Refer to Table 16-2. What is the concentration ratio for Industry M? a. about 52% b. about 22% c. about 96% d. about 40%

Answers

Answer 1

The concentration ratio for Industry M is 52%.

The concentration ratio of industry M can be determined by adding the the ratio of the output to the total output of  each of the six firms together.

Ratio of firm 1's output to total output = 22,987 / 198,400 = 0.11586 = 11.59%Ratio of firm 2's output to total output = 21,444 / 198,400 =  0.1081 = 10.81%Ratio of firm 3's output to total output = 18,787 / 198,400 = 0.0947 = 9.47% Ratio of firm 4's output to total output = 16,454 / 198,400 = 0.0829 = 8.29%Ratio of firm 5's output to total output = 12,890 / 198,400 = 0.065 = 6.5%Ratio of firm 6's output to total output = 22,987 / 198,400 = 0.0506 = 5.06%

Sum of the percentages = 51.72%

Please find attached a table used to answer the question. A similar question was answered here: https://brainly.com/question/14903886

Refer To Table 16-2. What Is The Concentration Ratio For Industry M? A. About 52% B. About 22% C. About

Related Questions

Match the following:
1. Market
2. Bartering
3. Trading
4. Labor
5. Labor Union
_organization that represents workers in the areas of wages, benefits, and work rules
_a place where buyers and sellers exchange goods and services
_ exchanging goods and services with or without the use of money
_exchanging goods and services without the use of money
_human resources used to produce goods and services​

Answers

1- Market ( option 2)
2- Bartering ( option 3 )
3- Trading ( option 1)
4- Labor ( option 5 )
5- Labor Union ( option 4)

ABC Co. has an average collection period of 45 days and an operating cycle of 130 days. It has a policy of keeping at least $10 on hand as a minimum cash balance, and has a beginning cash balance for the first quarter of $10. Beginning receivables for the quarter amount to $35. Sales for the first and second quarters are expected to be $110 and $125, respectively, while purchases amount to 80% of the next quarter's forecast sales. The accounts payable period is 90 days. What is the ending cash balance for the first quarter

Answers

Answer:

hile purchases amount to 80% of the next quarter's forecast sales. The accounts payable period is 90 days. What is the ending cash balance for the first quarterResearch about Alexander Hamilton Maria Reynolds Scandal.Djiboli Rapper is bad, followed by its level and its intention.

There is no one Jibouli of us who follows his intention.

With the group

You don't get like godfather in rap.

Seriously, and what I perfect from my childhood, I fell in love with rap.

I became a rap artist.

I burned for most of the rap.

I suffered in my life and patience Lynn Masmni Godfather.

.

Anyone has any right to philosophize and say how is his guardian.

I love the art of rap

I am a fan of the art of rap

I woven it for rap

So they called me the godfather

I am the one who opened this door and opened people's eyes to it

Anybody's money any right to philosophize and tell how his guardian

I hear about young people wearing their heads down

And whoever prevents me from hurting them and turning their lives into misery

On the day I ask about them, I want to sing them. I want to know who they are.

If I extend my hand on him, his tears will fall before the palm

I ask about his past, they tell me he was sniffing

Ok, in this case I do not respond to the same quality

A little chickens shout that you don't get any harm

I know hypocritical people hand out smiles

In my face when they meet me loudly laughing

Open your mouth at the end and laugh, I mean, you became my friend

Huh

I think you count my mind by intentions

Wind your face muscles do not smile much

Do not be deceived that I am a young man in front of you

I am over with the hawks. Mali is the chicken sitting

And the falcon empty a falcon is not as well as what we need

After the incarceration, my darling, my eyes changed the perception that a friend is a friend

And I understood my life as a lesson, no one who said I am your brother, I mean, I have no

The first of them are the people who disappeared from my detention

I will not hold and do the same as some people

Sell me Sabouni, I love to knock the head off

If my life passed a mistake I will not regret it

But he took it as a lesson in my life and made it a basis for meساعات أجلس لحالي أقعد فيها أفكر.

أتذكر أشياء كثيرة كنت فيها معاك مقصر.

اتندم على كل لحظة ذرفتي فيها علشاني الدمعة.

علقتي فيا آمالك كنتي تقيدي في دربي الشمعة.

يا عمري أبغاك تكون.

أحسن واحد في الكون.

وهذا كلامك لي ولجل عيونك أحاول إني أكون.

حبيبتي اسمعيني.

حطي عينك في عيني.

أنا عند حسن ظنك مع الأيام بتشوفيني.

الإنسان اللي تمنيته.

على كثر أغلاطه تحملتيه.

صدقيني يالعزيزة انه يحبك زي مانتي تحبيه.

أمانة ما أبغى أشوفك زعلانة مني في يوم.

ما أبغى أشوف قلبك مهموم.

لأنك بالنسبة لي أنت الحب الحقيقي.

ما أتوقع من غيرك أقدر أكمل طريقي.

كل همك في الدنيا إنك تشوفيني في القمة.

Simple interest is paid oniy on the

Answers

Answer:

Principal amount only

Explanation:

Simple interest is calculated based on the principal amount borrowed or the principal deposit. If the principal amount does not change, the simple interest earned will remain a constant figure through the loan or deposit life. Simple interest does not increase or decrease the principal amount.

Simple interest contrast with compound interest that adds interest earned to the principal amount at the end of a season.

After a meeting, the Federal Open Market Committee (FOMC) decides that the state of the economy warrants actions to increase real interest rates. a. As a result of the increase in real interest rates, consumption, investment, government spending, and net exports will all . b. With the increase in real interest rates, output will , inflation will , and unemployment will . c. Each of the following situations would cause the FOMC to consider increasing rates except one. The exception is a negative output gap and low inflation. high inflation and a large positive output gap. a large positive output gap. high inflation.

Answers

Answer: See explanation

Explanation:

a. As a result of the increase in real interest rates, consumption, investment, government spending, and net exports will all (decrease).

When there is a rise in the interest rate, the coat if borrowing will increase as well, therefore, this will lead to the reduction in investment and consumption and there's also a reduction in the net exports.

b. With the increase in real interest rates, output will (decrease), inflation will (decrease) and unemployment will .(increase).

When the real interest rate increase, the output will reduce as well as inflation since there'll be reduction in demand for goods and services and hence unemployment rises.

c. The situation that can lead the FOMC to consider increasing rates include

• high inflation and a large positive output gap.

• a large positive output gap.

• high inflation

Therefore, the exception will be a negative output gap and low inflation.

question in photo! please answer in full detail!

question in photo! please answer in full detail!

Answers

The goal is to defend a policy proposal on trade or environmental sustainability the role is representative from a local community while the audience is World Bank.

How to explain the information

The speech must be clear, concise, and persuasive. It must cite its sources accurately. It must be tailored to the specific audience of the World Bank.

Trade has the potential to lift people out of poverty and improve their standard of living. It can also help to protect the environment by promoting sustainable practices. For example, when countries trade with each other, they can share information about best practices in environmental protection. This can help to reduce pollution and conserve resources.

Learn more about trade on

https://brainly.com/question/17727564

#SPJ1

Do you dream of working in show business? Have you ever told your parents? If so, you have probably been told, “That is not a real career” or “You’d better pick something to fall back on.” What they usually mean is that the chances of going to Hollywood and becoming a big movie star are slim. In that way, they are right.

But making Broadway shows, producing Hollywood films, even creating online videos involve many more jobs than just the actors who play in them. So many different people in diverse career paths—from management, to accounting, to marketing—contribute their skills to create the finished products that entertain us! See, you can have a ‘real career’ and work in show business.

For instance, think about the jobs listed below. While those in positions like these get to work in and around show business, the functions they perform are based right in the clusters we considered today: Business Management, Finance, Marketing and Sales. See if you can search online to find what is involved with these three specific jobs. Can you find an example of someone who holds this position? What do they do? How might their job allow them to feel like a part of Hollywood?

Senior Vice President of Theatre Operations
Media Production Accountant
Social Media Director, Film Marketing Agency
Now that you have learned a bit about each of these jobs and what they involve, pop back over to the Bureau of Labor Statistics’ Occupational Outlook Handbook once again to do some more research on them. Find out what education is generally required to enter into each career and what the annual salary could be. Jot down some facts related to each career’s job outlook as well.

Note: You might have to use a broader search term, such as operations manager, accountant, or marketing manager, to find information on these careers.

After this initial research, your task is going to be to create a slideshow presentation to show parents who are worried about their children’s Hollywood dreams. You must provide them with information on solid career options that their children could pursue… careers that would ease parents’ minds and fulfill children’s goals.

Your slideshow must include the following:

Content
A description of each of the three careers that you researched, including what tasks the job requires and why the job is so important
A breakdown of the education requirements for each career, including subjects that might be beneficial in preparing for each career
The projected annual salary for someone in each career and the job outlook according to the Bureau of Labor
A summary of why you think this job is a good choice for someone who is interested in “show business”
Elements
Five slides, broken down in this way:
One slide for each career, containing the content from the first three bullet points above
One slide for the summary, containing the content from the last bullet point above
One slide for your bibliography
Three pictures, one for each of the three careers you are presenting

Answers

The careers that i have researched on  Broadway shows are:

Stage Manager. Theatrical Makeup Artist. Choreographer.What tasks does a stage manager perform?

They consist of:

Planning and leading rehearsals.Sharing with designers and craftspeople the director's wishes.Coordinating the stage crew's job.During the performance, there may be calling cues and actor entrances.supervising the entire performance every time it is given.

In terms of Theatrical Makeup Artist role: Any makeup used by the performers must look well, and that is the responsibility of the makeup artist. In order to develop a look for each actor that will visually support the character, the makeup artist collaborates closely with the costume designer.

In terms of Choreographer role: Working together with the director and musical director, a choreographer creates and choreographs the dance or stylized movement for musical productions. A choreographer collaborates with dancers to develop and interpret concepts and turn them into the final performance.

The credentials are required to be a stage manager are:

A foundation degree, higher national diploma, or degree in stage management, or a course in a similar field like performing arts production, are all options.technical theater and a theater in practice.

The credentials  for Makeup Artists are:

Bachelor, Fashion & Beauty Makeup Artist; Bachelor of Arts in Make Up for Media and Performance.Hair design and makeup artistry.Artistry & Effects in Makeupcollegiate media makeup

Lastly, Despite the fact that a master's degree is frequently required to teach at the university level, many choreographers hold bachelor's degrees in dance. Beginning their careers as professional dancers, choreographers frequently take on jobs as assistant choreographers or in positions that are comparable.

Learn more about careers from

https://brainly.com/question/6947486
#SPJ1

QUESTION 2 of 10: A sports franchise posted a video which resulted in viewers purchasing 60,000 team shirts. This was 20% of viewers of the post. How many views did they get?​

Answers

Answer:

300,000

Explanation:

60,000=20%

10%= 60,000÷2

= 30,000

100%= 30,000x10

=300,000

In North American professional sports leagues, there are a set number of franchises that each field one team. The franchises have exclusive territorial rights that typically encompass huge metropolitan regions, preventing them from having any local competitors.

What sports franchise posted a video, resulted in viewers?

In addition to the possibility for capital growth over time and the prestige of owning a professional sports franchise, there are additional advantages, like certain tax advantages.

The value of professional sports franchises is in the billions of dollars. The value of a franchise is influenced by ticket sales, merchandise, broadcast rights, and marketing agreements.

A potential estate planning tool, the capacity to run a multi-generational family business, and the chance to engage in diverse activities.

Therefore, 300,000 views they get.

Learn more about sports franchise here:

https://brainly.com/question/29236547

#SPJ6

PLEASE HELP FAST!!!!!!!!!!!!!!!!!


Which candidate do you think proposed a more compelling argument about inflation? Support your claim with specific data presented by the candidates. Be sure to mention at least one counterpoint, and refute this point with evidence.

Answers

Answer:

What type of canidate? Like ones running for presidents?

This is your opinion and backup your beliefs with evidence

Explanation:

Answer:

I think the more compelling argument winner has to go to Jimmy Carter. Lots of facts stated, not just opinions and assumptions. For example; when he stated written facts from the CPI that his plan to bring inflation down has worked for him during is presidency.

With that being said I have to give credit where credit is due, Ronald Regan definitely had some powerful comebacks. Like for when he was showing that his governing in the state of California has worked in the past so why would it not work while running the country.

Explanation: no explination

plus not my answer

To what are multiple servers arranged in racks related?
A: clouds
B: Microsoft Visio
C: data centers
D: implementation

Answers

Answer: its data centers because it points too rack servers but the only answer that sticks would be data centers

Explanation:

Answer:

Various number of servers placed in racks are related to Rack servers in data center.

Explanation:

In data center commonly used server is Rack servers.  Servers are being arranged in the mounted racks are generally called as rack servers in the data center. Internal fans are being fitted inside the racks make the servers to make a good airflow and maintain the cooling. There are different types of racks available the user can choose based on their requirement.

Brainliest please

Question: Use the information in the adjusted trial balance presented below to calculate the current ratio for WickUse the information in the adjusted trial balance presented below to calculate current RATIO for Wicked Wicker Company:
Account Title Dr. Cr.
Cash $ 26,000
Accounts receivable 17,000
Prepaid insurance 7,000
Equipment 110,000
Accumulated depreciation—
Equipment $ 55,000
Land 96,000
Accounts payable 18,000
Interest payable 2,650
Unearned revenue 5,300
Long-term notes payable 33,000
Retained earnings 142,050
Totals $ 256,000 $ 256,000

Answers

The current ratio for Wick Firm equals 0.85.

What is a current ratio?

This is a financial tool that measures a firm's ability to pay short-term obligations that are due within one year.

The current ratio is calculated by dividing the company's current assets by its current liabilities.

Current ratio = Current assets / Current liabilities

Current ratio = (Cash + Accounts receivable + Prepaid insurance) /  (Accounts payable + Interest payable + Unearned revenue + Notes payable)

Current ratio = ($26,000 + $17,000 + $7,000) / ($18,000 + $2,650 + $5,300 + $33,000)

Current ratio = $50,000 / $58,950

Current ratio = 0.848176421

Current ratio = 0.85.

Read more about current ratio

brainly.com/question/14770071

#SPJ1

Suppose that the demand and supply for good X are
=60−2 +0.01+7 !"#
=−600+10 $"
Where = quantity demand; = quantity supply; =Price of X; = Average !$"
consumer income; and = Price of a related good R #
(i) Is good X normal or inferior? Explain.
(ii) Are goods X and R substitutes or complements? Explain.
(iii) Suppose that = 40,000 and = 20, what are the equilibrium price and
quantity?
(iv) What happens to equilibrium price and quantity if supply shift to:
=−360+10

Answers

(i) Good X is an normal good as it is directly proportional to average consumer income. When consumer income increases, demand for good X also increases.

What is consumer income ?

Consumer income is the money that a person or household earns from wages, salaries, investments, pensions, and other sources. It is the money that is available to be spent on goods and services, such as food, housing, clothing, entertainment, and other necessities. Consumer income is closely linked to GDP, as it is one of the major drivers of economic activity. As consumer income increases, people are more likely to spend money, which stimulates the economy.

(ii) Goods X and R are substitutes since a rise in the price of one will lead to a rise in the demand for the other. A change in the price of one good will affect the demand for the other.

(iii) If = 40,000 and = 20, then the equilibrium price and quantity of Good X can be determined by solving the equation:

60−2 +0.01*40000+7*20 = −600+10*20

This gives the equilibrium price of X to be $58 and the equilibrium quantity to be 800.

(iv) If the supply shifts to =−360+10, then the equilibrium price and quantity of Good X can be determined by solving the equation:

60−2 +0.01*40000+7*20 = −360+10*20

This gives the equilibrium price of X to be $48 and the equilibrium quantity to be 600. As the supply has shifted, the equilibrium price of Good X has decreased from $58 to $48 and the equilibrium quantity has decreased from 800 to 600.

To learn more about consumer income
https://brainly.com/question/15043225
#SPJ1

Which of the following do you prefer for business/ economic transactions.

1. Cash Vs Debit Card
2. Justify your choice

Answers

I personally prefer to use cash for business and economic transactions. I find that it provides a sense of security as I am able to physically see and hold the money, which makes it easier to keep track of my spending. Cash also allows me to have more control over my finances and helps me stick to a budget, as I can physically see how much money I have left. Additionally, using cash avoids the potential risks of identity theft or fraud that come with using electronic methods of payment such as debit cards. Overall, for me, cash provides a more reliable and secure way of conducting business and economic transactions.

five similarities between petty cash book and cash book

Answers

1. Both cash book and petty cash book are used to record financial transactions related to cash.

2. Both books are used to track cash inflows and outflows for a business.

3. Both books are used to reconcile bank statements and ensure that the cash balance is accurate.

4. Both books are used to provide a record of cash transactions for accounting and tax purposes.

5. Both books can be used to generate financial reports and analyze cash flow trends over time.

to estimate the growth rate of a particular stock, we can . multiple select question. use the historical dividend growth rate. use the average market dividend yield use the average bank's annual cd rate use security analysts' forecasts

Answers

Security analysts' estimates and the past dividend growth rate can both be used to estimate a stock's growth rate.

What exactly are dividends, exactly?

A gift—cash or anything else—that a company gives to its stakeholders is known as a dividend. dividends are payments made in a number of different methods, such as stocks, money transfers, and other formats. A corporation's board of trustees must receive authorization before deciding on its dividend.

How are dividend payments made?

The majority of employers choose to pay their particular . in addition in cash. These payments are often made using a check or an electronic wire transfer. As a kind of remuneration, some corporations may distribute tangible products, investment instruments, or real estate to its stockholders.

To know more about dividend visit:

https://brainly.com/question/29510262

#SPJ4

¿In two to three sentences, explain why it is important to have insurance.?

Answers

Answer:

Explanation:

Insurance protects yourself, your assets, or even your family against financial loss. Oftentimes, events, such as cancer or a car accident, are random and have the potential to financially run people. Insurance is a way to reduce the financial impacts of these risks.

Jmes Graham Manufacturing is a small manufacturer that uses machine-hours as its
activity base for assigned overhead costs to jobs. The company estimated the
following amounts for 2019 for the company, for Job 62 and Job 63:
Company Job 62 Job 63
Direct materials $60,000 $4,500 $7,100
Direct labor $25,000 $2,500 $4,200
Manufacturing
overhead costs $72,000
Machine hours 90,000 1,350 3,100
During 2019, the actual machine-hours totaled 95,000, and actual overhead costs were $71,000. Job 62 consisting of 1,000 units and Job 63 consisting of 2000 units were completed during the month.
Instructions:
A) Compute the predetermined overhead rate.
B) Compute the total manufacturing costs for Job 62 and Job 63.
C) Compute the unit cost of Jobs 62 and 63.
D) How much overhead is over or underapplied for the year for the company? State amount and whether it is over- or underapplied.
E) If Graham Manufacturing sells Job 62 for $14,000 and $18,000 for Job 63, compute the gross profit.

Answers

Answer:

Instructions are below.

Explanation:

Giving the following information:

Company - Job 62 - Job 63

Direct materials: $60,000 - $4,500 - $7,100

Direct labor: $25,000 - $2,500 - $4,200

overhead costs $72,000

Machine hours: 90,000 - 1,350 - 3,100

During 2019, the actual machine-hours totaled 95,000, and actual overhead costs were $71,000. Job 62 consisting of 1,000 units and Job 63 consisting of 2000 units were completed during the month.

A) To calculate the estimated manufacturing overhead rate we need to use the following formula:

Estimated manufacturing overhead rate= total estimated overhead costs for the period/ total amount of allocation base

Estimated manufacturing overhead rate= 72,000/90,000

Estimated manufacturing overhead rate=  0.8 per machine-hour

B) Total manufacturing cost= direct material + direct labor + allocated overhead

Job 62:

Total manufacturing cost= 4,500 + 2,500 + 0.8*1,350

Total manufacturing cost= $8,080

Job 63:

Total manufacturing cost= 7,100 + 4,200 + 0.8*3,100

Total manufacturing cost= $13,780

C) Unitary cost= total cost/ number of units

Job 62:

Unitary cost= 8,080/1,000= $8.08

Job 63:

Unitary cost= 13,780/2,000= $6.89

D) First, we need to apply overhead for the company as a whole:

Allocated MOH= Estimated manufacturing overhead rate* Actual amount of allocation base

Allocated MOH= 0.8*95,000

Allocated MOH= $76,000

Now, we can calculate the over/under applied overhead:

Under/over applied overhead= real overhead - allocated overhead

Under/over applied overhead= 71,000 - 76,000

Overapplied overhead= $5,000

E) Job 62= 14,000

Job 63= 18,000

Gross profit= sales - cost of goods sold

Job 62:

Gross profit= 14,000 - 8,080= $5,920

Job 63:

Gross profit= 18,000 - 13,780= $4,220

You purchase a T-Bill which is selling at a discount of 12 TL. The maturity of this T-Bill is 255 days. Calculate the simple yield and compounded yield of this T-Bill? (Par value: 100 TL)

Answers

Answer:

Par value of T-Bill = 100

TL Discount = 12 TL

Days to Maturity = 255 days

a. Simple yield (assuming simple interest) = (Discount / (Par value - Discount)) * (365 / Days to maturity)

Simple yield = (12 / (100 - 12)) * (365 / 255)

Simple yield = (12 / 88) * 1.431373

Simple yield = 0.136364 * 1.431373

Simple yield = 0.195187747772

Simple yield= 19.52%

So, the Simple Yield of the T-Bill is 19.52%

b. Compounded yield = (1 + (Simple Yield / (365 / Days to maturity))^(365 / Days to maturity) - 1

Compounded Yield = (1 + (0.19519 * (255 / 365)))^365/255 - 1

Compounded Yield =  (1 + 0.136364)^1.431373 - 1

Compounded Yield = 1.200787 - 1

Compounded Yield = 0.200787

Compounded Yield = 0.200787

Compounded Yield = 20.08%

So, Compounded Yield of the T-Bill is 20.08%.

​Corporation, a manufacturing​ company, is analyzing its cost structure in a project to achieve some cost savings. Which of the following statements​ is/are correct? I. The cost of the direct materials in ​'s products is considered a variable cost. II. The cost of the depreciation of ​'s plant machinery is considered a variable cost because uses an accelerated depreciation method for both book and income tax purposes. III. The cost of electricity for ​'s manufacturing facility is considered a fixed​ cost, even if the cost of the electricity has both variable and fixed components.

Answers

Answer:

The cost of the depreciation of plant's machinery is considered a variable cost because machinery uses an accelerated depreciation method for book and income tax purposes

Explanation:

A variable cost is an expense that is proportional to the production output. That is variable costs increase or decrease with respect to a company's production. This cost rise as production rises and falls as production falls. Costs of raw materials and packaging are examples of variable costs.

Here,

Corporation, a manufacturing​ company, is analyzing its cost structure in a project to achieve some cost savings.

The cost of the depreciation of plant's machinery is considered a variable cost because machinery uses an accelerated depreciation method for book and income tax purposes

Types of controls used to assess the effectiveness of marketing operations ​

Answers

Analysis of a competitor and strategies

Existing customer analysis

Testing research with a focus group

Customer opinions and feedback



Your welcome if this helps

What does the example of sliced bread teach us about business?

Answers

The example of sliced bread teach us  It teaches us that no matter how are excellent one's product or service is, if a person do not market or spread it to the world, it will not sell that much.

It connote that for one's business to have success,  one do need to spread it so that a lot of people know that this product do exists and that is a very good one.

What is your business marketing plan?

A marketing plan is known to be a component of a business plan. Marketing plans is one that has all the information about a firm's products and/or services and tells how potential customers will be known.

learn more about business from

https://brainly.com/question/24553900

Which form of currency is a promissory note that is to be paid back with
interest at a certain date?
A. A banknote
B. A government bond
C. A paper dollar
D. A treasury note

Answers

Answer:

D.

Explanation:

A treasury note is a form of currency that needs to get paid back with interest at a certain date.

Treasury notes, also known as T-notes, are issued by the US treasury. It earns a fixed interest rate every six months till it gets matured. The treasury notes get issued in terms of 2, 3, 5, 7, and 10 years. By issuing the treasury notes, the US government partially funds itself.

A treasury note is a promissory note that is to be paid back with interest.

Therefore, option D is correct.

Answer:B, a government bond

Explanation:

Just took the test.

Ouestion 2
EloMax Company Ltd has carried out some research that shows that the business could
provide a standard service that it has recently developed. Provision of the service would
require investment in a machine that would cost GHé100,000, payable immediately. Sales of
the service would take place throughout the next five years. At the end of that time, it is
estimated that the machine could be sold for GH€20,000.
Inflows and outflows from sales of the service would be expected to be as follows:
Time
Immediately
1 years' time
2 years' time
3 years* time
4 years' time
5 years' time
5 years' time
Cost of machine
Operating profit before depreciation
Operating profit before depreciation
Operating profit before depreciation
Operating profit before depreciation
Operating profit before depreciation
Disposal proceeds from the machine
GHé000
(100)
20
40
60
60
20
20
EloMax Ltd has acceptable payback period of 3 years and expected returns on investment of
45%. It also uses straight-line method to depreciate fixed assets.
Advise the company whether or not to undertake the investment using the following appraisal
techniques:
a) Accounting Rate of Return (ARR)
[3marks]
b) Payback Period (PBP)
[3marks]
c) Net Present Value (NPV). Assume a discount rate of 10% per annum. I4marks]
Total marks 101

Answers

Since the ARR (4.8%) is below the expected return on investment (45%), the company should not undertake the investment.

How to solve

a) Accounting Rate of Return (ARR)

ARR = (Average Annual Profit / Initial Investment) x 100

Average Annual Profit = (Operating Profit Before Depreciation - Annual Depreciation) * Years + Disposal Proceeds / Years

Annual Depreciation = (Initial Investment - Residual Value) / Years = (100,000 - 20,000) / 5 = 16,000

Average Annual Profit = (20+40+60+60+20 - 5*16,000) / 5 = 24,000 / 5 = 4,800

ARR = (4,800 / 100,000) x 100 = 4.8%

Since the ARR (4.8%) is below the expected return on investment (45%), the company should not undertake the investment.

The Payback Period (PBP), calculated as the amount of time taken to recuperate the primary investment, is two years in addition to sixty-seven hundredths of a year due to cumulative cash flows.

During the initial year, funds amounting to $20,000 were gained, increasing to $40,00 and then further expanding to $60,000 during consecutive periods.

Cumulative cash flows revealed that $80,000 was offset within the first year, followed by figures between negative-$40,000 and positive-$20,000 as future financial occurrences descended to greater proportions than past earnings.

Despite this discovery, an estimated PBP remained quantified at 2.67 years, thereby closely adhering to a prescribed period of three years for acceptable rates of return on such investments made by the company.

Read more about Average Annual Profit here:

https://brainly.com/question/26215194

#SPJ1

Problem 4: The table describes a 10-person economy. Each person in this economy has 1 dollar that he might save or
consume. He saves only if he can obtain a return on savings at least as high as the rate indicated in the first column. Each
person also has access to an investment project paying the return listed in the second column. He is willing to undertake
the investment using his own savings only if the return on his investment is at least as high as the return he requires to
make saving attractive. He is willing to undertake the investment using a loan from a financial intermediary only if the
investment pays a return greater than or equal to the interest rate he must pay on the loan. He prefers to finance the
investment out of his own savings rather than a loan (if available) only if the return he requires to render saving
attractive is lower than the interest rate he must pay on a loan.
Saves If
Available Investment
Person
Return 2 (Percent) Return (Percent)
5
5
1
5
2
8
3
5
9
4
8
5
5
8
5
8
5
6
7
10
9
8
10
10
9
9
20
20
10
15
a. Assume first that the costs of carrying out financial transactions are so high that no borrowing or lending takes place.
As a result, the only way a person can earn a return on savings is by investing in his own investment project. Which
people will invest in this case? What is the simple average of the returns on the investments undertaken?

Answers

Answer:

im not understandidb

Explanation:

o hi me pease

I
5. In a few sentences, explain the difference between a fixed exchange rate and a
flexible exchange rate. What are the basic advantages and disadvantages of each?
(4 points)

Answers

A fixed exchange rate is a type of exchange rate regime in which the government or central bank ties the official exchange rate to another country's currency or the price of gold.

The official exchange rate is fixed by the government or central bank, and it is kept constant. The government or central bank must be prepared to buy or sell its currency at the official exchange rate in order to keep it fixed. A flexible exchange rate, on the other hand, is a type of exchange rate regime in which the value of a currency is determined by supply and demand on the foreign exchange market.

Advantages of Fixed Exchange Rate:

Stable exchange rates are beneficial for businesses that require currency predictability. The central bank may employ monetary policy tools more effectively, resulting in lower inflation rates. It is less likely that a currency crisis would occur.

Disadvantages of Fixed Exchange Rate:

It limits a country's monetary policy independence because it must have sufficient foreign currency reserves to maintain the fixed rate. The country's economy may be hurt if the fixed exchange rate is too high.

Advantages of Flexible Exchange Rate:

A flexible exchange rate enables a country to adjust to changes in economic circumstances such as inflation, international competitiveness, and other economic conditions. It allows a nation to conduct an independent monetary policy.

Disadvantages of Flexible Exchange Rate:

Price stability may be difficult to achieve because the exchange rate is more volatile. Businesses may find it more challenging to plan for the future because of the unpredictability of exchange rates.

Know more about Fixed exchange rate here:

https://brainly.com/question/32784534

#SPJ8

If you had a million dollars what would you buy and why? 2 sentences please!!

Answers

I would buy a Chromebook. I would buy a Chromebook because I would be able to do stuff like school work and it would be very helpful so that way I wouldn’t have to narrow my moms Chromebook. That is what I would buy with a million dollars.

How does finance and insurance affect in our global economy?

Answers

The ways that finance and insurance affect our global economy include:

Capital allocationRisk management

How can finance and insurance affect the economy ?

Finance plays a crucial role in allocating capital to its most productive uses. Through the provision of financial services such as banking, investment, and asset management, finance channels funds from savers to investors, supporting economic growth and development.

Insurance plays a vital role in managing risk and protecting individuals and businesses from potential losses. By spreading risk among a large pool of insured individuals or companies, insurance enables businesses to invest and take on new opportunities with greater confidence, contributing to economic growth and stability.

Find out more on finance at https://brainly.com/question/28556872

#SPJ1

Before filing a consumer complaint, you should
A. write a negative review
B. threaten legal action
C. gather documentation
D. consult a lawyer

Answers

gather documentation.
if you don’t have proof no one will believe you

10 principles of economics ​

Answers

The 10 principles of economics were given by Gregory Mankiw.

These principles are:

People face tradeoffs: it means that to get one thing, one has to give up on another thing.The cost of Something is What You Give Up to Get It: it refers to the opportunity cost you incur on doing something else. Rational people think at the margin: considering the marginal cost of the product.People Respond to Incentives Trade Can Make Everyone Better Off: trading helps a country in being self-sufficient and enjoying more goods and services. Markets Are Usually a Good Way to Organize Economic Activity. Governments Can Sometimes Improve Economic Outcomes: Government can intervene to allocate resources efficiently.The Standard of Living Depends on a Country's Production: the standard of living increases as the consumption of goods and services, increases.Prices Rise When the Government Prints Too Much Money: when there's a lot of money flowing the market, it will increase the demand for goods which will increase the cost of goods, ultimately leading to inflation.Society Faces a Short-Run Tradeoff Between Inflation and Unemployment.

Learn more about "Principles of economics":

https://brainly.com/question/17195696

A(n) _____________ activity includes those transactions and events that determine net income, including the purchase of merchandise, the sale of goods and services to customers, and expenditures to operate the business. Multiple choice question. operating financing noncash investing

Answers

An operating activity includes those transactions and events that determine net income, including the purchase of merchandise, the sale of goods and services to customers, and expenditures to operate the business.

A business operates through certain actions that manage and keep the business alive. Such operating activities may include more than a couple of processes that help the business stay afloat.

The operating activities of a business include all the things that a company does to provide an ongoing flow of products and services to the market. Such activities may include setting a strategy, keeping accounts of the transactions like purchasing of merchandise, the sale of goods and services to customers, and the expenditures incurred to operate the business. Operating activities are important as they control the cash flow of the business and maybe the sole source of ensuring the business stays alive. It is directly linked to the deep-end workings of the company, like the production, sale, distribution, etc. of the company.

Thus, operating activities such as the determination of the incomes, purchase of merchandise, sale of goods and services, etc. all play a huge part in the successful running of the company. It's actions such as these that determine the success or failure of the company.

Learn more about cash flow activities here:

brainly.com/question/14122060

A(n) _____________ activity includes those transactions and events that determine net income, including

Your team is one of the highest performing teams you have ever worked with. In describing
the attributes of your team, you are likely to describe all of the following except
how your team follows formal separation of roles.
how your team is clear on each other's unique talents and the strategic advantages of the team.
how your team works together toward a shared purpose.
how your team self-evaluates and holds each other accountable.
the extraordinarily high quality your team achieves.

Answers

There are several attributes for a team to achieve high work performance, including:

integration and motivation

with self-assessment and self-accountability being essential attributes for the team's effectiveness.

A team whose members have a form of self-assessment and accountability to each other is not a high-performing team.

The integration of team members in order to achieve a common purpose and the appreciation of the team's unique talents are strategic advantages that help the team to achieve an extraordinarily high quality of work.

Therefore, a team leader must coordinate the members in search of innovation and creativity, which can be achieved through:

providing feedbackformal separation of functionsmotivation and collaborationconflict managementvaluing employees

Each one must be responsible for their actions in the team, being collaborative with each other and looking for solutions to effectively fulfill the projects and goals.

Learn more here:

https://brainly.com/question/18869410

Other Questions
Which of the following would be an effective way to improve iron status?a.Consume plant sources of iron (e.g., legumes) with a source of vitamin C (e.g., tomatoes).b.Occasionally choose lean red meats (e.g., sirloin steak) as part of meals.c.At breakfast, choose an iron-fortified cereal.d.All of these would be effective strategies to improve iron status. 21) Highlight all the types of evidence scientists use to classify organismsa. Fossilsb. Morphologyc. Geneticsd. Agee. Sex (male or female)f. Biochemistry (Protein similarities)g. Cell structures/organizationh. Embryosi. How they obtain food what is the polar form of y=7x Question 1 of 15What was one major difference between the Ancestral Puebloans and theMississippian civilization?A. The Mississippian civilization built larger cities.B. The Ancestral Puebloans lived a nomadic lifestyle.C. The Ancestral Puebloans had a stronger military.D. The Mississippian civilization was destroyed by Europeans. What event marked the end of Reconstruction in the United States?the impeachment of Andrew JohnsonO the passage of the Homestead Actsthe removal of federal troops from the Souththe entry of the United States into World War 1. If you deposit $120 in an account that pays 10% interest annually and you don't touch it for 3 years, what is the interest earned on your initial deposit after 3 years? 2. Given the information below use the formula for compounding interest to determine the increase in value of you $125 deposit after 3 years Daniel is constructing a deck like the one shown. What is the area ofthe deck? (Example 2)Hexagon125ft3.5 ft Here is example 2 for help I added a picture plz help all over-the-counter receipts are entered in cash registers. Use limits to find the horizontal and vertical asymptotes of the graph of the function 3x f(x)= 16x6+1, if any. 34-19-= (show the CC steps.) Values are guiding principles for any person or group of people. Universal values are those most common toall civilized cultures and societies. Values that interpret what is "right" and "wrong areO moral valuesO emotional valuesO spiritual valuesO intellectual values Type or paste question here In an open lottery,two dice are rolled a.What is the probability that both dice will show an even number? b.What is the probability that the sum of the dice will be an odd number? c.What is the probability that both dice will show a prime number? Select the correct answer.Which expression in factored form is equivalent to this expression?4(x2 2x) 2(x2 3)A. (2x 3)(x + 1)B. 2(x + 1)(x + 3)C. (2x + 3)(x + 1)D. 2(x - 1)(x 3)Took the test. This is the answer. Which theory of crime focuses mostly on how the structure and chemistry of the brain might affect behavior? A. Sociological theoriesB. Biological theoriesC. Psychological theoriesD. Classical theories When a chemical reaction occurs, what happens to the atoms of the two substances? Use synthetic division to decide whether the given number k is a zero of the polynomial function. If it is not, give the value of f(k).f(x)=x - 7x + 12; k= 3 Is 3 a zero of the function? Select the correct choice below and, if necessary, fill in the answer box to complete your choice. A. The given k is not a zero of the polynomial function. f(3) = ____B. The given k is a zero of the polynomial function. If we are asked to to find the x-intercept of the graph given its equation, we substitute y = 0 into the equation, because:The x-intercept is the point where the graph intersects the x-axis and hence the y-coordinate of that point will be 0The y-intercept will be 0The x-intercept is the point where the graph intersects the y-axis and hence the y-coordinate of that point will be 0The x-intercept is always at (0, 0) Winslow, Inc. stock is currently selling for $40 a share. The stock has a dividend yield of 3.8 percent. How much dividend income will you receive per year if you purchase 500 shares of this stock Which is a one-dimensional scan that measures the time it takes for sound waves to reach a structure and reflect back to the source