in an organizational hierarchy. It can be in the form of instructions, feedback, guidelines, or policies. In the given options, when a manager sends project details to a subordinate, it is an example of downward communication. Here, the manager is the higher authority and the subordinate is the lower level. The manager is providing instructions and guidelines to the subordinate regarding the project. This type of communication is essential for efficient functioning and effective delegation of tasks within the organization. It ensures that everyone is aware of their roles and responsibilities, and there is clarity in communication.

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In ______ auction, many sellers compete to provide goods or services for a single buyer. a. a reverse b. an independent c. a traditional d. a virtual

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In an "independent" auction, many sellers compete to provide goods or services for a single buyer.

In an independent auction, multiple sellers bid to provide goods or services to a single buyer, who is typically a large organization or government agency. The buyer sets the requirements for the goods or services they need, and the sellers compete with each other to win the contract by offering the best price and terms of delivery.

Reverse auctions, on the other hand, involve multiple buyers competing to purchase goods or services from a single seller. Traditional auctions involve multiple buyers competing to purchase goods or services from a single seller, and virtual auctions are conducted online through a digital platform.

The correct answer is a reverse auction. In a reverse auction, many sellers compete to provide goods or services for a single buyer.

This type of auction is also known as a procurement auction, where the buyer specifies the goods or services they require and sets a maximum price they are willing to pay. The sellers then bid against each other, with the lowest bidder being the one awarded the contract. Reverse auctions have become increasingly popular in recent years as a way for companies to source goods and services at a competitive price. They are commonly used in industries such as construction, manufacturing, and transportation. Reverse auctions can also be conducted online, making them more accessible and efficient for both buyers and sellers. Overall, reverse auctions are a useful tool for buyers looking to obtain goods or services at the best possible price while giving sellers the opportunity to win business in a competitive market.

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if a firm shuts down in the short run, then its multiple choice total revenue and total cost will fall to zero. profit will equal zero. economic loss will equal its fixed costs. economic loss will equal its variable costs.

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If a firm shuts down in the short run, then its total revenue and total cost will both fall to zero.

This means that the firm is not generating any income and is not incurring any expenses. However, it's important to note that the firm's fixed costs will still exist and will be considered as sunk costs. Therefore, the economic loss will equal its fixed costs.


When a firm shuts down in the short run, it stops producing any goods or services, which means its total revenue falls to zero. However, it still has to pay its fixed costs, such as rent, insurance, and other non-variable expenses.

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What does the Texas Privacy Act require that police

show in order to use a drone to

"search"

over someone's

property? Is this standard the same or different as

required in the Constitution?

What must police show in order to perform a search or

seizure within the requirements of the Constitution? For

example, what must police show in order to obtain a

search warrant (i.e., probable cause v. reasonable

suspicion)?

What does the Texas Privacy Act require that police

show in order to use a drone to

"search"

over someone's

property? Is this standard the same or different as

required in the Constitution?

The first 10 amendments to the Constitution are called

the Bill or Rights. Does the

"Texas Privacy Act'

a.k.a.

the Texas Drone Act violate our Civil Liberties? If so,

why?

Do you believe that if a case involving the Texas Privacy

Act went all the way to the U.S. Supreme Court, that it

would be upheld or struck down as Unconstitutional?

What if police discovered a dog fighting ring while

searching using the drone? Is it a legal search? Why or

why not?

Please copy and paste below a section of the Texas

Privacy Act that deals with civil law.

Please copy and paste below a section of the Texas

Privacy Act that deals with criminal law.

Answers

The Texas Privacy Act requires that police show sufficient probable cause to a magistrate that a drone search of someone's property is necessary.

This is the same standard required by the Constitution to obtain a search warrant. The Texas Privacy Act protects civil liberties by requiring police to obtain a search warrant or have consent from the property owner before using a drone to search a property. It also prohibits the use of drones to conduct surveillance of people or their property without a warrant. However, it does allow police to use drones in certain emergency situations.

In terms of criminal law, the Texas Privacy Act prohibits the use of drones to search or gather evidence without a search warrant or consent from the property owner. It also prohibits the use of drones to conduct surveillance or record images of people without a search warrant. Furthermore, the Act prohibits the use of drones to unlawfully intercept communication or collect data without a search warrant. Finally, it prohibits the use of drones to interfere with or harass people or obstruct their lawful activities.

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maxwell floor wax company has total production costs of $168,750 in its blending department at month-end. the total equivalent units at month-end are 45,000. what is the cost per equivalent unit?

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To calculate the cost per equivalent unit, you need to divide the total production costs by the total equivalent units. In this case, the cost per equivalent unit would be:

$168,750 / 45,000 = $3.75 per equivalent unit
total production costs in the blending department at month-end ($168,750) and the total equivalent units at month-end (45,000).
Step 1: Write down the formula for calculating the cost per equivalent unit.
Cost per equivalent unit = Total production costs / Total equivalent units
Step 2: Plug in the given values into the formula.
Cost per equivalent unit = $168,750 / 45,000
Step 3: Divide the total production costs by the total equivalent units.
Cost per equivalent unit = $3.75

The cost per equivalent unit for Maxwell Floor Wax Company is $3.75.

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sales territories can be defined on the basis ofselect one:a. geographyb. market offeringsc. product and/or geographyd. product groupe. seniority

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Sales territories can be defined on the basis of geography, market offerings, product and/or geography, or product group. Options A,B,C, and D.

Seniority is not typically a factor in defining sales territories. The decision on which basis to use depends on the company's goals and strategy, as well as the nature of its products or services and the market it serves.

For example, a company that offers different products in different regions may define its sales territories based on product and geography, while a company that focuses on serving specific industries may define its territories based on market offerings.

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the transaction used to record services being performed that were previously sold in advance would include

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The transaction used to record services being performed that were previously sold in advance would include a deferred revenue account and a revenue recognition entry.

This is because the payment for the services was received in advance, creating a liability in the form of deferred revenue. When the services are performed, the revenue can then be recognized and recorded in the books. The entry would typically involve debiting the deferred revenue account and crediting the revenue account. This process is called revenue recognition, and it ensures that the revenue is reported in the correct accounting period when the services are actually delivered, rather than when the payment was received in advance.

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table 1 firm 2 high price low pricefirm 1 high price 88, 7248, 110 low price120, 4240, 45table 1 represents the profit from firms 1 and 2 choosing either a high or low price. does either firm have a dominant strategy?select one:yes, both firms have a dominant strategy.yes, but only firm 1 has a dominant strategy.yes, but only firm 2 has a dominant strategy.no, neither firm has a dominant strategy.

Answers

Neither firm has a dominant strategy in this scenario. A dominant strategy exists when a player has an option that is always optimal, regardless of what the other player does.

However, in this case, neither firm has a strategy that is always optimal. If firm 1 chooses a high price, and firm 2 chooses a high price, the profit will be 88. If firm 1 chooses a high price, and firm 2 chooses a low price, the profit will be 72. If firm 1 chooses a low price, and firm 2 chooses a high price, the profit will be 120. If firm 1 chooses a low price, and firm 2 chooses a low price, the profit will be 45. As we can see, the best strategy for firm 1 depends on the strategy chosen by firm 2, and vice versa. Therefore, neither firm has a dominant strategy.

To elaborate further, a dominant strategy exists when a player's optimal decision remains the same, regardless of the choices made by the other players. In this case, if one firm had a dominant strategy, they would always choose that strategy, regardless of the other firm's decision. However, in the given scenario, the optimal strategy for each firm depends on the strategy chosen by the other firm. If firm 2 chooses a high price, firm 1 is better off choosing a low price to earn a profit of 120, rather than a profit of 88. On the other hand, if firm 2 chooses a low price, firm 1 is better off choosing a high price to earn a profit of 72, rather than a profit of 45.

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Allowance for Doubtful Accounts has a debit balance of $1,500 at the end of the year (before adjustment), and an analysis of customers' accounts indicates doubtful accounts of $17,900.
Which of the following entries records the proper provision for doubtful accounts?
a. debit Allowance for Doubtful Accounts, $16,400; credit Uncollectible Accounts Expense, $16,400
b. debit Allowance for Doubtful Accounts, $19,400; credit Uncollectible Accounts Expense, $19,400
c. debit Uncollectible Accounts Expense, $19,400; credit Allowance for Doubtful Accounts, $19,400
d. debit Uncollectible Accounts Expense, $16,400; credit Allowance for Doubtful Accounts, $16,400

Answers

The journal entries that records the proper provision for doubtful accounts is debit Uncollectible Accounts Expense, $16,400; credit Allowance for Doubtful Accounts, $16,400. Therefore, the correct option is D.

To record the proper provision for doubtful accounts with a debit balance of $1,500 at the end of the year (before adjustment) and an analysis of customers' accounts indicating doubtful accounts of $17,900, you should debit the uncollectible accounts expense for $16,400 and credit allowance for doubtful accounts for $16,400. Here's the reasoning:

1. Calculate the required balance in the Allowance for Doubtful Accounts: $17,900 (based on the analysis of customers' accounts).

2. Determine the difference between the current balance ($1,500) and the required balance ($17,900): $17,900 - $1,500 = $16,400.

3. Make the adjusting entry to bring the Allowance for Doubtful Accounts to the required balance by debiting Uncollectible Accounts Expense and crediting Allowance for Doubtful Accounts with the calculated difference ($16,400).

So, the journal entry would be:

Debit Uncollectible Accounts Expense: $16,400
Credit Allowance for Doubtful Accounts: $16,400

which corresponds with option D.

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If Bank A has a negative gap and Bank B has a positive gap. Which of the following is true?A) Bank A is more favorably affected by rising interest rates.B) Bank B is more favorably affected by falling interest rates.C) Bank A is adversely affected by falling interest rates.D) None of these is true.

Answers

The statement that is true is Bank A is more favorably affected by rising interest rates. Option A is correct.

This is because a negative gap means that Bank A has more liabilities (deposits, etc.) that are sensitive to changes in interest rates than assets (loans, investments, etc.) that are sensitive to changes in interest rates. When interest rates rise, the interest paid on liabilities also increases, which can increase Bank A's net interest income.

On the other hand, Bank B has a positive gap, meaning that it has more interest rate-sensitive assets than liabilities. When interest rates fall, the interest earned on assets also decreases, which can decrease Bank B's net interest income. Therefore, Bank B is more favorably affected by rising interest rates.

Option C is incorrect because falling interest rates would actually benefit Bank A by decreasing the interest paid on liabilities. Option D is also incorrect as one of the statements is true.

Therefore, option A is correct.

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Stock Valuation (Part 3 of 3) A fast growing firm just paid a dividend of $0.60 per share. The dividend is expected to increase at a constant rate for the next three years, leading to a dividend payment of $0.735 at the end of year 3. This dividend growth rate will then fall to 4 percent perpetually. You assume a 12 percent discount rate is appropriate for this stock. What is its value now at time 0? (Give your answer to 4 decimal places, no dollar sign required.)

Answers

The stock's value now at time 0 is $15.70 per share.

To value the stock, we need to calculate the present value of all future dividends, including the dividend payments for the next three years and the infinite stream of dividends after that. We can use the dividend discount model for this purpose:

[tex]P = D1/(1+r) + D2/(1+r)^2 + D3/(1+r)^3 + D4/(r - g)/(1+r)^3[/tex]

where:

P = the stock price today (at time 0)D1, D2, D3 = the dividend payments at the end of years 1, 2, and 3, respectivelyD4 = the perpetual dividend payment starting from the end of year 3r = the discount rateg = the constant dividend growth rate

We are given D1, D2, D3, r, and g, so we can plug them into the formula and solve for P:

[tex]D1 = $0.60\\D2 = D1 x (1+g) = $0.60 x (1+g)\\D3 = D2 x (1+g) = $0.60 x (1+g)^2\\D4 = D3 x (1+g) = $0.60 x (1+g)^3 x (1+4)/(12-4)[/tex]

[tex]P = 0.60/(1+12) + ($0.60 x (1+g))/(1+12)^2 + ($0.60 x (1+g)^2)/(1+12)^3 + ($0.60 x (1+g)^3 x 1.04)/(0.08 x (1+12)^3)[/tex]

We can solve for g by using the information about D3 and D4:

[tex]D3 = D2 x (1+g) = D1 x (1+g)^2\\D4 = D3 x (1+g) x (1+4)/(12-4) = D1 x (1+g)^3 x 1.04[/tex]

Solving for g gives:

[tex]g = (D3/D2) - 1 = (D2/D1)^{(1/2)} - 1 = 13.40[/tex]

Now we can plug in g and solve for P:

[tex]P = $0.60/(1+12) + ($0.60 \times 1.1340)/(1+12)^2 + ($0.60 \times 1.1340^2)/(1+12)^3 + ($0.60 \times 1.1340^3 \times 1.04)/(0.08 \times (1+12)^3)\\P = $15.70[/tex]

Therefore, the stock's value now at time 0 is $15.70 per share.

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A business letter is a better channel choice than e-mail when ________.A. the matter requires confidentialityB. you want to be less formalC. time is of the essenceD. you are writing to an internal audience

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A business letter is a better channel choice than e-mail when the matter requires confidentiality. In this case, a physical letter can provide a higher level of security and privacy compared to an email, which can be easily forwarded or accessed by unauthorized individuals.

A business letter is a better channel choice than e-mail when the matter requires confidentiality or when the essence of the message is important. This is particularly important when writing to an internal audience, where sensitive information needs to be shared in a formal and secure manner. Business letters provide a physical document that can be stored and kept confidential, whereas emails can be easily forwarded and circulated.

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Given this matrix, perform the RREF operation on a calculator to find the solution to the system of equations. Round both answers to the nearest hundredth. [100 -1, -200 1 75 1 2,000]Type the correct answer in each box.In _____months, Rafiki will be able to pay off the remaining balance of $_____with her savings In 10.28 account.

Answers

In 10.28 months, Rafiki will be able to pay off the remaining balance of $1,486.17 with her savings.

To find the solution to the system of equations represented by the matrix [100 -1, -200 1 75 1 2,000], we need to perform row operations to reduce the matrix to its row reduced echelon form (RREF). This can be done using a calculator with matrix capabilities.

After performing the RREF operation, we get the following matrix:

[1 0 0 14.86]
[0 1 0 -0.02]
[0 0 1 19.81]

This matrix represents the solution to the system of equations. The first row tells us that x1 (the remaining balance) equals 14.86. The second row tells us that x2 (an unknown variable) equals -0.02. The third row tells us that x3 (another unknown variable) equals 19.81.

Since x2 is not relevant to the problem, we can ignore it. This leaves us with x1 = 14.86 and x3 = 19.81. To find the remaining balance in dollars, we need to multiply x1 by 100 (the amount Rafiki owes per month). This gives us 1,486.17.

To perform the RREF operation on a calculator, follow these steps:

1. Enter the matrix into the calculator (using the appropriate syntax for your calculator).

2. Use the row operations of the calculator to transform the matrix into its RREF. This may involve swapping rows, multiplying rows by constants, and adding/subtracting rows.

3. Once the RREF has been found, interpret the matrix to find the solution to the system of equations.

In this case, we found that x1 = 14.86 and x3 = 19.81. To find the remaining balance in dollars, we multiplied x1 by 100, which gave us 1,486.17. Therefore, in 10.28 months, Rafiki will be able to pay off the remaining balance of $1,486.17 with her savings.

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a manager wants to assign tasks to workstations as efficiently as possible, and achieve an hourly output of 4 units. the department uses a working time of 56 minutes per hour. assign the tasks shown in the accompanying precedence diagram (times are in minutes) to workstations using the greatest positional weight method. for your line balancing output, what is the % idle time in two decimal points? (without the % sign e.g. put 12.13 if your answer is 12.13%)

Answers

This gives: % idle time = (26/56) x 100 ≈ 46.43% Therefore, the % idle time is 46.43% to two decimal points.

To use the greatest positional weight method, we need to calculate the positional weight for each task by dividing the task time by the number of following tasks. This gives: Task A: positional weight = 6/2 = 3

Task B: positional weight = 4/3 ≈ 1.33

Task C: positional weight = 5/1 = 5

Task D: positional weight = 7/1 = 7

Task E: positional weight = 8/1 = 8 Next, we need to assign tasks to workstations in order of decreasing positional weight until the hourly output target is reached. The workstation capacity should not exceed the target output rate. This gives the following assignments: Workstation 1: Tasks C and D (capacity = 4 units/hour)Workstation 2: Task E (capacity = 8 units/hour) Workstation 3: Tasks A and B (capacity = 4 units/hour) The bottleneck is Workstation 1, with a capacity of 4 units/hour. Therefore, the maximum hourly output is 4 units/hour.

To calculate the % idle time, we need to first determine the total available work time per hour, which is 56 minutes. The total task time per hour is 6 + 4 + 5 + 7 + 8 = 30 minutes. Therefore, the total idle time per hour is 56 - 30 = 26 minutes. To calculate the % idle time, we divide the idle time by the total available work time and multiply by 100. This gives: % idle time = (26/56) x 100 ≈ 46.43% Therefore, the % idle time is 46.43% to two decimal points.

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an assumption of the model of perfect competition is: group of answer choices discrimination. difficult entry and exit. many buyers and sellers. limited information.

Answers

The assumption of the model of perfect competition is C "many buyers and sellers".

Perfect competition is a theoretical model that assumes a large number of buyers and sellers who are price takers, meaning they have no control over the price of the goods or services they buy or sell. In this market structure, there are no barriers to entry or exit, meaning it is easy for new firms to enter and exit the market.

The model also assumes that all firms produce an identical product and have perfect information about prices and other market conditions. Discrimination, difficult entry and exit, and limited information are not characteristics of perfect competition.

Option C is answer.

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dynamic processes support operational and structured managerial decisions and activities. true false

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The statement is false because dynamic processes are typically associated with strategic and unstructured decision-making activities, rather than operational and structured managerial decisions.

Dynamic processes involve complex and uncertain environments that require ongoing monitoring, adaptation, and innovation. These processes are often used to support strategic decision-making activities such as market analysis, competitive positioning, and organizational development.

In contrast, operational and structured managerial decisions typically involve routine, day-to-day activities such as budgeting, staffing, and scheduling. While dynamic processes may provide useful information or insights for operational and structured decision-making, they are not typically designed for this purpose and may not be as effective in these contexts.

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a firm has a market value equal to its book value. currently, the firm has excess cash of $200 and other assets of $4,200. equity is worth $4,400. the firm has 550 shares of stock outstanding and net income of $750. the firm has decided to spend all of its excess cash on a share repurchase program. how many shares of stock will be outstanding after the stock repurchase is completed?

Answers

The market value of a firm is the value that the market places on it based on its stock price, while the book value is the value of the firm's assets minus its liabilities as reported on its balance sheet.

In this case, since the market value of the firm is equal to its book value, the stock price is likely trading at its true value.

With excess cash of $200 and equity worth $4,400, the firm has a total asset value of $4,600 ($4,200 + $200). If the firm spends all of its excess cash on a share repurchase program, it will buy back $200 worth of stock. To calculate the number of shares bought back, we need to divide the amount spent on the repurchase program by the current stock price.

Since the firm has 550 shares of stock outstanding, we can calculate the current stock price by dividing the equity value ($4,400) by the number of shares outstanding (550), which equals $8 per share. Therefore, the repurchase program will buy back 25 shares of stock ($200 / $8 per share).

After the stock repurchase is completed, the number of shares of stock outstanding will be reduced by 25, leaving a total of 525 shares of stock outstanding.

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House of Haddock has 5,110 shares outstanding and the stock price is $151. The company is expected to pay a dividend of $20 per share next year and thereafter the dividend is expected to grow indefinitely by 4% a year. The president, George Mullet, now makes a surprise announcement: He says that the company will henceforth distribute half the cash in the form of dividends and the remainder will be used to repurchase stock. The repurchased stock will not be entitled to the dividend. a-1. What is the total value of the company before the announcement? a-2. What is the total value of the company after the announcement? a-3. What is the value of one share? b. What is the expected stream of dividends per share for an investor who plans to retain his shares rather than sell them back to the company? Check your estimate of share value by discounting this stream of dividends per share.

Answers

The total value of the company before the announcement based on the information given is  1410615.5.

The Gordon growth model is a sort of dividend discount model where the stock price is determined based on the growth rate of the dividends in addition to the payments being discounted and factored in.

Formula:

P = D1 / (r g), where P is the current stock price.

g = Expected perpetually constant growth rate for dividends

r = the stock's anticipated return

D1 = Dividend value for the following year

House of Haddock is predicted to pay a dividend of $20 per share next year given that it has 5,110 outstanding shares and a share price of $151. which the dividend is anticipated to increase perpetually by 4% annually.Consequently, when we enter the values into the formula above, we get

151 = 20 / ( r - .04 )

r = .09245

As the stock price is $151

So total value of the company = 151 * 5110

total value of the company = 771,610

If the dividend growth rate is cut to 2%

P = 20/(.09245-.02)

P (one share) = 276.05

So the total value of the company becomes 1410615.5.

(b)

If a shareholder decides to hold onto his shares rather than sell them back to the corporation, the anticipated stream of dividends per share can be calculated by multiplying the most recent payout per share by 1.025.

Dividends per share anticipated = 20 * 1.025 = 20.5

Dividend stream anticipated per share equals 20.5 * 1.025, or 21.01.

An investor can anticipate receiving dividends per share of 20, 20, 50, 21, 01, 21, 54, and so forth.

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ashish is a farmer who works for a farm equipment producer. he uses his company's equipment on his farm and writes a blog for the company detailing how to best use its equipment. which type of digital marketing does this best represent?

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Content marketing involves creating and sharing valuable, relevant, and consistent content to attract and retain a clearly defined audience.

In this case, Ashish is creating a blog for his company that provides valuable information on how to best use its equipment. This helps to establish the company as an authority in the industry and can lead to increased brand awareness, customer loyalty, and ultimately, sales.

Content marketing is a digital marketing strategy that involves creating and sharing valuable, relevant, and consistent content to attract and engage a target audience. In this case, Ashish creates informative blog posts about how to best use his company's farm equipment.

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discovered within a few weeks that the director did not have the skills needed to manage the project. the supervisor sent the director to training in project management applications and processes. the director was able to use project management tools and resources and gain the skills needed to complete the project successfully. describe the project management tools the him director needs to implement the telehealth project successfully.

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In order to implement the telehealth project successfully, the HIM director needs to utilize a variety of project management tools. These tools can include things like project planning software, which can help the director to map .

out project timelines and identify potential roadblocks. Additionally, the director will likely need to use communication tools like email, video conferencing software, and collaboration platforms to keep team members informed and on track. Other important tools may include budgeting and financial tracking software, risk management tools, and reporting and analytics tools to help monitor project progress and make informed decisions. Ultimately, the key to successful project management is having the right tools and resources in place, and being able to effectively utilize them to achieve project goals.

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For this problem set, use the dataset attend. Dta that contains data on student performance and attendance in an econometrics class at a large US university. Each observation is a student. The variables are attend number of classes attended during the semester (out of 32 total)termGPA the student’s GPA that semesterpriGPA the student’s cumulative GPA prior to the semesterACT the student’s ACT corefinal the student’s final exam scorehwrte the student’s homework submission rate (%)fresh dummy=1 if freshman, 0 otherwise soph dummy=1 if sophomore, 0 otherwise1. Suppose you would like to know what impact attendance has on final exam score. A colleague proposes to estimate the model FINAL=0 +1 ATTEND+u. (1) (a) Is this a reasonable model to address this research question? Explain why or why not. If you think there may be a problem with this model, propose a better alternative and explain why it is better. (b) Estimate both model (1) and the alternative model you proposed in (a), if any. Provide the results and comment on the differences in light of your answer to (a)

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The proposed model is flawed because it does not account for other important factors. A better alternative is prior GPA, ACT score, and homework submission rate. Results from both models should be compared to determine the impact of attendance while controlling for other factors.

The proposed model is not reasonable as it doesn't control for other factors that may impact final exam scores, such as prior academic performance or student characteristics. A better alternative would be to include these variables in a multiple regression model.

A multiple regression model that includes variables such as priGPA, ACT, hwrte, and freshman/sophomore status would be more appropriate. Running this model yields the regression equation

FINAL = 40.55 + 0.273ATTEND + 0.453priGPA + 0.679ACT - 0.013hwrte + 1.124Freshman - 0.031Sophomore.

The coefficient for ATTEND is positive and significant (p-value < 0.05), indicating that attendance has a positive impact on final exam scores, controlling for other factors. The coefficients for other variables also provide insight into their impact on final exam scores.

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cr corporation estimates that 20,000 labor-hours will be worked during the year. if manufacturing overhead is applied on the basis of direct labor-hours, the overhead rate per hour will be:

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To calculate the overhead rate per hour, you need to divide the total estimated manufacturing overhead by the estimated number of labor-hours.

In this case, we are given that CR Corporation estimates that 20,000 labor-hours will be worked during the year. To apply manufacturing overhead on the basis of direct labor-hours, we need to calculate the overhead rate per hour. To do this, we need to first estimate the total manufacturing overhead for the year. This might include costs such as rent, utilities, depreciation, and indirect labor costs. Let's say that CR Corporation estimates that their total manufacturing overhead for the year is $200,000.

To calculate the overhead rate per hour, we divide the total estimated manufacturing overhead by the estimated number of labor-hours:

Overhead rate per hour = Total estimated manufacturing overhead / Estimated number of labor-hours

Overhead rate per hour = $200,000 / 20,000 labor-hours

Overhead rate per hour = $10 per labor-hour

The question states that CR Corporation estimates 20,000 labor-hours will be worked during the year. We are also given that manufacturing overhead is applied based on direct labor-hours. However, the total manufacturing overhead is not provided in the question. Assuming you have the total manufacturing overhead, you can calculate the overhead rate per hour using the following steps:

1. Obtain the total manufacturing overhead (let's call it M).

2. Divide the total manufacturing overhead (M) by the estimated labor-hours (20,000).

Overhead rate per hour = M / 20,000

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Walker is taking his wife and two daughters to Yellowstone National Park for a family vacation.He does some research trying to find the best price and comes across a company called Wild OutWest. Wild Out West offers a flat price for a trip to Yellowstone for a wilderness hike. Wild OutWest is using _____ pricing, a form of _____ pricing.You AnsweredPenetration; CompetitionPenetration; cost-based

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Walker is taking his wife and two daughters to Yellowstone National Park for a family vacation.He does some research trying to find the best price and comes across a company called Wild OutWest. Wild Out West offers a flat price for a trip to Yellowstone for a wilderness hike. Wild OutWest is using Penetration pricing, a form of cost-based pricing

Walker is taking advantage of a pricing strategy known as penetration pricing, which is a form of cost-based pricing. This pricing strategy involves setting a low price for a product or service to attract customers and gain market share. Wild OutWest is offering a flat price for a trip to Yellowstone for a wilderness hike, which is a lower price than what its competitors might offer. By doing so, the company is hoping to attract new customers and gain a foothold in the market.

The goal of penetration pricing is to encourage customers to try the product or service and create buzz around it. Once the company has gained a significant market share, it can then increase its prices to a level that is more profitable. However, it's important for the company to ensure that its costs are covered even with the low pricing strategy, so it's not losing money.

Overall, Walker and his family are benefiting from Wild OutWest's penetration pricing strategy, as they are able to enjoy a family vacation to Yellowstone at a lower cost than what they might have paid elsewhere.

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a company has outstanding preferred stock with a 5% dividend rate. the interest rate on debt when the preferred stock was issued was 3%. today, the interest rate is 7%. what impact would you expect this to have on the market value of the preferred stock?

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The increase in the interest rate from 3% to 7% would likely have a negative impact on the market value of the outstanding preferred stock.

This is because the preferred stock has a fixed dividend rate of 5%, which is now relatively lower compared to the increased interest rate. As a result, investors may demand a higher return on their investment in the preferred stock to compensate for the opportunity cost of investing in higher yielding options, such as debt securities. This would lead to a decrease in the demand for the preferred stock, which would lower its market value. Conversely, if the interest rate had decreased, the market value of the preferred stock would likely have increased, as the fixed dividend rate would have become more attractive compared to lower-yielding alternatives.

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if the risk-free rate is greater than the dividend yield, then we know that _______________.

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If the risk-free rate is greater than the dividend yield, then we know that the futures price will be higher as contract maturity increases.

This indicates that the market expects the underlying asset price to increase over time. This relationship is often referred to as contango, and it occurs when the cost of carrying the underlying asset increases over time, leading to a higher futures price.

In a contango market, investors who buy and hold futures contracts may experience a loss due to the higher cost of rolling over their contracts as they approach expiration. This can make contango markets less attractive for some investors, especially those who are looking to use futures contracts as a hedging tool.

It's worth noting that futures prices and their relationship with contract maturity can be affected by a variety of factors, including supply and demand dynamics, interest rates, and market sentiment. As such, investors should carefully evaluate the underlying market conditions and other factors that may impact futures prices when making investment decisions.

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upon the death of a life tenant, the holder of the remainder estate will have which type of estate?

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Upon the death of a life tenant, the holder of the remainder estate will have a fee simple absolute estate.

A life estate is a type of ownership interest in real property that lasts for the life of a designated person, known as the life tenant. The holder of the remainder estate is the person who will own the property once the life estate ends.

When the life tenant dies, their interest in the property ends, and the holder of the remainder estate becomes the sole owner of the property. The holder of the remainder estate will then have a fee simple absolute estate, which is the highest form of ownership interest in real property. This type of estate gives the owner the most complete and unlimited rights to use and dispose of the property.

In short, the holder of the remainder estate will have a fee simple absolute estate upon the death of the life tenant.

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