The maximum increase in sales that can be sustained without issuing new equity for Alexander Company is -$194,400. This implies that a decrease in sales up to that amount can be accommodated without the need for additional equity financing.
To calculate the maximum increase in sales that can be sustained without issuing new equity, we need to determine the target equity ratio and debt ratio based on the given information
Given
Sales: $45,000
Current assets: $70,470
Long-term debt: $48,600
Fixed assets: $38,880
Equity: $60,750
First, let's calculate the total assets:
Total assets = Current assets + Fixed assets
Total assets = $70,470 + $38,880
Total assets = $109,350
Next, let's calculate the target equity and debt amounts based on the given constant debt-equity ratio.
Debt-equity ratio = Long-term debt / Equity
Debt-equity ratio = $48,600 / $60,750
Debt-equity ratio = 0.8
Since the company maintains a constant debt-equity ratio, the target equity ratio is 1 - Debt-equity ratio = 1 - 0.8 = 0.2
Now, let's calculate the target equity and debt amounts based on the target ratios.
Target equity = Target equity ratio * Total assets
Target equity = 0.2 * $109,350
Target equity = $21,870
Target debt = Total assets - Target equity
Target debt = $109,350 - $21,870
Target debt = $87,480
To find the maximum increase in sales without issuing new equity, we need to compare the original equity amount with the target equity amount.
Maximum increase in sales = (Target equity - Original equity) / (Target equity ratio)
Maximum increase in sales = ($21,870 - $60,750) / 0.2
Maximum increase in sales = (-$38,880) / 0.2
Maximum increase in sales = -$194,400
Therefore, the maximum increase in sales that can be sustained without issuing new equity is -$194,400. This means that a decrease in sales of $194,400 or less can be sustained without issuing new equity.
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The Office of _________________ and Budget, part of the executive branch, prepares the initial _________________ budget. However, the president's budget is only a _________________.
Answer:
The Office of MANAGEMENT and Budget, part of the executive branch, prepares the initial FEDERAL budget. However, the president's budget is only a PROPOSAL THAT MUST BE APPROVED BY CONGRESS.
Explanation:
The Office of Management and Budget is the largest department or office in the White House. It is also one of the most powerful and influential ones. The budget prepared by the OMB must be sent to Congress in order for it to approve it. Congress has the power to modify and amend it through he process of appropriations. The OMB is also responsible for monitoring how the approved budget is spent, and if it follows the President's policies.
By analyzing the federal budget proposed by the president, you can understand the policies that are favored by the administration and those that are not. E.g. if the federal budget cuts the EPA budget, then you know that the environment is not something important for the president.
What are three advantages of attending a community job fair? You can fill out job applications. You can decide whether you like the company by meeting the people. You can hand in your résumé. You can talk to a recruiter or hiring manager.
Answer:
You can fill out job applications.
You can hand in your résumé.
You can talk to a recruiter or hiring manager.
Explanation:
The events organized to discover and explore the employers and the job seeking candidates at a platform. The interested hiring committee and the job seekers meet a point where they find opportunity to seek jobs. This process helps in minimizing the efforts and time of both the employers and the candidates. The instant job offer is the biggest advantage of the fair. The candidates can hand their resume directly to the recruiters and have direct word with them.
find the average rate of change for the following and write a description about it
In order to find the rate of change of a function between two points, you should use the formula, ( f (b) - f (a) ) / (b - a).
How do you find the rate of change?Using the formula;
= ( f (b) - f (a) ) / (b - a)
Where
b would be the second value of x and a would be the first value of x.
For instance, if you were to find the average rate of change in function:
y = 4x³ - 5x² + 1 in between x = -3 and x = 1.
The average rate of change would be:
= ( 4 (1)³ - 5(1)² + 1) - (4 (-3)³ - 5(-3)² + 1) / (1 - (3))
= 152 / 4
= 38
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Your sister has opened a new catering business. The people who use her catering company love the personal service she gives them. Unfortunately, her business is growing so fast that it's hard for her to remember peoples' names, food preferences, and the things she's cooked for them in the past. She asks you what software could help solve that problem. What 3-letter acronym is used for the type of enterprise system that will perfectly meet those needs? That acronym stands for what three word term?
The 3-letter acronym used for the type of enterprise system that will perfectly meet the needs of your sister's catering business is CRM. This stands for "Customer Relationship Management.
Customer Relationship Management (CRM) is an enterprise software that manages a company's interactions with its clients, both existing and potential. The CRM system is used to streamline company processes, improve customer service, and increase revenue. CRM software enables organizations to store client and prospect data, track customer interactions, and automate sales and marketing activities.CRM software remembers preferences CRM software will perfectly meet the needs of the catering business because it can keep track of client interactions and preferences. The catering company would be able to enter client data into the CRM software, and the software would be able to remember their names, contact information, food preferences, and past orders. This will allow your sister to deliver a personalized service to her customers and ensure customer satisfaction.
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Maxwell Corp. is coming to the market with a new offering of 450,000 shares of stock at $22 to the public. Maxwell will receive $19 per share. The firm has one million shares outstanding and earnings of $6 million before recording the new issue. What is the amount of dilution in earnings per share?
$1.77
$6.00
$2.79
$1.38
The amount of dilution in earnings per share for Maxwell Corp. is $4.00.
Dilution of earnings per share can be determined using the formula:
(New shares issued / Total shares after issuance) x (Total earnings before issuance) - Total earnings before issuance.
Let's substitute the values in the formula.
New shares issued = 450,000 shares
Total shares after issuance = 1,000,000 + 450,000 = 1,450,000 shares
Total earnings before issuance = $6 million
Using the formula, we get:
(450,000 / 1,450,000) x ($6 million) - $6 million= 0.3103 x $6 million - $6 million= $1,863,636 - $6 million= -$4,136,364
The negative result of $4,136,364 means that the earnings per share will be diluted by $4,136,364 / 1,000,000
shares = $4.14 per share.
Thus, the amount of dilution in earnings per share is $4.14, rounded to $4.00.So, the correct answer is $4.00.
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When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must
When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.
This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.
To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.
Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.
Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.
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in some years, the u.s. government has paid soybean farmers an additional $1.65 on every bushel of soybeans they sell. this money is an example of a(n)
The United States government has paid soybean farmers an additional $1.65 per bushel of sold soybeans in some instances. An illustration of a (n) subsidy is this sum.
How Does a Subsidy Work?A benefit provided to a person, organization, or business typically by the government is known as a subsidy. It could be something as simple as cash payments or as complex as tax breaks. The subsidy is typically provided to alleviate some kind of burden, and it is frequently thought to be in the public's best interest to promote a social good or economic policy. Most of the time, a subsidy is some kind of payment made to the person or business that gets it, either directly or indirectly. Because they provide financial support for a specific action or lessen an associated burden that was previously imposed on the recipient, subsidies are typically regarded as a privileged type of financial aid.
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27. Many organizations do not have a formal trouble reporting system. Why do you think this is the case?
Many organizations may not have a formal trouble reporting system for several reasons. One primary factor could be a lack of awareness regarding the benefits of such a system. Organizations might underestimate the importance of tracking and resolving issues in a systematic manner, which could lead to inefficiencies and dissatisfaction among employees and stakeholders.
Another reason could be the perceived complexity and cost associated with implementing a formal trouble reporting system. Organizations might assume that setting up such a system requires significant resources, both in terms of time and financial investment. This perception might discourage them from establishing a systematic approach to handling issues. Additionally, some organizations may rely on informal methods of reporting trouble, such as personal communication or ad hoc meetings, believing that these are sufficient for addressing problems. In reality, these methods may not be as effective as a formal system in terms of providing transparency, accountability, and traceability. Lastly, organizational culture and resistance to change could also play a role. Employees and management might be accustomed to existing processes and resistant to adopting new systems, especially if they believe that current methods are working well.
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Each of the following statements is correct regarding the impact of exchange rates on operations, except: A real depreciation of the domestic currency results in higher prices for imported goods. A real depreciation of the domestic currency lowers the price for domestic goods relative to foreign goods. A real appreciation of domestic currency raises the price of domestic goods relative to foreign goods. A real appreciation of domestic currency hurts domestic importers and consumers because imported goods cost more.
The following statement is incorrect regarding the impact of exchange rates on operations: A real appreciation of domestic currency hurts domestic importers and consumers because imported goods cost more.
Exchange rates are the value of one currency compared to another currency. These are used to determine the cost of importing and exporting products or services between countries. The rate of exchange, which is expressed as a ratio, is often used to compare the values of one country's currency to another. Exchange rates impact operations in several ways. They influence the price of goods and services, profits, and the costs of conducting business across borders. They also affect the competitiveness of domestic companies and their ability to generate revenue in foreign markets, among other things. A real appreciation of domestic currency raises the price of domestic goods relative to foreign goods. This statement is correct regarding the impact of exchange rates on operations. The other three statements are also correct .A real depreciation of the domestic currency lowers the price for domestic goods relative to foreign goods.
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An appreciation in the domestic currency actually benefits importers and consumers, as it reduces the cost of imported goods when the price in foreign currency is converted to domestic currency.
Explanation:The incorrect statement here is: "A real appreciation of domestic currency hurts domestic importers and consumers because imported goods cost more." In actuality, when there is a real appreciation in the domestic currency, it implies that the domestic currency has increased in value relative to foreign currencies. This means that for domestic importers and consumers, foreign goods become cheaper, not more expensive, because the domestic currency can now buy more of the foreign currency.
Let's illustrate this concept. If 1 US Dollar could earlier buy 50 Japanese Yen and now it can buy 60 Japanese Yen, this is an appreciation of US Dollar (domestic currency in this example). So, if an imported good was priced at 6000 Yen, earlier it would cost 120 US Dollars, but post appreciation, the cost drops to 100 US Dollars.
So, contrary to the statement, a real appreciation of domestic currency actually benefits domestic importers and consumers as they can buy imported goods for less. On the other hand, exporters are negatively affected as their goods are now more expensive for foreign buyers, potentially hurting sales.
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"in preparing an investment policy statement, which of the following is most difficult to quantify?
A. Time horizon.
B. Ability to accept risk.
C. Willingness to accept risk"
"The most difficult factor to quantify when preparing an investment policy statement is willingness to accept risk." option C is correct.
A client's outsourced chief investment office, board members, investment committee, and investment managers are all named in an investment policy statement, which also includes a description of the client's financial goals and investment objectives.
You can use the money you invest to achieve your long-term financial objectives. It is likely that investing your money will bring you returns. An asset or item purchased with the intention of earning money or increasing in value is an investment.
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what substance produces the brown/black spot on the filter paper in step 4
The reaction that produced the color changes Glauber observed in his solution of potassium permanganate and potassium manganate is now known as the chemical chameleon.
In 1659, Johann Rudolf Glauber fused a mixture of the mineral pyrolusite and potassium carbonate to obtain a material that, when dissolved in water, gives a green solution that slowly changes to violet and finally red. The reaction that produced the color changes Glauber observed in his solution of potassium permanganate and potassium manganate is now known as the chemical chameleon. This report represents the first description of potassium permanganate production. Just under 200 years later, London chemist Henry Bollmann Condy became interested in disinfectants and discovered that fusing pyrolusite with sodium hydroxide and dissolving it in water produced a solution with disinfectant properties. He patented this solution and marketed it as Condys Fluid. Although effective, the solution was not very stable. This was fixed by using potassium hydroxide instead of NaOH. This was more stable and had the advantage of easy conversion to the equally effective potassium permanganate crystals. This crystalline material was known as Condys dust.
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Tiffany graduated from college and needed to decide where she wanted to work. She had several options. Her aunt Martha owned and operated a small business that she started about twenty years ago. Martha, an individual owner of her business, informed Tiffany that she could work for her. On one hand, Tiffany thought it would be a great opportunity to be able to work for her aunt, learn the business, and then run the business when her aunt retires. On the other hand, she also felt that she wanted something a little more challenging; a job where she could really use her education. Her other option would be to work for a company that a friend and her husband had started and jointly owned. It was a rapidly growing company with plenty of opportunity for advancement. However, Tiffany had some reservations about this choice because she was not sure she wanted to work for friends. Her last option was to work for a large retail company, headquartered in Maryland, which had stores across the United States. After much consideration, Tiffany decided she didn't want an opportunity and a job because someone knew her. She wanted to prove how motivated and hardworking she was. Once she weighed all the advantages and disadvantages of her different options, she decided to work for the large retail company so that she could gain the most experience for herself. Refer to Tiffany's Dilemma.Based on the information provided,what type of business does Tiffany's aunt operate?A) Incorporation.B) Partnership.C) Franchise.D) Corporation.E) Sole proprietorship.
Answer:
Based on the information provided,what type of business does Tiffany's aunt operate?
E) Sole proprietorship.
Explanation:
A sole proprietorship is the simplest and most common type of business in the US. Generally sole proprietorships are small businesses, family owned and operated. A sole proprietorship is owned by a single person, in this case aunt Martha. This type of business is considered a pass through entity since it is not taxed directly, instead the owner is taxed. The main disadvantage of sole proprietorships is that the owner is personally liable for all the company's obligations.
Answer:
Partnership
Explanation:
Research the options for AP and IB classes in your local school district or state and write a one-page report presenting the following information:
What programs are available that can help you get college credit for your chosen career?
What are the entrance requirements, if any?
How many college credits could you possibly graduate high school with?
What are the benefits of programs such as AP and IB, and how can you prepare yourself in middle school to take these types of classes in the future?
The programs that available that can help you to get the college credit for the career that you have chosen are:
Advanced placement classesCollege level examinationsThe entrance requirements for this schools would need you to have up to an achievement rating of 4 in some basic subjects.
You could possibly graduate with up to 120 college credits from school.
The benefits of Advanced placements is that they help to prepare students for the college school. They are used to place and grade students as they prepare for college.
What is college credit?When students join in these courses, they study college-level content more rigorously and at a faster speed. They can acquire college credits in return for taking a course like this.
High school pupils need to be aware that there are options like these, with great rewards. Students who know this information can finish their college education before arriving on the campus of their chosen institution or university.
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Answer: (Answers may vary.)
After researching the AP and IB options in my town, I found out that my state doesn’t offer the IB curriculum. I think that the IB program sounds very interesting. I’d like to see a real IB school and learn more about the curriculum, but unfortunately I won’t be able to in my school district. My school district does, however, offer AP classes in high school.
In order to get into the AP program in my school district, I have to be on the AP path. This means that I would take the pre-AP classes in middle school, which will allow me to get farther along in the curriculum, and then I’d take the AP classes starting in my junior year. I also have to get a 3.0 GPA and maintain that GPA through my AP classes while in high school or I may lose my place in the program.
If I get on the right track, I could possibly take up to eight AP classes in my junior year of high school and another eight AP classes in my senior year, which would mean that I could get a lot of college credits! I don’t know if I could realistically do this, however, because the classes are so much more difficult than regular high school classes are. I’d also be very worried about taking all of those AP exams at the same time!
I think I’ll try to take as many AP classes in high school as I possibly can, but only for the core classes, such as English, Science, Math, and History. That way, I can get through college sooner and pay less for my degree. I have to make sure I get good grades in my classes, and I plan to get on the AP track so I can take these classes in the future.
Explanation: Edmentum Answer
Look positively at objections offered by prospects because an objection often reveals the key to a successful sale. If prospects have been properly qualified, then offering sales resistance is another way for them to say:
A. "I do not want to buy your product at this time."
B. "I want to buy as soon as you give me a few more facts or answers that reassure me that buying from you is the smart thing to do."
C. "I like your product, but I like your competitor's better."
D. "Your product is nice, but we cannot utilize it at present."
E. Any of the above are logical.
Answer:
B. "I want to buy as soon as you give me a few more facts or answers that reassure me that buying from you is the smart thing to do."
Explanation:
In the case wghen the prospects would be qualified as compared to the offering sales that represent the another way so here it can be said that want to purchase as soon as it provided more facts or answers that given assurance for purchasing from you which shows the smart thing to be done
Therefore the option b is correct
And, the rest of the options would be incorrect
I would like to buy as quickly as you can provide me with a few more data or answers that persuade me that buying from you is the best option."
When customers are qualified as opposed to offering sales, it can be argued that they want to buy as soon as they are given additional facts or answers that give them confidence to buy from you, which is a wise thing to do.
So, the option "B" is the correct answer to the following question.
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When the actual price in some market is above the equilibrium price, the resulting market condition is known as
When the actual price in some market is above the equilibrium price, the resulting market condition is known as Excess Supply.
What is an Excess Supply?An excess supply is a condition where there is a surplus of goods in the market. In this condition, the price would have tiled above the equilibrium curve.
Excess supply can also be known as surplus. When the actual price of a good is above the equilibrium price, there tends to be a condition called excess supply.
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If full-employment output is above AD/AS equilibrium out in the macroeconomy, then the fiscal policy need to get back to full-employment is
If full-employment output is above AD/AS equilibrium in the macroeconomy, then the fiscal policy needed to get back to full-employment is a contractionary fiscal policy.
Fiscal policy is a government strategy aimed at influencing an economy through government spending and taxation policies. By adjusting government spending and taxation, governments can try to adjust economic output and promote desirable macroeconomic outcomes. The AD/AS equilibrium point refers to the point where the aggregate demand and aggregate supply curves meet. In the short term, the point of AD/AS equilibrium may be away from the full-employment output, which is the output produced when the economy is running at full capacity.
If the full-employment output is above the AD/AS equilibrium point, then the economy is in a state of inflationary pressure. If the economy is in a state of inflationary pressure, then the fiscal policy needed to get back to full-employment is a contractionary fiscal policy. A contractionary fiscal policy involves reducing government spending and increasing taxes to decrease aggregate demand and shift it to the left. This will help to bring the economy back to full employment level.
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At the beginning of current year, Mel Company issued 50,000 shares of P10 par value for P103 per share.
During the year, the entity reacquired 2,000 shares at P150 per share and immediately canceled these 2,000 shares.
In connection with the retirement of shares, what amount should be debited to share premium?
The amount that should be debited to share premium in connection with the retirement of shares is P280,000.
To determine the amount that should be debited to share premium in connection with the retirement of shares, we need to calculate the excess amount paid over the par value for the shares that were repurchased.
Given information:
- Number of shares repurchased: 2,000
- Repurchase price per share: P150
- Par value per share: P10
First, we calculate the total repurchase cost:
Total repurchase cost = Number of shares repurchased * Repurchase price per share
= 2,000 * P150
= P300,000
Next, calculate the total par value of the repurchased shares:
Total par value of repurchased shares = Number of shares repurchased * Par value per share
= 2,000 * P10
= P20,000
Finally, we determine the excess amount paid over the par value, which will be debited to share premium:
Excess amount paid = Total repurchase cost - Total par value of repurchased shares
= P300,000 - P20,000
= P280,000
Therefore, the amount that should be debited to share premium in connection with the retirement of shares is P280,000.
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Which of these credit card features would be best for customers who think they might need to use their credit card to borrow money?
A. low fees for balance transfers
B. an annual fee that can be waived
C. a long grace period
D. no fees for cash advances
Answer:
D
Explanation:
took the test
What are the three identifying factors that need to intersect to find your sweet spot?
According to author Ken Coleman, the three identifying factors that need to be converging to find your sweet spot are:
PassionTalentMissionWhat does entering the sweet spot mean?Corresponds to an expression used to define the set of factors that will help achieve a purpose, whether personal or professional, for example.
Therefore, the convergence between passion, talent and mission will help to create favorable attitudes to find the sweet spot.
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how does socialization affect the self concept that we call the looking glass slef
Answer:?
Explanation:?
Can someone tell me if it’s correct, and which one is wrong
Answer:
Yes,they are correct.
Explanation:
As a sales technique, the customer relationship management (CRM) database
can be created in person or online through professional sites such as LinkedIn™
collects personal customer information after a customer has purchased a product or service
is completed by customers before they can access an online website offer or information
encourages a customer buy a better version of the product they were already planning to buy
As a sales technique, the customer relationship management (CRM) database:- collects personal customer information after a customer has purchased a product or service.
The customer relationship management (CRM) database is a tool used by sales and marketing teams to manage and analyze customer interactions and data throughout the customer lifecycle. It is commonly used to track customer information, such as purchase history, contact information, and preferences, in order to better understand and serve customers.
Option B is the correct answer because a CRM database collects personal customer information after a customer has purchased a product or service. This information is often obtained through customer surveys, loyalty programs, or feedback forms. By collecting this information, businesses can create targeted marketing campaigns which are run by marketing teams , personalize customer interactions, and improve customer satisfaction.
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Which of the following strategies will help companies succeed during the growth stage of a product cycle? a. Focusing on developing new products or services b. Focusing on creating product differentiation c. Increasing product prices significantly d. Sacrificing product quality e. Increasing overhead costs
The strategy which will help companies succeed during the growth stage of a product cycle is:
b. Focusing on creating product differentiation. What is Product Cycle?This refers to the various processes which a product has to undergo to become the finished product which would help it to grow and develop and allow the developers to check for errors.
With this in mind, we can see that the best strategy which would help companies to succeed during the growth stage of a product cycle is to focus on creating product differentiation.
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What does the stock market drive companies to do?
Answer:
It drives companies to push themselves to increase their market value, and make sure all the companies news is relevant and important.
Explanation:
The stock market is an online exchange where prices are put together and people make different trades. The stock market drives them to increase their earnings and ultimately the price per share of their stock.
Where does a supply chain begin?
(2 Points)
at a factory
in a supermarket or store
with raw materials
with products that are for sale
Which of the following choices incur speculative risk?
a.stocks
b.fire insurance on a house
c.options
d.life insurance
e.high interest savings account
Answer: correct option is A.
Explanation: A speculative risk can be defined as risk that is taken willingly either it results in profit or loss and the stocks involve in probability of gain and loss making it a speculative risk.
Stocks incur speculative risk. Therefore option A is correct.
What are Stocks?A stock usually referred to as equity, is a type of investment that denotes ownership in a portion of the issuing company. Shares, also known as units of stock, entitle their owners to a share of the company's assets and income in proportion to the number of shares they possess.
Common stock and preferred stock are the two primary categories of stocks.
Owners of common stock are entitled to dividends and the right to vote at shareholder meetings.
Common stockholders often do not have voting rights, while preferred stockholders typically get dividend payments ahead of time and are given preference over common investors in the event of a firm bankruptcy and asset liquidation.
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Believeland Shirt Inc. (BSI) is looking at different machines to produce its new collection of shirts for 2018. They can replace an old machine that is getting unreliable and has shown increasingly higher rates of errors. The machines have different costs and cash flows. Assume that Machine A has positive NPV of $500 at 17%. You are asked to calculate the IRR. As you just sit down in front of your computer to run GoalSeek in Excel, you know to expect a result that is...
As Believeland Shirt Inc. is looking to replace an old and unreliable machine, it is important to consider the cost and cash flows of the new machines. In this scenario, Machine A has a positive NPV of $500 at 17%, which means that it is a good investment option for the company.
The next step in evaluating the investment is to calculate the Internal Rate of Return (IRR) for Machine A. IRR is the rate at which the net present value (NPV) of cash flows from the investment is equal to zero. It is an important metric for evaluating the profitability of an investment.
To calculate the IRR for Machine A, we can use the formula:
NPV = CF0 + CF1 / (1 + IRR) + CF2 / (1 + IRR)^2 + ... + CFn / (1 + IRR)^n
Where:
- NPV = Net Present Value
- CF0 = Initial investment
- CF1, CF2, ..., CFn = Cash flows for each period
- IRR = Internal Rate of Return
In this scenario, we know that the initial investment is the cost of Machine A, and that the NPV is $500 at 17%. Therefore, we can set up the formula as follows:
$500 = -$C0 + $C1 / (1 + IRR) + $C2 / (1 + IRR)^2
We can use GoalSeek in Excel to find the IRR that makes the NPV equal to $500. When we run GoalSeek, we can expect to see a result that is the percentage rate of return that makes the NPV of cash flows equal to zero.
In conclusion, the IRR for Machine A is the percentage rate of return that makes the NPV of cash flows equal to zero. By using GoalSeek in Excel, we can find the IRR that makes the NPV equal to $500, which is the positive NPV of Machine A at 17%.
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The ability of a distribution center to pick available goods down to a single piece allows customers to buy in quantities that make sense for their business. This exemplifies the function of product A. accumulation.
B. allocation.
C. sortation.
D. assortment.
E. picking.
The correct answer to the question is E. picking. Picking is an essential function of a distribution center that involves selecting individual items from storage locations and grouping them into orders for delivery.
The ability of a distribution center to pick available goods down to a single piece is critical for many businesses. It allows customers to purchase exactly what they need, rather than having to buy in bulk quantities that may not be suitable for their needs. This flexibility is particularly important for small businesses that may not have the storage space or financial resources to purchase large quantities of goods. In addition to picking, other essential functions of a distribution center include allocation, sortation, and assortment. Allocation involves determining the quantity of a product that should be stocked at a particular location based on historical demand patterns and current market conditions. Sortation involves sorting products into different categories based on various criteria such as size, weight, and destination. The assortment involves selecting the right mix of products to meet the needs of customers and the market. Overall, the efficient functioning of a distribution center is critical for ensuring that businesses can operate smoothly and meet the needs of their customers.
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The ability of a distribution center to pick available goods down to a single piece allows customers to buy in quantities that make sense for their businessis E. picking.
The ability of a distribution center to pick available goods down to a single piece is a critical function of order fulfillment that involves selecting and preparing items for shipment to customers. This function is commonly known as picking, and it allows customers to buy in quantities that make sense for their business by selecting only the items they need.
While accumulation, allocation, sortation, and assortment are all important functions in the distribution center, they are not directly related to the picking function. Accumulation refers to the process of receiving and storing goods in the distribution center, allocation refers to the process of assigning goods to specific orders or locations, sortation refers to the process of sorting goods by destination or other criteria, and assortment refers to the variety of products available for sale. These functions are all important in their own right, but they are not directly related to the ability of a distribution center to pick available goods down to a single piece.
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Which term describes a country that has relatively high ratings for per capita income, GDP, and standard of living?
An advance economies is what describes the country that has relatively high ratings for per capita income, GDP and standard of living
What is called an advance economies?This refers to the economies that have a high level of per capita income, a varied export base, and a financial sector that's integrated into the global financial system.
In other word, the advance economies is also called a developed economies and it is related to countries with relatively high levels of economic growth and security are considered to have developed economies. The common criteria for evaluation include income per capita or per capita gross domestic product.
Therefore, the Option A is correct.
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what is the difference between internal and external growth? Please explain?