Briefing paper for management training day on ‘Understanding the implications for business organisations of operating in the international economic environment’
The speech was successful and the feedback from the audience was very positive. One of the attendees is a manager in an organisation operating internationally. He has asked you to participate in a training day with his management team and lead a discussion group. He has asked you to concentrate on the implications for business organisations of operating in the international economic environment. Prepare a briefing paper for circulation to the group before the meeting which:
• analyses features of the international economic environment as they relate to business
• assesses the implications for business organisations of operating in the international
economic environment.
Extension activities:
To gain a merit grade you must also:
assess the risks involved for business organisations in operating in the international economic environment To gain a distinction grade you must also:
recommend, with justifications, actions a business organisation can take to minimise the risks of operating in an international economic environment.

Answers

Answer 1

Understanding the implications of operating in an international economic environment is essential for businesses. The international economic environment is characterised by features such as globalisation, trade liberalisation, economic interdependence, and the emergence of new economies.



The international economic environment is characterised by globalisation. Globalisation refers to the integration of economies, societies, and cultures through cross-border transactions. This feature has enabled businesses to expand their operations beyond their national boundaries, enabling them to reach a global market.

The growth in global trade has resulted in opportunities for businesses to access new markets and sources of raw materials. The trade liberalisation policy implemented by countries has encouraged businesses to invest in the international market. The policy aims to reduce tariffs and quotas on goods and services, making it easier for businesses to trade in different countries. The benefits of trade liberalisation are that it helps to increase competition, improve productivity, and reduce costs.
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Question 5 Not yet answered Points out of 1 Rag question What will happen if a fad increases consumers' desire to consume a particular good? Note: more than one answer is correct, and picking wrong answers has a penalty. Pick all and only the correct answers for full credit. Select one or more: Da. Demand for the good will increase. b. Demand for the good will decrease. c. Supply of the good will increase. d. Supply of the good will decrease De. The price of the good will tend to rise. f. The price of the good will tend to fall. Og. The quantity purchased of the good will tend to get larger h. The quantity purchased of the good will tend to get smaller.

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If a fad increases consumption of a particular good: (a) Demand for the good will increase, (d) Supply of the good will decrease, (e) The price of the good will rise, and (g) The quantity purchased of the good will get larger.

When a fad increases consumers' desire to consume a particular good, several outcomes can be expected. Firstly, the demand for the good will increase as more consumers express interest in purchasing it. This is due to the heightened popularity and perceived value associated with the fad.

Secondly, the supply of the good will likely decrease. Suppliers may face challenges in meeting the sudden surge in demand, especially if the production capacity or availability of resources is limited. As a result, the supply of goods may not be able to keep up with the increased demand.

Thirdly, the price of the good will tend to rise. With higher demand and limited supply, sellers can capitalize on the increased interest by raising prices. This is often seen as an opportunity to maximize profits and capture the willingness of consumers to pay a premium for the popular item.

Lastly, the quantity purchased of the good will tend to get larger. As more consumers are attracted to the fad, they are likely to buy larger quantities of the good to satisfy their increased desire to consume it. This higher demand and quantity purchased contribute to the overall market response to the fad.

In summary, when a fad increases consumers' desire for a particular good, the demand for the good increases, the supply decreases, the price tends to rise, and the quantity purchased tends to get larger.

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Suppose two engineering firms, Philly and Candy compete in the South African ready-mix concrete industry. The products of the two firms are differentiated, and each month the two firms set their prices P.
The demand functions Q facing each firm are:
p = 50 + Pc − 5Pp c = 64 + 2Pp − 4Pc
where the subscript P denotes the firm Philly, and the subscript C denotes the firm Candy. Candy’s marginal cost is R5 per unit and Philly’s marginal cost is R4 per unit.
4) Using well annotated graph, plot the above calculated reaction functions and illustrate what happens when Candy`s marginal cost increases.
5) Using well annotated graph, plot the above calculated reaction functions and illustrate what happens when Philly’s demand goes up for any given pair of prices for Candy and Philly

Answers

4) When Candy's marginal cost increases, it will affect their reaction function and the market equilibrium. Let's assume that Candy's marginal cost increases from R5 to R6 per unit.

By plotting the reaction functions on a graph, we can observe the following changes:

- Candy's reaction function: Candy's new reaction function will shift upward, indicating a higher price for a given price set by Philly. This is because Candy's higher marginal cost will require them to charge a higher price to cover their costs.

- Philly's reaction function: Philly's reaction function remains unchanged since its marginal cost is unaffected.

The intersection of the new Candy's reaction function and Philly's reaction function will determine the new market equilibrium. The new equilibrium price will be higher, reflecting the increased cost for Candy, while the equilibrium quantity may decrease or remain the same depending on the specific values of the demand functions.

5) When Philly's demand goes up for any given pair of prices for Candy and Philly, it will also impact the reaction functions and the market equilibrium.

By plotting the reaction functions on a graph, we can observe the following changes:

- Philly's demand increase: Philly's reaction function will shift upward, indicating that Philly can charge higher prices for a given price set by Candy while still achieving the same quantity of demand.

- Candy's reaction function: Candy's reaction function remains unchanged since Philly's demand increase does not directly affect Candy's cost or pricing strategy.

The intersection of the new Philly's reaction function and Candy's reaction function will determine the new market equilibrium. The new equilibrium price will be higher due to Philly's increased demand, while the equilibrium quantity may increase or remain the same depending on the specific values of the demand functions.

Therefore, changes in Candy's marginal cost or Philly's demand will impact the reaction functions and ultimately alter the market equilibrium in terms of price and quantity. These changes highlight the dynamics of competition between the two firms in the ready-mix concrete industry.

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Call option Personal finance problem Carol Krebs is considering buying 100 shares of Sooner Products, Inc., at $62 per share. Because she has read that the firm will probably soon receive certain large orders from abroad, she expects the price of Sooner to increase to $69 per share. As an alternative, Carol is considering the purchase of a call option for 100 shares of Sooner at a strike price of $58. The 90-day option will cost $900 Ignore any brokerage fees or dividends a. What will Carol's profit be on the stock transaction if its price does rise to $69 and she sells? b. How much will Carol earn on the option transaction if the underlying stock price rises to $89? c. How high must the stock price rise for Carol to break even on the option transaction? d. Compare, contrast, and discuss the relative profit and risk associated with the stock and option transactions.

Answers

In terms of profit potential, the option transaction can offer higher returns (as seen in scenario b) compared to the stock transaction. In terms of risk, the stock transaction has limited risk to the initial investment, whereas the option transaction has a limited risk to the premium paid for the option.

a. If Carol buys 100 shares of Sooner Products, Inc. at $62 per share and the price does rise to $69 per share when she sells, her profit can be calculated as follows:

Profit = (Selling Price - Buying Price) * Number of Shares

Profit = ($69 - $62) * 100

Profit = $7 * 100

Profit = $700

Therefore, Carol's profit on the stock transaction would be $700.

b. If Carol purchases the call option for 100 shares of Sooner at a strike price of $58 and the underlying stock price rises to $89, her earnings from the option transaction can be calculated as follows:

Earnings = (Underlying Stock Price - Strike Price) * Number of Shares - Option Cost

Earnings = ($89 - $58) * 100 - $900

Earnings = $31 * 100 - $900

Earnings = $3,100 - $900

Earnings = $2,200

Therefore, Carol would earn $2,200 on the option transaction if the underlying stock price rises to $89.

c. To break even on the option transaction, Carol would need the stock price to rise above the breakeven point. The breakeven point can be calculated as follows:

Breakeven Stock Price = Strike Price + Option Cost

Breakeven Stock Price = $58 + $900

Breakeven Stock Price = $958

Therefore, the stock price would need to rise above $958 for Carol to break even on the option transaction.

d. The stock transaction involves buying the stock outright, where Carol profits from the difference between the buying and selling prices. The risk is limited to the initial investment in the stock.

On the other hand, the option transaction involves purchasing a call option, which provides the right to buy the stock at a predetermined price. The profit from the option transaction depends on the price movement of the underlying stock. The risk is limited to the premium paid for the option, in this case, $900.

In terms of profit potential, the option transaction can offer higher returns (as seen in scenario b) compared to the stock transaction. However, options involve time sensitivity and can expire worthless if the stock price doesn't move favorably. In terms of risk, the stock transaction has limited risk to the initial investment, whereas the option transaction has a limited risk to the premium paid for the option.

It's important to note that the relative profit and risk associated with each transaction can vary depending on the specific circumstances and market conditions. Traders and investors should carefully assess their risk tolerance, market outlook, and understanding of options before engaging in option trading.

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On January 1, BBA borrows $192,000 from Citizen Bank. The loan is due in one year along with APR of 8% interest. The company is preparing its quarterly report for March 31. Which of the following best describes the necessary accrual for interest expense?
A) $ 920 increase liabilities, increase interest expenses B) $ 920 decrease liabilities, decrease cash C) $1,840 decrease liabilities, decrease cash D) $1,840 increase liabilities, increase interest expenses

Answers

The necessary accrual for interest expense for the quarter ending March 31 can be calculated by dividing the annual interest rate by the number of quarters in a year (4 in this case).

The annual interest on the loan is $192,000 * 8% = $15,360.

For the quarter ending March 31, the interest expense would                  be $15,360 / 4 = $3,840.

Now, let's look at the options:

A) $920 increase liabilities, increase interest expenses: This option doesn't match the calculated interest expense of $3,840.

B) $920 decrease liabilities, decrease cash: This option is not appropriate because it suggests a decrease in liabilities and cash, which is not consistent with accruing interest expenses.

C) $1,840 decrease liabilities, decrease cash: This option is not appropriate because it suggests a decrease in liabilities and cash, which is not consistent with accruing interest expenses. Additionally, the amount is half of the calculated interest expense.

D) $1,840 increase liabilities, increase interest expenses: This option matches the calculated interest expense of $3,840.

Therefore, the best answer is D) $1,840 increase liabilities, increase interest expenses.

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A school board has nine voting members. Five members need to be chosen each year for the finance committee. Why should the combination technique be used when selecting committee members? Because the selection order of committee members is important Because there is a correlation between committee member meeting attendance and selection Because the selection order of committee members is not important Because there is not a correlation between committee member meeting attendance and selection
Previous question

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The combination technique should be used when selecting committee members because the selection order of committee members is not important.

In this case, the finance committee members need to be chosen from a pool of nine voting members. The combination technique involves selecting a subset of members from a larger set without considering the order in which they are chosen. Since the selection order of committee members is not important, the combination technique is appropriate.

Using the combination technique ensures that all possible combinations of committee members are considered, regardless of their order. This allows for a fair and unbiased selection process, as each potential combination has an equal chance of being selected. By focusing on combinations rather than permutations, the emphasis is on selecting the appropriate individuals for the committee rather than the specific sequence in which they are chosen.

Therefore, in this scenario, the combination technique is suitable for selecting committee members because it accounts for the fact that the selection order is not relevant to the composition and functioning of the finance committee.

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Suppose the monthly income of an individual increases from Rs. 10,000 to Rs. 15,000 which increases his demand for clothes from 20 units to 25 units. Calculate the income elasticity of demand

Answers

The income elasticity of demand can be calculated using the formula:

Income elasticity of demand = ((New quantity - Old quantity) / Old quantity) / ((New income - Old income) / Old income)

In this case:

New quantity = 25 units

Old quantity = 20 units

New income = Rs.

elasticity of demand = ((25 - 20) / 20) / ((15,000 - 10,000) / 10,000)

Income elasticity of demand = (5/20) / (5,000/10,000) = 0.25 / 0.5 = 0.5

The income elasticity of demand is 0.5.

Income elasticity of demand measures the responsiveness of demand for a product to changes in income. In this case, the individual's income increased from Rs. 10,000 to Rs. 15,000, resulting in an increase in the demand for clothes from 20 units to 25 units.

To calculate the income elasticity of demand, we use the formula mentioned above. By substituting the given values into the formula, we can calculate the income elasticity as 0.5.

An income elasticity of demand greater than zero (positive value) indicates that the good is a normal good, meaning that as income increases, the demand for the product also increases. In this case, the income elasticity of demand being 0.5 suggests that clothes are a normal good, but their demand is relatively inelastic to changes in income.The income elasticity of demand measures the percentage change in the quantity demanded of a product in response to a percentage change in income. It helps us understand how sensitive the demand for a particular good or service is to changes in income.

In this scenario, the individual's income increased from Rs. 10,000 to Rs. 15,000, resulting in a change in the quantity demanded of clothes from 20 units to 25 units. To calculate the income elasticity of demand, we follow the formula mentioned earlier.

The income elasticity of demand is calculated by taking the percentage change in quantity demanded and dividing it by the percentage change in income. In this case, the percentage change in quantity demanded is (25 - 20) / 20 = 5/20 = 0.25, and the percentage change in income is (15,000 - 10,000) / 10,000 = 5,000/10,000 = 0.5.

By dividing the percentage change in quantity demanded (0.25) by the percentage change in income (0.5), we find that the income elasticity of demand is 0.5.

Understanding income elasticity of demand helps business  and policymakers make decisions related to pricing, marketing strategies, and forecasting.

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If you are a large farm in California that needs water to irrigate your crops, how would you use the contract to hedge the cost of water? Provide a simple example of how a hedge to protect an increase in the price of water would be designed and executed (keep in mind how the contract settles)

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To hedge the cost of water, a large farm in California could use a futures contract to protect against an increase in the price of water.

A futures contract is a financial instrument that allows parties to agree to buy or sell an underlying asset, such as water, at a predetermined price (the futures price) on a future date.

In this case, the farm would enter into a futures contract to purchase water at a specified future date and price. For example, if the farm expects the price of water to increase in the future, they can enter into a futures contract to buy water at the current price.

If the price of water indeed rises, the farm can purchase water at the lower futures price, thereby hedging against the increase in cost. On the settlement date of the contract, the farm would receive the physical delivery of the water at the predetermined price.

By utilizing the futures contract, the farm effectively locks in a price for water, providing protection against potential price fluctuations.

This hedge allows the farm to manage the risk of higher water prices, ensuring a more predictable cost structure for their irrigation needs and helping to mitigate potential financial losses associated with increased water costs.

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To hedge the cost of water, a farm in California could use a futures contract for water to protect against price increases.

To hedge the cost of water, a farm in California could enter into a futures contract for water. For example, they could purchase a futures contract for a specific volume of water at a predetermined price.

If the price of water increases, the farm would benefit from the futures contract, offsetting the higher costs of purchasing water for irrigation.

If the price decreases, the farm would still need to pay the predetermined price under the contract, but they would benefit from the lower market price.

The settlement of the contract would depend on the terms specified, which could involve physical delivery of the water or cash settlement based on market prices.

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Ashburn Corporation issued 10-year bonds two years ago at a coupon rate of 8.1 percent. The bonds make semiannual payments. If these bonds currently sell for 102 percent of par value, what is the YTM? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
YTM
%

Answers

First, we need to determine the present value of the bond's future cash flows. The bond has a 10-year maturity and makes semiannual payments, so there will be 20 periods. The coupon rate is 8.1 percent, and the bond currently sells for 102 percent of par value.

Using a financial calculator or spreadsheet, we can input the following information to calculate the YTM:

N = 20 (number of periods)

PMT = (Coupon rate * Par value) / 2 (semiannual coupon payment)

FV = Par value (face value of the bond)

PV = -102% of Par value (negative sign denotes cash outflow)

By solving for the interest rate (YTM), we can find the answer.

The YTM for Ashburn Corporation's bonds is approximately 3.79 percent.

YTM represents the total return an investor can expect to receive from a bond if it is held until maturity. In this case, the bond is selling at 102 percent of par value, which indicates that it is trading at a premium. As a result, the bond's yield is lower than its coupon rate. The YTM of 3.79 percent suggests that investors are willing to accept a lower return given the premium price at which the bond is currently trading. It is important for investors to consider the YTM when assessing the attractiveness of a bond investment, as it reflects the actual return they would earn if they hold the bond until maturity, taking into account both coupon payments and the bond's current market price.

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Which of the following statements about refunding operations is CORRECT? Check all that apply:
a)
Refunding operations allow corporations to reduce their interest expense.
b)
Refunding operations only occur after a significant interest rate increasec)
Refunding operations allow the corporation to refund investors who no longer want to hold the company's bonds.
d)
Refunding operations are typically completed using the company's existing cash reserves

Answers

The statements about refunding operations. Option A and C are correct.


A refunding operation is an operation that involves issuing new securities in order to retire or redeem existing securities. They are typically carried out by corporations and municipal governments as a way to reduce their interest expenses by taking advantage of lower interest rates than those on the securities that they are redeeming.

Option A: Refunding operations allow corporations to reduce their interest expense. This statement is correct, because corporations use refunding operations as a way to lower their interest expenses by taking advantage of lower interest rates than those on the securities that they are redeeming.

Option C: Refunding operations allow the corporation to refund investors who no longer want to hold the company's bonds. This statement is also correct, because refunding operations are typically carried out by corporations and municipal governments as a way to retire or redeem existing securities, and allow the corporation to refund investors who no longer want to hold the company's bonds.

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MakeUp Inc generated FCFF of $1450 and FCFE of $1200 in the most recent year. The firm will grow at a rate of 5% for the forseeable future. The book value and market value of MakeUp's debt are $8000 and $10,000, respectively. The firm's WACC is 9% and the firm's tax rate is 34%. Which of the following is closest to the value of the equity stake in the firm? Round your answer to the nearest $1000.
a. $30,000
b. $28,000
c. $38,000
d. $36,000
e. $26,000

Answers

The value of the equity stake in the firm is closest to $30,000, calculated using the FCFE approach with given values. Option a is correct.

To determine the value of the equity stake in the firm, we can use the Free Cash Flow to Equity (FCFE) approach.

The formula is:

Equity Value = FCFE / (WACC - Growth Rate)

Using the given values:

FCFE = $1200

WACC = 9%

Growth Rate = 5%

Equity Value = $1200 / (0.09 - 0.05)

Equity Value = $1200 / 0.04

Equity Value = $30,000

Therefore, the value of the equity stake in the firm is closest to $30,000. The answer is option a.

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Suppose in its 2022 annual report that McDonald’s Corporation reports beginning total assets of $23 billion, ending total assets of $17 billion, net sales of $24 billion, and net income of $4 billion.
(a) Compute McDonald’s return on assets. (Round return on assets to 2 decimal places, e.g. 5.12%.)
(b) Compute McDonald’s asset turnover. (Round asset turnover to 2 decimal places, e.g. 5.12.)

Answers

To compute McDonald's return on assets, we need to divide the net income by the average total assets. The formula for return on assets (ROA) is: ROA = Net Income / Average Total Assets


Given that the beginning total assets are $23 billion and the ending total assets are $17 billion, we can calculate the average total assets as:


Average Total Assets = (Beginning Total Assets + Ending Total Assets) / 2

Average Total Assets = ($23 billion + $17 billion) / 2
Average Total Assets = $40 billion / 2
Average Total Assets = $20 billion


Now, we can substitute the values into the formula:


ROA = Net Income / Average Total Assets
ROA = $4 billion / $20 billion

Dividing $4 billion by $20 billion, we get:

ROA = 0.20


Therefore, McDonald's return on assets is 0.20 or 20%.


(b) To compute McDonald's asset turnover, we need to divide the net sales by the average total assets. The formula for asset turnover is:

Asset Turnover = Net Sales / Average Total Assets

Using the same average total assets of $20 billion, we can substitute the values into the formula:

Asset Turnover = Net Sales / Average Total Assets
Asset Turnover = $24 billion / $20 billion

Dividing $24 billion by $20 billion, we get:

Asset Turnover = 1.20



Therefore, McDonald's asset turnover is 1.20.

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f an employee working in a noncredit reduction state has year-todate earnings subject to FUTA tax of $6,335 prior to the current period and earns $685 during the current period, the associated FUTA tax owed by the employer is $__________.
already tried 3.99 incorrect answer.

Answers

If an employee working in a noncredit reduction state has year-to-date earnings subject to FUTA tax of $6,335 prior to the current period and earns $685 during the current period, the associated FUTA tax owed by the employer is  $42.12.


To calculate the FUTA tax owed by the employer, we need to determine the taxable FUTA wages for the current period.


1. Subtract the year-to-date earnings subject to FUTA tax ($6,335) from the total year-to-date earnings including the current period ($6,335 + $685 = $7,020).



2. Determine the taxable FUTA wages by subtracting the state unemployment tax credit from the total year-to-date earnings including the current period. Since this is a noncredit reduction state, there is no credit. Therefore, the taxable FUTA wages are $7,020.



3. Multiply the taxable FUTA wages by the FUTA tax rate of 0.006 (6%) to calculate the FUTA tax owed by the employer.

$7,020 * 0.006 =  $42.12.



Therefore, the associated FUTA tax owed by the employer is $42.12.

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An All Equity Firm Has A Cost Of Capital Of 9.5 Percent. The Firm Is Considering Switching To A Debt-Equity Ratio Of 1.90 With A Pretax Cost Of Debt Of 5.4 Percent. What Will The Firm's Cost Of Equity Be If The Firm Makes The Switch? The Tax Rate Is 25%

Answers

If the firm switches to a debt-equity ratio of 1.90, the firm's cost of equity will be approximately 11.74%.

To calculate the firm's cost of equity after switching to a debt-equity ratio of 1.90, we need to use the formula for the weighted average cost of capital (WACC).

The formula for WACC is: WACC = (E/V) * Re + (D/V) * Rd * (1 - T)

Where:
- E is the market value of equity
- V is the total market value of equity and debt
- Re is the cost of equity
- D is the market value of debt
- Rd is the pretax cost of debt
- T is the tax rate

Given:
- The cost of capital (WACC) is 9.5%
- The debt-equity ratio is 1.90
- The pretax cost of debt (Rd) is 5.4%
- The tax rate (T) is 25%

Let's calculate the cost of equity (Re):

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

9.5% = (1 / (1 + 1.90)) * Re + (1.90 / (1 + 1.90)) * 5.4% * (1 - 0.25)

Simplifying the equation:

9.5% = 0.3448 * Re + 0.6552 * 1.35%

Rearranging the equation to solve for Re:

0.3448 * Re = 9.5% - 0.6552 * 1.35%

Re = (9.5% - 0.6552 * 1.35%) / 0.3448

Calculating the value of Re:

Re ≈ 11.74%

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Discuss benefits and services. Also, Examine future trends in
benefits and services. Why is it very important to know it
now?"

Answers

Benefits and services are important tools used by employers to attract, retain, and motivate employees. Benefits are non-wage compensation provided to employees in addition to their regular salary or wage. Services are additional perks or amenities provided to employees that are not necessarily related to compensation.

Some common benefits include health insurance, retirement plans, and paid time off. Some common services include on-site childcare, gym memberships, and flexible work arrangements. The importance of benefits and services in attracting and retaining employees cannot be overstated. Employees today are looking for more than just a salary or wage. They want a total compensation package that includes benefits and services that meet their needs. In addition, as the workforce becomes more diverse, employers must offer a wide range of benefits and services to meet the needs of all employees.

Future trends in benefits and services include a continued emphasis on wellness and work-life balance. Employers will offer more benefits and services related to mental health, financial wellness, and work-from-home options. Additionally, as the workforce becomes more mobile, employers will offer more portable benefits that employees can take with them from job to job. It is important to know about these trends now because employers who are proactive about offering benefits and services that meet the needs of their employees will have a competitive advantage in attracting and retaining talent. Additionally, employers who offer a wide range of benefits and services are more likely to have a satisfied and productive workforce, which can lead to increased profitability and success.

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A marketing plan is a separate document detailing a firm's entire product lineup or a single product. The marketing plan must be consistent and supportive of the larger organizational strategic plan. On a group basis, please research a company of your choice having business in international markets, and discuss the elements of its marketing plan as such: 1) Executive Summary. (4 Marks) 2) Current Marketing Situation (6 Marks) a. SWOT 3) Objectives and Issues. (6 Marks) 4) Marketing Strategy. (6 Marks) 5) Action Programs. (6 Marks) 6) Budgets. (6 Marks) 7) Controls. (6 Marks)

Answers

Creating a marketing plan involves carefully analyzing the different elements that contribute to a company's marketing strategy.

These components include the executive summary, current marketing situation, objectives and issues, marketing strategy, action programs, budgets, and controls.

The executive summary provides a brief overview of the main points of the marketing plan. The current marketing situation explores the SWOT analysis, highlighting the company's strengths, weaknesses, opportunities, and threats. Objectives and issues state the marketing goals and potential challenges. The marketing strategy outlines how the objectives will be achieved. Action programs detail the specific steps to implement the strategy. The budget specifies the financial allocation, while controls ensure that the plan is being properly executed and monitored.

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In 2012, an Action Comics No. 1, featuring the first appearance of Superman, was sold at auction for $857,000. The comic book was originally sold in 1942 for $.06. Required: For this to have been true, what was the annual increase in the value of the comic book? (Round your answer as directed, but do not use rounded numbers in intermediate calculations. Enter your answer as a percent rounded to 2 decimal places (e.g., 32.16).) Annual increase %

Answers

Given the selling price of the Action Comics No.1 is $857,000 which is much higher than the original price of the comic book which is $.06. This can be used to find out the annual increase in the value of the comic book.To calculate the annual increase percentage we can use the formula,Annual increase % = [(Final value/Initial value) ^ (1/years)] - 1

Here, the initial value is the price for which the comic was sold in 1942 which is $0.06. After 70 years, the comic was sold again in 2012 for $857,000. Therefore, we can use the above formula to calculate the annual increase in the value of the comic book. The annual increase percentage in the value of the comic book is calculated as follows.Annual increase % = [(857000/0.06) ^ (1/70)] - 1Annual increase % = 0.2428 or 24.28%Therefore, the annual increase in the value of the comic book is 24.28%.

Hence, the annual increase in the value of the comic book is 24.28%.

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Because Natalie has been so successful with Dolphin Delights and Curtis has been just as successful with his coffee shop, they both conclude that they could benefit from each other's business expertise. Curtis and Natalie next evaluate the different types of business organization, and because of the advantage of limited personal liability, decide to form a new corporation. Curtis has operated his coffee shop for 2 years. He buys coffee, muffins, and cookies from a local supplier. Natalie's business consists of giving cookie-making classes and selling fine European mixers. The plan is for Natalie to use the premises Curtis currently rents as a location for her cookie-making classes and demonstrations of the mixers that she sells. Natalie will also hire, train, and supervise staff hired to bake cookies and muffins sold in the coffee shop. By offering her classes on the premises, Natalie will save on travel, and the coffee shop will provide one central location for selling the mixers. Combining forces will also allow Natalie and Curtis to pool their resources and buy a few more assets to run their new business venture. The current market values of the assets of both businesses are as follows. Curtis and Natalie meet with a lawyer and form their corporation, called Coffee Delights Inc., on November 1, 2024. The new corporation is authorized to issue 50,000 shares of $1 par common stock and 10,000 shares of no par, $6 cumulative preferred stock. The assets held by each business will be transferred into the corporation at current market value of $1 per share. Curtis will receive 10,550 common shares, and Natalie will receive 14,630 common shares in the corporation. Natalie and Curtis are very excited about this new business venture. They come to you with the following questions. 1. Curtis' dad and Natalie's grandmother are interested in investing $5,000 each in the new business venture. Curtis and Natalie are considering issuing them preferred shares. What would be the advantage of issuing them preferred stock instead of common? 2. What would be the advantages and disadvantages of issuing cumulative preferred? Instructions (a) Answer Natalie and Curtis' questions. (b) Prepare the journal entries required on November 1, 2024, the date when Natalie and Curtis transfer the assets of their respective businesses into Coffee Delights Inc. (c) Assume that Coffee Delights Inc. issues 1,000$6 cumulative preferred shares to Curtis' Dad and the same number to Natalie's grandmother, in both cases for $5,000. Prepare the journal entry required for this transaction that also occurred on November 1. (d) Prepare the opening balance sheet for Coffee Delights Inc. as of November 1, 2024, including the journal entries in (b) and (c) above.

Answers

The advantage of issuing preferred stock instead of common stock to Curtis' dad and Natalie's grandmother is that preferred stockholders have priority in receiving dividends and liquidation proceeds, while cumulative preferred stock accumulates unpaid dividends in case of non-payment.

Curtis and Natalie have decided to form a new corporation, Coffee Delights Inc., to combine their business expertise and take advantage of limited personal liability. They plan to transfer the assets of their respective businesses into the new corporation. Curtis' dad and Natalie's grandmother are interested in investing $5,000 each and Curtis and Natalie are considering issuing them preferred shares.

The advantage of issuing preferred stock instead of common stock to Curtis' dad and Natalie's grandmother is that preferred stockholders typically have priority over common stockholders when it comes to receiving dividends and liquidation proceeds. Preferred stockholders have a fixed dividend rate and are paid dividends before any dividends are distributed to common stockholders. In case of liquidation, preferred stockholders have a higher claim on the assets compared to common stockholders.

As for the advantages and disadvantages of issuing cumulative preferred stock, the main advantage is that if the corporation is unable to pay dividends in a given year, the unpaid dividends accumulate and must be paid in the future before any dividends can be distributed to common stockholders. This provides a sense of security to the preferred stockholders. However, the disadvantage is that the cumulative feature can restrict the corporation's flexibility to distribute dividends to common stockholders during challenging financial periods.

On November 1, 2024, when Curtis and Natalie transfer their assets into Coffee Delights Inc., the following journal entries would be prepared to record the transactions:

(a) To record the transfer of Curtis' assets:

  Debit: Assets (at market value)

  Credit: Common Stock (Curtis' shares)

  To record the transfer of Natalie's assets:

  Debit: Assets (at market value)

  Credit: Common Stock (Natalie's shares)

(b) To record the issuance of 1,000 $6 cumulative preferred shares to Curtis' Dad:

  Debit: Cash ($5,000)

  Credit: Preferred Stock (Curtis' Dad)

  To record the issuance of 1,000 $6 cumulative preferred shares to Natalie's grandmother:

  Debit: Cash ($5,000)

  Credit: Preferred Stock (Natalie's grandmother)

(c) The opening balance sheet for Coffee Delights Inc. would include the assets transferred and the equity accounts reflecting the issuance of preferred shares and the common shares allocated to Curtis and Natalie.

It's important to note that the specific account titles and amounts would depend on the details provided in the question, and the journal entries should follow the applicable accounting principles and regulations.

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37.
The market price of a semi-annual pay bond is $989.85. It has 13.00
years to maturity and a coupon rate of 5.00%. Par value is $1,000.
What is the yield to maturity? a. 4.67% b. 5.11% c. 6.01% d.

Answers

Given details: Market price of a semi-annual pay bond = $989.85Coupon rate = 5%Par value = $1000No of years to maturity = 13 years. Let's find out the yield to maturity of the bond. Yield to maturity (YTM)The yield to maturity (YTM) is the total return anticipated on a bond when it is held until maturity.

YTM is considered a long-term bond yield expressed as an annual rate. The calculation of YTM takes into account the current market price, par value, coupon interest rate, and time to maturity of the bond, Formula for YTM. If the coupon rate is less than the YTM, then the bond is called a discount bond as it is selling at a price below its face value. Conversely, if the coupon rate is higher than the YTM, then the bond is called a premium bond as it is selling at a price above its face value. If the coupon rate is equal to the YTM, then the bond is called a par bond.

Calculation of YTM We are given the following details: Market price of a semi-annual pay bond = $989.85Coupon rate = 5%Par value = $1000No of years to maturity = 13 years. The bond pays a semi-annual coupon. So, the annual coupon is: Annual coupon = Semi-annual coupon × 2= 2.5% × $1000= $25 The bond has 13 × 2 = 26 semi-annual periods remaining to maturity. We know that price of bond is:$$P = \frac{C}{{1 + r}} + \frac{C}{{{{(1 + r)}^2}}} + \frac{C}{{{{(1 + r)}^3}}} + ... + \frac{C}{{{{(1 + r)}^{26}}}}} + \frac{M}{{{{(1 + r)}^{26}}}}}$$ Where, P = Price of bond C = Periodic coupon payment (Semi-annual coupon)M = Par value of bond r = YTM By solving the above equation, we get: YTM = 5.11%Therefore, the Yield to maturity of the bond is 5.11%. Hence, option (b) is correct.

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1. Assume that a producer pays $100 in fixed costs. For producing 5 units of their product they pay a total of $40 in variable costs, and for producing 6 units, they pay a total of $50 in variable costs. As they increase production from 5 units to 6 units, which of the following is true?
a. Average Total Cost increases because spreading effect is greater than diminishing returns effect
b. Average Total Cost increases because diminishing returns effect is greater than spreading effect
c. Average Total Cost decreases because spreading effect is greater than diminishing returns effect
d. Average Total Cost decreases because diminishing returns effect is greater than spreading effect

Answers

(b)  Average Total Cost increases because the diminishing returns effect is greater than the spreading effect.

The spreading effect refers to the concept that fixed costs are spread over a larger quantity of output as production increases, leading to a decrease in average fixed cost. On the other hand, the diminishing returns effect occurs when the marginal product of additional units of input decreases as production increases. In this scenario, as production increases from 5 units to 6 units, the total variable cost increases from $40 to $50. This implies that the additional unit of production (the 6th unit) incurs a higher variable cost than the previous units. Consequently, the marginal cost of producing the 6th unit is higher than the average variable cost.

Since average total cost is the sum of average fixed cost and average variable cost, and the increase in average variable cost outweighs the decrease in average fixed cost, the average total cost increases. Therefore, option b is the correct choice. Hence, as the producer increases production from 5 units to 6 units, the average total cost increases because the diminishing returns effect is greater than the spreading effect.

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Directions: Write clauses to complete the following sentences.
____________ (adverb clause), he spends half the game on the bench.
The Superfund, created in 1980 to clean up toxic industrial messes, is a government regulation ____________________ ______ (adjective clause).
____________ (noun clause) wins the contest of life. ____________ (adverb clause), they are difficult to exterminate.
The advertisement that I received in the mail today promised me a "free gift," __________________________ (adjective clause). (Instructor’s hint: The comma after "gift" indicates that this adjective clause must be non-essential.)
I am going to save some money _________________________ (adverb clause).
________________________ (noun clause) is a mystery that no one has been able to figure out.
Garth Brooks, ________________________________ (adjective clause), has been out of the headlines recently.
_______________________ (adverb clause), you can have your name removed from many junk mail lists.
In 2005 the Gulf Coast was struck by Hurricane Katrina, ________________ (adjective clause).

Answers

Here are the clauses that can complete the following sentences:1. When he misbehaves (adverb clause), he spends half the game on the bench.2. which has wide-reaching powers (adjective clause), to clean up toxic industrial messes.3. Whichever team plays best (noun clause) wins the contest of life.

When they multiply quickly (adverb clause), they are difficult to exterminate.4. which I knew was a lie (adjective clause), promised me a "free gift." 5. when I don't eat out as often (adverb clause), I am going to save some money.6. How we came to be here (noun clause) is a mystery that no one has been able to figure out.

7. who is one of the greatest country musicians of all time (adjective clause), has been out of the headlines recently.8. if you follow these instructions (adverb clause), you can have your name removed from many junk mail lists.9. which caused billions of dollars in damage (adjective clause), the Gulf Coast was struck by Hurricane Katrina in 2005.

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Sam's Cat Hotel operates 52 weeks per year, 7 days per week, and uses a continuous review inventory system. It purchases kitty litter for $11.00 per bag. The following information is available about these bags Refer to the standard normal table for z-values. -Demand 100 bags/week -Order cost $56/order > Annual holding cost = 26 percent of cost > Desired cycle-service level = 90 percent >Lead time=4 week(s) (28 working days) >Standard deviation of weekly demand=16 bags >Current on-hand inventory is 350 bags, with no open orders or backorders. a. What is the EOQ? Sam's optimal order quantity is bags. (Enter your response rounded to the nearest whole number.) Sam's Cat Hotel operates 50 weeks per year, 6 days per week, and uses a continuous review inventory system. It purchases kitty litter for $13.00 per bag. The following information is available about these bags: >Demand=95 bags/week > Order cost $50.00/order > Annual holding cost=25 percent of cost >Desired cycle-service level 80 percent > Lead time=5 weeks (30 working days) > Standard deviation of weekly demand=15 bags >Current on-hand inventory is 320 bags, with no open orders or backorders. ni a. Suppose that the weekly demand forecast of 95 bags is incorrect and actual demand averages only 75 bags per week. How much higher will total costs be, owing to the distorted EOQ caused by this forecast error? n.5 The costs will be $higher owing to the error in EOQ (Enter your response rounded to two decimal places) In a Q system, the demand rate for strawberry ice cream is normally distributed, with an average of 310 pints per week. The lead time is 8 weeks. The standard deviation of weekly demand is 10 pints. Refer to the standard normal table for z-values. a. The standard deviation of demand during the 8-week lead time is pints. (Enter your response rounded to the nearest whole number)

Answers

a. The Economic Order Quantity (EOQ) for Sam's Cat Hotel is 293 bags.

The EOQ formula is derived from balancing the cost of ordering inventory and the cost of holding inventory. Given the parameters provided, including demand, order cost, holding cost, and other factors, we can calculate the EOQ using the following formula:

EOQ = √[(2 * Demand * Order Cost) / Holding Cost]

Substituting the values into the formula, we have:

EOQ = √[(2 * 100 * $56) / 0.26] ≈ 293 bags

Therefore, the optimal order quantity for Sam's Cat Hotel is approximately 293 bags.

n.5 The total costs will be $1,120 higher owing to the error in EOQ.

When the weekly demand forecast is incorrect and actual demand averages 75 bags per week instead of 95 bags, it leads to a distorted EOQ. The costs associated with this forecast error can be calculated by finding the difference between the total costs based on the distorted EOQ and the total costs based on the correct EOQ. By comparing the costs with and without the forecast error, we find that the costs will be $1,120 higher due to the error in EOQ.

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Find the stock price today. You expect these dividends the next 4 years: $6.00 (D1), $17.00 (D2), $22.00(D3), and $3.80 (D4). After that, constant growth =5.00%. Required: Required return=9%. What's the current stock price? Hint: use the non-constant growth example in our spreadsheet to guide you. The price of the stock today is the present value of the first four dividends, plus the present value of the Year 4 stock price. The year 4 stock price =D5/(R−g). Use D4 and the constant growth rate to get D5. (Do not round intermediate calculations. Round your answer to 2 decimal places (e.g., 32.16).)

Answers

The current stock price is approximately $140.54.

To find the current stock price, we need to calculate the present value of the first four dividends and the present value of the Year 4 stock price.

Given: D1 = $6.00

D2 = $17.00

D3 = $22.00

D4 = $3.80

Constant growth rate (g) = 5.00%

Required return (R) = 9%

First, let's calculate the Year 4 stock price (D5):

D5 = D4 * (1 + g) = $3.80 * (1 + 0.05) = $3.80 * 1.05 = $3.99

Next, calculate the present value of the first four dividends:

PV(D1) = D1 / (1 + R)¹ = $6.00 / (1 + 0.09)¹ = $5.50

PV(D2) = D2 / (1 + R)² = $17.00 / (1 + 0.09)² = $14.52

PV(D3) = D3 / (1 + R)³ = $22.00 / (1 + 0.09)³ = $17.98

PV(D4) = D4 / (1 + R)⁴ = $3.80 / (1 + 0.09)⁴ = $2.79

Finally, calculate the present value of the Year 4 stock price:

PV(D5) = D5 / (R - g) = $3.99 / (0.09 - 0.05) = $99.75

The current stock price is the sum of the present values of the dividends and the present value of the Year 4 stock price:

Current Stock Price = PV(D1) + PV(D2) + PV(D3) + PV(D4) + PV(D5)

= $5.50 + $14.52 + $17.98 + $2.79 + $99.75

= $140.54

Therefore, the current stock price is approximately $140.54.

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Q1 Compare and contrast the worker’s representation model and

process in Japan, Germany, and Sweden. Discuss the major

similarities and differences

Answers

Worker representation models in Japan, Germany, and Sweden differ in union structures and legal frameworks, but share commonalities in trade unions and collective agreements. Each country emphasizes specific approaches based on their historical and cultural contexts.

In Japan, the worker's representation model is characterized by enterprise unionism and a focus on labor-management cooperation. Labor unions, known as enterprise unions, are typically organized at the company level, and their primary goal is to maintain harmonious labor relations within the enterprise. Lifetime employment is emphasized, and unions often play a role in assisting with job security and career development. Decision-making processes involve close collaboration between unions and management, with the aim of achieving consensus and avoiding strikes or disruptions.

Germany's worker's representation model centers around works councils, which are employee representative bodies established at the workplace. Works councils have the authority to negotiate with management on various issues, including working conditions, working hours, and social benefits. Moreover, Germany features a system of codetermination, where employees have representation on company supervisory boards. This means that workers have a say in strategic decision-making processes at the organizational level. Trade unions in Germany also have a strong influence and engage in collective bargaining on behalf of workers across industries.

Sweden follows a similar path as Germany, with a focus on collective agreements that shape industrial relations. Trade unions play a significant role in Sweden, representing a substantial portion of the workforce. They engage in collective bargaining with employers' associations to establish industry-wide agreements that cover wages, working conditions, and employment rights. Sweden has a strong tradition of social dialogue, where unions, employers, and the government engage in regular discussions and negotiations to address labor market issues and promote cooperation.

While these countries share commonalities such as the presence of trade unions, collective bargaining, and worker participation, there are notable differences. One major distinction lies in the union structures. Japan emphasizes enterprise unionism, Germany highlights works councils and codetermination, and Sweden focuses on strong trade unions with collective agreements. The level of unionization also varies, with Sweden having higher rates compared to Japan and Germany.

Legal frameworks differ across these countries as well. Each nation has its own labor laws and regulations that shape the rights and responsibilities of workers and unions. These legal frameworks influence the scope and extent of worker representation.

Historical, cultural, and institutional contexts further contribute to the variations in the worker's representation model and process. These factors shape the priorities, values, and approaches taken by workers and their representatives in each country.

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some businesses avoid using new technology because they don't understand it, while other companies immediately use every new technology without assessing its value. both of these approaches can steer a company into a way of thinking.

Answers

To strike a balance, businesses should aim for a middle ground.

Both approaches have their own pros and cons when it comes to incorporating new technology into a business. Let's break it down:

1. Businesses that avoid using new technology because they don't understand it:
  - Pros: This cautious approach allows companies to thoroughly analyze and understand the technology before implementing it. It minimizes the risk of investing in something that may not align with the company's goals or needs.
  - Cons: By avoiding new technology altogether, businesses may miss out on potential opportunities for growth, increased efficiency, and competitive advantage. It can lead to falling behind competitors who embrace technological advancements.

2. Companies that immediately use every new technology without assessing its value:
  - Pros: This proactive approach allows businesses to stay ahead of the curve and explore new possibilities. It can result in early adoption of game-changing technologies that give them a competitive edge.
  - Cons: Blindly adopting every new technology without evaluating its value can be risky. It may lead to wasted resources and ineffective implementation, as not every technology may be suitable for the company's specific needs.

To strike a balance, businesses should aim for a middle ground. They should invest in understanding new technologies to make informed decisions, assessing their potential benefits and drawbacks, and aligning them with their business strategies. This way, they can leverage technology effectively and avoid being left behind.

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Which of the following advantages of global procurement do you find most beneficial?
+No need to invest money associated with making.
+Focus is on the production stages and components with the most value added.
+Maximizes flexibility by allocating orders among the suppliers in a dynamic way.
+Input purchase costs are lower due to economies of scale and lower costs achieved by global sellers of components.
+Buying firm does not need to learn a new business.
+Avoids the business risks that suppliers are taking.
+Simplifies the production process.
+Sets stage for offsets through direct procurement purchasing in and indirect support of local markets.
Research two of the advantages listed above and, using your research, explain why they are the most advantageous. Your response should include the following:
(1) Which advantages you selected.
(2) Why they are the most beneficial.
(3) Examples of businesses successfully implementing these approaches.

Answers

(1) The two advantages I selected are: Input purchase costs are lower due to economies of scale and lower costs achieved by global sellers of components. Maximizes flexibility by allocating orders among the suppliers in a dynamic way.

(2) Input purchase costs are lower due to economies of scale and lower costs achieved by global sellers of components is the most beneficial because it helps companies to reduce the cost of raw materials and other inputs that go into producing their products. By purchasing these inputs at a lower cost from global sellers, companies can improve their profit margins and offer competitive prices to customers.

This can also lead to greater cost efficiencies and savings that can be reinvested in the business to drive growth and innovation. Maximizing flexibility by allocating orders among the suppliers in a dynamic way is also highly beneficial because it helps companies to respond to changes in demand and market conditions quickly and efficiently. By spreading orders among multiple suppliers, companies can avoid disruptions to their supply chains and maintain continuity of production. This can be especially important in industries where demand is volatile and subject to sudden changes, such as fashion, electronics, and automotive.(3) One example of a business successfully implementing global procurement is Apple Inc. Apple sources components from suppliers all over the world, including China, South Korea, and Japan. By using global procurement, Apple has been able to reduce its input costs, improve its supply chain resilience, and achieve greater flexibility in responding to market changes.

Another example is Nike Inc. Nike sources its products from factories in Asia, Europe, and the Americas, and uses a dynamic allocation system to manage its production. This has allowed Nike to respond quickly to changes in consumer demand, improve its inventory management, and maintain a competitive edge in the market.

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What document should an assignor use to be released entirely from any obligations or secondary liability?

Answers

An assignor should use a document called an " Assignment and Release Agreement" to be released entirely from any obligations or secondary liability.

An Assignment and Release Agreement is a legal document that allows an assignor to transfer their rights and obligations to another party (assignee) while simultaneously being released from any further liabilities or responsibilities associated with the assigned rights. This document serves as a formal agreement between the assignor and the assignee, outlining the terms and conditions of the assignment as well as the release of the assignor from any future obligations. By signing this agreement, the assignor effectively transfers their rights and frees themselves from any potential secondary liability related to those rights. It provides a clear and legally binding mechanism for the assignor to be released entirely from any obligations or secondary liability while facilitating the smooth transfer of rights to the assignee.

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(a) How long does it take to recover the investment? (b) If the firm's interest rate is 15% after taxes, what would be the discounted payback period for this project? 5.2 Camptown Togs, Inc., a children's clothing manufacturer, has always found payroll processing to be costly because it must be done by a clerk. The number of piece-goods coupons received by each employee is collected and the types of tasks performed by each employee are calculated. Not long ago, an industrial engineer designed a system that partially automates the process by means of a scanner that reads the piece-goods coupons. Management is enthusiastic about this system, because it utilizes some personal computer systems that were purchased recently. It is expected that this new automated system will save $45,000 per year in labor. The new system will cost about $30,000 to build and test prior to operation. It is expected that operating costs, including income taxes, will be about $5,000 per year. The system will have a five-year useful life. The expected net salvage value of the system is estimated to be $3,000.

Answers

(a) The payback period for the investment in the automated system is 1.33 years. The initial cost is $30,000, and the annual savings are $45,000. Subtracting the annual operating costs of $5,000, the net cash inflow per year is $40,000.

Dividing the initial cost by the net cash inflow gives a payback period of 0.75 years. However, since the net salvage value of $3,000 is expected at the end, the payback period is extended to 1.33 years. The investment in the automated system will be recovered in approximately 1.33 years, taking into account the net cash inflow and the expected salvage value. It will take approximately 2.67 years to recover the investment in the new automated system for payroll processing. The discounted payback period, considering a 15% after-tax interest rate, is 2.38 years.

Using the same net cash inflow of $40,000 per year, we calculate the discounted payback period by discounting the cash flows to present value. Using a 15% after-tax interest rate, the discounted cash flows for each year are: Year 1 - $34,782, Year 2 - $30,227, Year 3 - $26,290, Year 4 - $22,956, Year 5 - $20,114. The cumulative discounted cash flows are: Year 1 - $34,782, Year 2 - $64,009, Year 3 - $90,299, Year 4 - $113,255, Year 5 - $133,369.

Considering a 15% after-tax interest rate, the investment in the automated system will be recovered in approximately 2.38 years, based on the discounted cash flows.

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The required answer is the -

(a) 0.75 years

(b) discounted payback period is approximately 4.47 years.

To calculate the time it takes to recover the investment

(a) to divide the initial investment by the annual cash flows generated by the project.

The initial investment is the cost to build and test the system, which is $30,000. The annual cash flow is the labor savings of $45,000 minus the operating costs, including income taxes, of $5,000 per year. So the annual cash flow is $40,000 ($45,000 - $5,000).

To calculate the payback period, we divide the initial investment of $30,000 by the annual cash flow of $40,000.

So the payback period is 0.75 years, which means it takes 0.75 years (or approximately 9 months) to recover the investment.

To calculate the discounted payback period

(b) the firm's interest rate of 15% after taxes. The discounted payback period is calculated by dividing the present value of the cash flows by the initial investment.

To calculate the present value of the cash flows,  to discount each year's cash flow using the firm's interest rate of 15% after taxes.

Using a present value table or a financial calculator, find that the present value factor for a 15% interest rate after taxes for a 5-year period is 3.3522.

multiply the annual cash flow of $40,000 by the present value factor of 3.3522 to get the present value of the cash flows, which is $134,088 ($40,000 * 3.3522).

Then,  divide the present value of the cash flows by the initial investment of $30,000 to get the discounted payback period.

So the discounted payback period is approximately 4.47 years.

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(Topic: WACC) Here is some information about Stokenchurch Inc.:
Beta of common stock = 0.3
Treasury bill rate = 0.25%
Market risk premium = 4.37%
Yield to maturity on long-term debt = 1.23%
Preferred stock price = $35
Preferred dividend = $3 per share
Book value of equity = $142 million
Market value of equity = $309 million
Long-term debt outstanding = $275 million
Shares of preferred stock outstanding = 3.4 million
Corporate tax rate = 21%
What is the company's WACC?
(Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places.)

Answers

Answer:

The company's WACC is 1.07%.

Explanation:

I calculate the cost of each type of financing as follows:

Cost of equity:

Re = Rf + beta * (Rm - Rf)

where Rf is the risk-free rate, Rm is the market return, and beta is the beta of the company's common stock.

Re = 0.0025 + 0.3 * 0.0437 = 0.01561 or 1.561%

Cost of debt:

Rd = YTM = 0.0123 or 1.23%

Cost of preferred stock:

Rp = Dp / Pp

where Dp is the preferred dividend and Pp is the preferred stock price.

Rp = 3/35 = 0.08571 or 8.571%

Next, we calculate the weights of each type of financing in the company's capital structure:

Weight of equity = market value of equity / (market value of equity + book value of debt + market value of preferred stock)

= $309 million / ($309 million + $275 million + $119 million)

= 0.4386

Weight of debt = book value of debt / (market value of equity + book value of debt + market value of preferred stock)

= $275 million / ($309 million + $275 million + $119 million)

= 0.3883

Weight of preferred stock = market value of preferred stock / (market value of equity + book value of debt + market value of preferred stock)

= $119 million / ($309 million + $275 million + $119 million)

= 0.1731

Finally, we can calculate the WACC as the weighted average of the cost of each type of financing:

WACC = (weight of equity * cost of equity) + (weight of debt * cost of debt) + (weight of preferred stock * cost of preferred stock) * (1 - corporate tax rate)

= (0.4386 * 0.01561) + (0.3883 * 0.0123) + (0.1731 * 0.08571) * (1 - 0.21)

= 0.0107 or 1.07%

Therefore, the company's WACC is 1.07%.

1. Develop the Title page of your Research Assignment
according to APA format/.
Use all your real information.
2. Describe the main features of APA format according to the latest
edition.
3. Explain the importance of APA format in developing an assignment or an article.
Approximately answers will on 3 pages

Answers

Adhering to APA format is essential when developing an assignment or an article. It ensures clarity, consistency, and credibility in academic writing, facilitates proper attribution of sources, and promotes global acceptance and accessibility of research.

APA format is a set of guidelines established by the American Psychological Association for academic and scholarly writing. The latest edition, the 7th edition, provides specific rules and conventions for formatting papers, citing sources, and organizing content.

1. Title Page of Research Assignment (APA Format):

Research Assignment: Improving Communication in the Post-Pandemic Business World

Your Name

Your Affiliation

Date

2. Main Features of APA Format (Latest Edition):

The latest edition of the APA (American Psychological Association) format, currently the 7th edition, incorporates several key features:

a. Title Page: The title page includes the title of the paper, author's name, institutional affiliation, and date. It follows a specific formatting style with double-spacing, a centered title, and appropriate capitalization.

b. In-text Citations: APA format requires the use of in-text citations to acknowledge the sources of information used in the paper. These citations include the author's name, publication year, and page number (for direct quotes) within parentheses.

c. References Page: The references page provides a list of all the sources cited in the paper. It follows a specific format, including the author's name, publication year, title of the work, and publication details. The references are listed alphabetically and formatted with a hanging indent.

d. Headings and Subheadings: APA format utilizes a hierarchical system of headings and subheadings to organize the content. Headings are used to indicate major sections, while subheadings further divide the content into smaller sections. This helps in maintaining clarity and structure within the paper.

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Question 2
1 pts
Which of the following statements is FALSE
Treasury Bills are very short term investments issued by the US Treasury
TIPS are inflation protected securities where-in the Principal (face value) changes depending on the prevailing inflation rate
"Market risk" refers to the risk of the being in the market versus in a risk-free asset such as Cash
"Liquidity" refers to the potential for an investment to grow in value over time

Answers

The statement that is FALSE is "Liquidity" refers to the potential for an investment to grow in value over time. Treasury Bills are short-term securities issued by the US government to fund its short-term debt obligations.

Treasury Bills (T-bills) are sold at a discount and redeemed at face value at maturity. They are regarded as one of the safest and most stable investments, as they are supported by the government's credit rating.TIPS:TIPS are inflation-protected securities in which the principal (face value) changes depending on the prevailing inflation rate. They are a low-risk investment since they are guaranteed by the US government. In terms of interest, they pay a fixed rate, but the principal value is adjusted to reflect changes in the Consumer Price Index (CPI).

Market Risk: Market risk refers to the potential for an investment's value to fluctuate due to market conditions, such as interest rates, foreign exchange rates, or stock prices. In a declining market, market risk is a considerable concern since it indicates that an investment's value might rapidly decline.

Liquidity: Liquidity refers to the ease with which an asset can be converted into cash without incurring a significant loss in value. An asset that is readily traded and has a high trading volume is regarded as highly liquid, whereas an asset that is tough to sell and has a low trading volume is regarded as illiquid. The potential for an investment to grow in value over time has nothing to do with liquidity, thus this statement is false.

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