based on the information provided in the mini-case, which of the following best describes redbox? a. it is either a joint venture or a franchise agreement between outerwall and mcdonald's ventures, llc. b. it is a franchise agreement between outerwall and mcdonald's ventures, llc. c. it is a nonequity strategic alliance between outerwall and mcdonald's ventures, llc. d. it is either a joint venture or an equity strategic alliance between outerwall and mcdonald's ventures, llc.

Answers

Answer 1

Based on the information provided in the mini-case the following best describes Redbox it is a franchise agreement between the outer wall and McDonald's Ventures, LLC. option (B) is correct.

In any case, Redbox is returned. it's built its streaming activity. Furthermore, the organization's stock is somewhat mysteriously one of the most sultry on Money Road, while Netflix (NFLX) has dived. supplies of Redbox are up over 20% this year, roughly fifty five% inside the previous month, and very nearly 2 hundred% inside the past 90 days.

Redbox expresses that the circles are expected through the following day at 9 pm. For an individual picking the plate on Friday at 11:fifty nine PM, the circle could be expected on Saturday at nine PM when you consider that Saturday is the next day. For an individual who hangs tight for an additional 2 mins and chooses the circle on Saturday at 00:01 am. Therefore, option (B) is correct.

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Related Questions

when the expansion of an industry leads to higher input prices, that industry experiences responses a external diseconomies of scale.external diseconomies of scale. b internal diseconomies of scale.internal diseconomies of scale. c increasing returns.increasing returns. d diminishing returns.

Answers

The development of an industry prompts higher information costs, the business encounters reactions to external diseconomies of scale.

The option (A) is correct.

The extended interest for inputs that goes with the expansion in industry yield prompts higher info costs. Outer diseconomies insinuate factors that occur unchangeable as far as the affiliation might be concerned. For example, the close-by establishment could mean workers slow down in busy time gridlock or experience the evil impacts of train delays.

This could achieve staff to be late, focused, and subsequently, wasteful. Similarly, the extension of an industry leads to higher info value in the business experience outer diseconomies of scale.

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What ethical choices did dr muehlhoff make in his conversation with jenna hiller about the relevance of ethics to communication

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Dr. Muehlhoff made several ethical choices in his conversation with Jenna Hiller about the relevance of ethics to communication. Firstly, he chose to acknowledge the importance of ethical considerations in communication, emphasizing the impact that our words and actions can have on others. This shows a commitment to treating others with respect and integrity.

In Dr. Muehlhoff's conversation with Jenna Hiller about the relevance of ethics to communication, he made several ethical choices. These include:

1. Respect: Dr. Muehlhoff respected Jenna Hiller's perspective and allowed her to express her thoughts on the topic without interruption or condescension.

2. Active listening: He actively listened to Jenna's arguments and concerns, ensuring that he fully understood her point of view before responding.

3. Honesty: Dr. Muehlhoff provided honest feedback and shared his own thoughts on the relevance of ethics in communication, without trying to manipulate Jenna's opinion.

4. Open-mindedness: He remained open to considering Jenna's viewpoint, even if it may have differed from his own beliefs on the matter.

5. Fairness: Dr. Muehlhoff treated Jenna's opinions fairly and provided a balanced response, considering both the advantages and disadvantages of ethics in communication.

By demonstrating these ethical principles in his conversation with Jenna Hiller, Dr. Muehlhoff underscored the importance of ethics in effective communication.

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WTO)1. Why is it important to be familiar with the philosophy and provisions of the GATT?(NAFTA)2. If a certain course of action with respect to the environment is illegal in Canada but legal in Mexico, which domestic legal standard should a Canadian company follow when operating in Mexico? Why? Consider the legal, ethical and reputational consequences.(NAFTA)3. What is the significance of rules of origin? What is area treatment? Is it necessary for goods to be wholly obtained or produced in North America to qualify for area treatment? Explain.(EU and CETA)4. Explain some of the major concerns with the worldwide proliferation of free trade agreements (i.e. CETA, NAFTA, etc.)

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GATT helps in ensuring that countries adhere to its principles, such as non-discrimination, tariff reductions, and transparency, which ultimately fosters economic growth and development.

1. It is important to be familiar with the philosophy and provisions of the GATT because it provides a framework for international trade and promotes free trade among its members.



2. When operating in Mexico, a Canadian company should follow the domestic legal standard of Mexico. This is because they are bound by the legal jurisdiction of the country they are operating in. However, the company should also consider the ethical and reputational consequences of their actions.



3. The significance of rules of origin is to determine the country in which a product is considered to have originated for the purpose of international trade. Area treatment refers to preferential treatment given to goods originating from a specific region or group of countries.

It is not necessary for goods to be wholly obtained or produced in North America to qualify for area treatment. As long as the goods meet the criteria set by NAFTA's rules of origin, which may include substantial transformation or regional value content requirements, they can qualify for area treatment.



4. Some major concerns with the worldwide proliferation of free trade agreements, such as CETA and NAFTA, include potential negative impacts on domestic industries, environmental degradation, and labor rights violations. These agreements may lead to job losses in certain industries, as companies move production to countries with lower labor costs.

Additionally, the pursuit of free trade can sometimes lead to a race to the bottom in terms of environmental and labor standards, as countries try to attract investment by reducing regulations. These concerns highlight the need for effective and responsible governance in managing international trade.

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Mahrouq Technologies buys $13,431,550 of materials (net of discounts) on terms of 4/30, net 60, and it currently pays within 30 days and takes discounts. Mahrouq plans to expand, and this will require additional financing. If Mahrouq decides to forego discounts and thus to obtain additional credit from its suppliers, calculate the nominal cost of that credit

Answers

If Mahrouq decides to forego discounts and thus to obtain additional credit from its suppliers, then the nominal cost of that credit is 60.11%.

To calculate the nominal cost of credit for Mahrouq Technologies when they decide to forego discounts and obtain additional credit from suppliers, follow these steps:

1. Determine the discount percentage: In this case, the discount offered is 4% (4/100).

2. Calculate the amount of the discount: To find the amount of the discount, multiply the materials cost by the discount percentage.
  $13,431,550 × 0.04 = $537,262

3. Determine the net payable amount: Subtract the discount amount from the total materials cost.
  $13,431,550 - $537,262 = $12,894,288

4. Calculate the credit period: The credit period is the difference between the net terms and the discount period. In this case, it's 60 days (net 60) minus 30 days (4/30), which equals 30 days.

5. Determine the number of credit periods in a year: Divide 365 days by the credit period.
  365 days ÷ 30 days = 12.17 periods (rounded to two decimal places)

6. Calculate the nominal cost of credit: Use the following formula:
  Nominal cost of credit = (1 + discount percentage)^(number of credit periods) - 1
  (1 + 0.04)^12.17 - 1 ≈ 0.6011 or 60.11%

So, if Mahrouq Technologies decides to forego discounts and obtain additional credit from its suppliers, the nominal cost of that credit would be approximately 60.11%.

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Money earns ________

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Answer:

money earns mia kha... I mean. interest

1. Suppose a firm can hire workers for $40 per hour. The marginal product of the last worker hired is 80. This same firm can pay $60 to rent machines that do the same work as labor but at a higher rate of productivity. The marginal product of the last machine is 100. Is this firm at its cost-minimization combination of its inputs of labor and capital

Answers

No, this firm is not at its cost-minimization combination of its inputs of labor and capital.

The cost of hiring a worker is $40 per hour, while the cost of renting a machine is $60 per hour. The marginal product of the last worker hired is 80, while the marginal product of the last machine is 100. Since the cost of the machine is higher than the cost of labor but it produces more output, the firm should be using more machines and less labor in order to minimize its costs.

In this case, the cost of capital is higher than the cost of labor, but the marginal product of the machine is higher than the marginal product of the labor, which means that the firm would be able to achieve a lower cost by using machines instead of labor. Therefore, the firm is not at its cost-minimization combination of its inputs of labor and capital.

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A company reported the following information for Year 1:


Net income $34,000


Owner contribution 9,000


Deferred gain on a highly effective cash-flow hedge 8,000


Foreign currency translation gain 2,000


Prior service cost not recognized in net periodic pension cost 5,000


What is the amount of other comprehensive income for Year 1?


A) $43,000


B) $5,000


C) $14,000


D) $15,000

Answers

The amount of other comprehensive income for Year 1 can be calculated by adding up the deferred gain on a highly effective cash-flow hedge, foreign currency translation gain, and prior service cost not recognized in net periodic pension cost. Therefore, the amount of other comprehensive income for Year 1 would be $15,000 (8,000 + 2,000 + 5,000).

Net income and owner contribution do not contribute to other comprehensive income, as they are part of the company's overall financial performance for the year. Other comprehensive income includes gains and losses that are not part of the company's regular business operations, such as those resulting from changes in the value of investments or fluctuations in foreign currency exchange rates.

It's important to note that other comprehensive income is reported separately from net income on a company's financial statements. This is because it represents gains and losses that are not directly related to the company's ongoing operations and may not be reflective of its long-term financial health. However, it still provides valuable information to investors and stakeholders who are interested in understanding the full scope of a company's financial performance.

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A major equipment purchase is being considered by Metro Atlanta. The initial cost is determined to be $1,000,000. It is estimated that this new equipment will save $100,000 the first year and increase gradually by $50,000 every year for the next 6 years. MARR = 10%.



Required:


a. The payback period for this equipment purchase is:_______


b. The B/C ratio for this investment is:__________


c. The NFW of this investment is : __________


d. Tara invests $2,500 today and another $1,500 a year from now. Her investments starting year 2 keeps increasing by $100 every year for the next 10 years from today. She stops investing from year 1 1 until year 20. If she earns a rate of return of 7% on her investments, determine future worth of her investments 20 years from now?

Answers

a. To calculate the payback period, we need to find out how many years it takes for the total cash inflows to equal the initial investment.

Year 1 cash inflow: $100,000

Year 2 cash inflow: $150,000

Year 3 cash inflow: $200,000

Year 4 cash inflow: $250,000

Year 5 cash inflow: $300,000

Year 6 cash inflow: $350,000

Total cash inflows = $1,350,000

Payback period = $1,000,000 ÷ $100,000 = 10 years

b. To calculate the B/C ratio, we need to find the present value of all the cash inflows and divide it by the initial investment.

PV of Year 1 cash inflow: $100,000 ÷ (1 + 10%)^1 = $90,909.09

PV of Year 2 cash inflow: $150,000 ÷ (1 + 10%)^2 = $113,636.36

PV of Year 3 cash inflow: $200,000 ÷ (1 + 10%)^3 = $136,363.64

PV of Year 4 cash inflow: $250,000 ÷ (1 + 10%)^4 = $159,090.91

PV of Year 5 cash inflow: $300,000 ÷ (1 + 10%)^5 = $181,818.18

PV of Year 6 cash inflow: $350,000 ÷ (1 + 10%)^6 = $203,214.23

Total present value of cash inflows = $885,032.01

B/C ratio = Total present value of cash inflows ÷ Initial investment = $885,032.01 ÷ $1,000,000 = 0.885

c. To calculate the NFW, we need to find the present value of all cash inflows and subtract the initial investment.

Total present value of cash inflows:

PV of Year 1 cash inflow: $90,909.09

PV of Year 2 cash inflow: $113,636.36

PV of Year 3 cash inflow: $136,363.64

PV of Year 4 cash inflow: $159,090.91

PV of Year 5 cash inflow: $181,818.18

PV of Year 6 cash inflow: $203,214.23

Total present value of cash inflows = $885,032.01

NFW = Total present value of cash inflows - Initial investment = $885,032.01 - $1,000,000 = -$114,967.99 (negative NFW means the investment is not worthwhile)

d. To calculate the future worth of Tara's investments after 20 years, we need to find the present value of her investments today and then compound it for 20 years at a rate of 7%.

Present value of Tara's investments today:

Investment 1: $2,500

Investment 2: $1,500 ÷ (1 + 7%)^1 = $1,401.87

Investment 3: $1,600.87 ÷ (1 + 7%)^1 = $1,491.10

Investment 4: $1,700.97 ÷ (1 + 7%)^1 = $1,583.05

Investment 5: $1,802.12 ÷ (1 + 7%)^1 = $1,676.76

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compare two situations: year 1. real gdp increases, and at the same time, interest rates increase. year 2. real gdp increases, and at the same time, interest rates decrease. what is a possible explanation for the difference? select an answer and submit. for keyboard navigation, use the up/down arrow keys to select an answer. a an increase in the money supply may have caused the increase in gdp in year 1; a decrease in spending may have caused the increase in gdp in year 2. b an increase in spending may have caused the increase in gdp in year 1; an increase in the money supply may have caused the increase in gdp in year 2. c an increase in spending may have caused the increase in gdp in year 1; a decrease in spending caused the increase in gdp in year 2. d an increase in the money supply may have caused the increase in gdp in year 1 and the increase in gdp in year 2.

Answers

An increase in spending may have caused the increase in GDP in year 1; a decrease in spending caused the increase in GDP in year. (option c)

In the first scenario, an increase in GDP might have been caused by an increase in the money supply. This is because when there is more money in circulation, people tend to spend more, which can lead to an increase in GDP. However, when there is more money circulating in the economy, banks may increase interest rates to control inflation, which can discourage borrowing and spending.

In the second scenario, an increase in GDP might have been caused by a decrease in spending. This can happen when people and businesses become more cautious with their spending due to economic uncertainty, such as a recession. In response, the central bank may lower interest rates to encourage borrowing and spending, which can boost economic growth.

It's important to note that there are other factors that can affect GDP and interest rates, such as government policies and international trade. However, understanding the relationship between GDP and interest rates can help us make sense of how the economy works and how it affects our daily lives.

Hence the correct option is (c).

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Accounts receivable are reported in the current assets section of the balance sheet at:.

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Accounts receivable are reported in the current assets section of the balance sheet at their net realizable value (NRV). The net realizable value is the amount that the company expects to collect from its outstanding accounts receivable balances.

To arrive at the net realizable value, the company subtracts any estimated uncollectible amounts (i.e., bad debts) from the total accounts receivable balance.

This is done to reflect the fact that some customers may not pay their outstanding balances, and the company may have to write off these amounts as bad debt expenses.

For example, if a company has $100,000 in accounts receivable but estimates that $5,000 of these amounts will be uncollectible, the net realizable value would be $95,000 ($100,000 - $5,000). The company would report the accounts receivable on the balance sheet at this net realizable value.

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Required sales in dollars to meet a target net income is computed by dividing fixed costs plus target net income by contribution margin ratio. Total costs plus target net income by contribution margin ratio. Fixed costs plus target net income by unit contribution margin. Variable costs plus target net income by unit contribution margin

Answers

To calculate the required sales in dollars to meet a target net income, we need to use the formula of dividing fixed costs plus target net income by contribution margin ratio. Therefore, option A is the right one.

The contribution margin ratio is the difference between sales and variable costs and is expressed as a percentage of sales. It represents the amount of sales revenue that contributes towards covering fixed costs and generating net income.

For instance, if a company has fixed costs of $50,000 and a target net income of $20,000, and a contribution margin ratio of 30%, the required sales in dollars would be $233,333. This is calculated by dividing the sum of fixed costs and target net income ($70,000) by the contribution margin ratio (30%).

It's important to note that the contribution margin ratio can vary depending on the product or service being sold and the sales mix. Therefore, it's crucial for companies to understand their contribution margin ratios to determine the required sales to achieve their target net income.

In summary, to calculate the required sales in dollars to meet a target net income, we need to divide fixed costs plus target net income by contribution margin ratio. This formula helps businesses understand the minimum level of sales needed to cover their fixed costs and achieve their desired net income. Thus, formula in option A is the appropriate one.

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Born On The 4th Of Supply Industrial Goods paid a quarterly dividend of $3. 5 per share last quarter. Today, the company announced that future dividends will be increasing by 0. 6% quarterly. If you require a 8. 5% annual rate of return, how much, to the nearest cent, are you willing to pay to purchase one share of this stock today?

Answers

Based on the constant growth model, the value of one share of stock of Born On The 4th Of Supply Industrial Goods with a quarterly dividend of $3.5 and a 0.6% quarterly dividend increase, with an 8.5% annual rate of return requirement, would be $44.94.

To calculate the value of a share of stock using the dividend discount model, we can use the formula:

V = D / (r - g)

where:

V = the value of the stock

D = the expected future dividend

r = the required rate of return

g = the expected growth rate of the dividend

In this case, the current dividend is $3.5 per share, and the quarterly growth rate is 0.6%. We can convert this to an annual growth rate by multiplying by 4:

g = 4 * 0.6% = 2.4%

The required rate of return is 8.5%. We can convert this to a quarterly rate by dividing by 4:

r = 8.5% / 4 = 2.125%

Now we can use the formula to calculate the value of the stock:

V = $3.5 / (2.125% - 2.4%) = $3.5 / (-0.275%) = -$1,272.73

This negative value doesn't make sense, so we need to check our calculations. The problem is that the growth rate is higher than the required rate of return, which means the formula doesn't work in this case. When the growth rate is higher than the required rate of return, we need to use the constant growth model instead:

V = D1 / (r - g)

where:

D1 = the next expected dividend

g = the expected growth rate of the dividend

r = the required rate of return - the growth rate

To use this model, we need to calculate the next expected dividend. To do this, we can multiply the current dividend by (1 + g) to get the next quarter's dividend:

D1 = $3.5 * (1 + 0.6%) = $3.522

Now we can use the constant growth model to calculate the value of the stock:

V = $3.522 / (8.5% - 0.6%) = $44.94

Therefore, you would be willing to pay $44.94 to purchase one share of this stock today.

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if the company has no process to manage billing for products or services, it probably does not have a(n) policy.

Answers

If the company has no process to manage billing for products or services, it probably does not have an) purchasing policy. So the option D is correct.

A purchasing policy is a set of procedures and guidelines that an organization uses to purchase goods and services. It establishes rules, regulations, and procedures that must be followed when making purchases and defines who is authorized to make purchases, what type of purchases can be made, and how the purchases should be recorded and tracked.

Without a purchasing policy, an organization may have inconsistent or inadequate purchasing practices, which can lead to significant financial losses or fraud. A purchasing policy can also help ensure that the organization is compliant with applicable laws and regulations, as well as promoting ethical and responsible purchasing practices. So the option D is correct.

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The complete question is:

If the company has no process to manage billing for products or services, it probably does not have an) ___ policy.

A. credit

B. inventory

C. payables

D. purchasing

Imagine you have been hired as a consultant to support a firm that wishes to expand its operations internationally. your first assignment is to explain to the ceo and their staff the importance of understanding the difference between domestic expansion and international expansion. for your initial discussion post, consider the following questions as a basis to your explanation to the ceo:

a. why is foreign investment so different from domestic investment?
b. what should c-level executives consider in expanding internationally, as compared to domestically?
c. what types of risk mitigation techniques could you suggest to the executives so that the firm can be successful in the proposed expansion?

Answers

It is important to understand the differences between domestic and international expansion.

Foreign investment is different from domestic investment for several reasons. First and foremost, foreign investment involves entering into unfamiliar territory with different cultural, legal, and economic systems. These differences can impact everything from the availability of resources to the regulatory environment. Additionally, foreign investment may require a different approach to marketing and branding in order to appeal to new audiences.

When expanding internationally, c-level executives should consider a variety of factors that may not be relevant in domestic expansion. These may include factors such as political stability, currency fluctuations, language barriers, and the availability of skilled labor. Executives should also be prepared to navigate local laws and regulations that may differ significantly from those in their home country.

To mitigate the risks associated with international expansion, there are several techniques that executives can employ. These may include partnering with local firms or hiring local experts who can provide guidance on cultural norms and business practices. Executives may also consider investing in market research to better understand the needs and preferences of their target audience. Finally, it is important to maintain flexibility and adaptability, as unforeseen challenges may arise during the expansion process.

In conclusion, international expansion offers significant opportunities for growth and profitability, but it requires a different approach than domestic expansion. By understanding the unique challenges and risks associated with foreign investment, and employing appropriate risk mitigation techniques, your firm can successfully expand its operations internationally.

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Why are estimates of bad debts used to record uncollectible amounts of accounts receivable?.

Answers

The reason why estimates of bad debts used to record uncollectible amounts of accounts receivable is to avoids violating the expense recognition ("matching") principle.

What is the essence of estimate uncollectible accounts receivable?

There should be an estimate  since this estimate is usually recorded through an adjusting journal entry at year-end.

Bad debt  serve s as theloans or outstanding balances  which is been considered to be deems uncollectible as far a business is concered in a case whereby a business want ot provide loans and credit to customers, there could be a bad debt .

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Bob wants to sell his home and doesn’t want to pay a fee, but he realizes he might have more prospects if he uses a broker. Bob puts the following ad in the paper, "Large lot, 3 bedrooms, energy features, 121 Gilmore court – Broker’s welcome, will pay 3%. " If several brokers accept Bob’s offer and bring buyers through the property, what type of listing agreement might they have with Bob?

Answers

If several brokers accept Bob's offer and bring buyers through the property, they may have a non-exclusive listing agreement with Bob. In this type of agreement, Bob reserves the right to sell the property himself, without owing a commission to the broker. However, if the broker finds a buyer who ultimately purchases the property, they will be entitled to a commission of 3% as stated in the ad.

The non-exclusive listing agreement allows Bob to work with multiple brokers simultaneously, increasing the chances of finding a buyer. It also gives him the flexibility to sell the property on his own without any obligation to the broker.

It is important to note that in a non-exclusive listing agreement, the broker does not have an exclusive right to market the property, and the homeowner can work with other brokers or even sell the property on their own. The agreement typically outlines the responsibilities of both parties, including the marketing plan, showing arrangements, and commission structure.

In conclusion, by offering a commission to brokers in his ad, Bob is inviting them to bring potential buyers to his property. If a broker brings a buyer who purchases the property, they will be entitled to a commission under a non-exclusive listing agreement. This agreement provides flexibility for the homeowner while still giving the broker a chance to earn a commission.

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given a project's expected cash flows, it is easy to calculate its npv, irr, mirr, payback, and discounted payback. cash flows are estimated based on information from various sources. there is uncertainty in a project's forecasted cash flows, and some projects are more uncertain and thus riskier than others. the most critical step in capital budgeting analysis is -select- estimation. the key is to focus on only -select- . factors that complicate the analysis are sunk costs, opportunity costs, externalities, changes in net operating working capital, and salvage values. adjustments to the analysis must be made for -select- . we concentrate on expansion project analyses here but there are similarities when analyzing replacement projects. give the correct response to each of the following questions. which of the following items should be included in the capital budgeting analysis? -select- an outlay that was incurred in the past and cannot be recovered in the future regardless of whether the project under consideration is accepted is known as -select- . which of the following is an example of an opportunity cost? a. a publisher introduces a new textbook which reduces sales of one of their existing textbooks. b. a firm has land that can be used in building a new store. if the new store is not built, the firm could sell the land for $2 million (net of taxes). c. apple's investment in the itunes music store boosted sales of its ipod. d. the cost of a report done 2 years ago to investigate the potential of a new plant and the permits required to build it. e. statements a and d are both examples of opportunity costs. the correct response is -select- . which of the following is an example of cannibalization? a. a publisher introduces a new textbook which reduces sales of one of their existing textbooks. b. a firm has land that can be used in building a new store. if the new store is not built, the firm could sell the land for $2 million (net of taxes). c. apple's investment in the itunes music store boosted sales of its ipod. d. the cost of a report done 2 years ago to investigate the potential of a new plant and the permits required to build it. e. statements c and d are both examples of cannibalization. the correct response is -select- .

Answers

The most critical step in capital budgeting analysis is cash flow estimation. The correct option d. incremental cash flows.

This is because incremental cash flows represent the actual inflows and outflows of cash that will result from a project, and are therefore the most relevant and accurate measure of a project's financial impact. Incremental cash flows take into account only the cash flows that are directly attributable to the project, and exclude any cash flows that would occur regardless of whether the project is undertaken or not.

By focusing on incremental cash flows, analysts can accurately assess a project's profitability and risk, and make informed decisions about whether to undertake the project or not.

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Full Question: Given a project's expected cash flows, it is easy to calculate its NPV, IRR, MIRR, payback, and discounted payback. Cash flows are estimated based on information from various sources. There is uncertainty in a project's forecasted cash flows, and some projects are more uncertain and thus riskier than others. In this chapter, we illustrate how project cash flows are estimated, discuss techniques for measuring risk, and discuss how to choose between projects that have significantly different lives, are mutually exclusive, and can be repeated.

The most critical step in capital budgeting analysis is cash flow estimation.

The key is to focus on only

a. relevant

b. net income

c. incremental accounting income or

d. incremental cash flows.

3. Explain what Ross chose to do when his tour in New York came to an end

Answers

Ross chose to return to his hometown in Texas after his tour in New York came to an end.

He had been away from home for quite some time and was eager to be reunited with his family and friends.

Additionally, Ross had gained valuable experience during his time in New York and was excited to apply his new skills and knowledge to his work back home.

Ross was grateful for the opportunity to work in New York but ultimately decided that being close to his loved ones and continuing his career in Texas was the best decision for him.

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which of the following is true concerning monopoly? a a monopoly firm typically earns break-even long-run profits. b barriers to entry prevent other firms from entering the industry. c a monopolist is considered a price-taking firm. d a monopoly firm must accept the market price and has no ability to change it. e a monopoly firm has several close competitors in the market.

Answers

Barriers to entry prevent other firms from entering the industry is true concerning monopoly.

Barriers to entry prevent other firms from entering the industry. The correct answer is: B)

A monopoly is a market structure where a single firm has control over the supply of a particular product or service in a market, and there are no close competitors. In a monopoly, the firm has the ability to set prices and quantities of the product or service, and there are significant barriers to entry that prevent other firms from entering the market and competing with the monopoly. This lack of competition allows the monopoly firm to have significant market power and control over the market, leading to potential economic profits.

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Complete Question

Which of the following is true concerning monopoly?

A) A monopoly firm typically earns break-even long-run profits.

B) Barriers to entry prevent other firms from entering the industry.

C) A monopolist is considered a price-taking firm.

D) A monopoly firm must accept the market price and has no ability to change it.

E) A monopoly firm has several close competitors in the market.

machinery was purchased for $340,000 on january 1, 2022. freight charges amounted to $14,000 and there was a cost of $40,000 for building a foundation and installing the machinery. it is estimated that the machinery will have a $60,000 salvage value at the end of its 5-year useful life. what is the amount of accumulated depreciation at december 31, 2023 if the straight-line method of depreciation is used? question 7 options: $133,600. $66,800. $57,200. $114,400.

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To determine the accumulated depreciation at December 31, 2023, we need to calculate the annual depreciation expense first. The machinery cost $340,000 and has a $60,000 salvage value, which means the depreciable amount is $280,000 ($340,000 - $60,000).Since the useful life is 5 years,

the annual depreciation expense is $56,000 ($280,000 ÷ 5). Next, we need to determine the depreciation expense for 2022 and 2023. For 2022, the machinery was in use for the full year, so the depreciation expense is $56,000. For 2023, the machinery was in use for only one year, so the depreciation expense is also $56,000.

Therefore, the total accumulated depreciation at December 31, 2023 is $112,000 ($56,000 + $56,000). This represents the total depreciation that has been recorded on the machinery since its purchase on January 1, 2022. It's important to note that the cost of freight and building a foundation and installing the machinery are not included in the depreciable amount. These costs are considered to be part of the initial cost of the machinery and are not subject to depreciation.

In conclusion, the amount of accumulated depreciation at December 31, 2023, using the straight-line method of depreciation, is $112,000.

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Explain why a country would place a quota on certain imported goods. (site 1)

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A country may place a quota on certain imported goods for various reasons. One of the main reasons is to protect domestic industries from foreign competition.

When imports flood the domestic market, local industries may suffer due to the cheaper prices offered by foreign competitors. A quota can limit the amount of imports, ensuring that domestic industries have a chance to compete and survive.

Another reason why a country may place a quota on certain imported goods is to improve the balance of trade. By limiting imports, a country can reduce its trade deficit and ensure that it is exporting more than it is importing. This can help to strengthen the country's economy and create jobs for its citizens.

In addition, a quota can also be used to address national security concerns. Certain goods may be restricted due to their potential use in military or other sensitive applications. By limiting the amount of such goods that can be imported, a country can safeguard its national security interests.

Overall, a quota on certain imported goods can be seen as a protectionist measure designed to promote the interests of the domestic economy and society.

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When you give someone an estimate of how long it will take you to complete something, do you pad your estimate? Why or why not?Share a story about getting better at your job due to the learning curve?Are you a "top-down" big picture person, or a "bottom-up" detailed person? Give an example when you planned something.

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It depends on the person and their approach. Some individuals may pad their estimates to account for potential obstacles, while others may not.

About learning curve

Learning curve: Continuous learning and adaptation are essential for improvement in any job. For example, a person working in customer service may learn to handle difficult situations more effectively over time, resulting in better customer satisfaction.

Top-down vs. bottom-up

People can have different approaches to planning. A top-down planner focuses on the overall goal and then breaks it down into smaller tasks, while a bottom-up planner starts with the details and works their way up to the bigger picture.

For instance, a top-down planner might set the overall objective for a project and then outline the necessary steps to achieve it, whereas a bottom-up planner may start by listing all the individual tasks and then organizing them to form the complete plan.

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According to patrick dawson and andriopoulos (2017), the _____ factor refers to the past, present, and future in which an organization functions.

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According to Patrick Dawson and Andriopoulos (2017), the "temporal" factor refers to the past, present, and future in which an organization functions. Temporal factors can have a significant impact on an organization's success or failure. Understanding the past helps an organization learn from past mistakes and successes. Understanding the present involves assessing current internal and external factors that may impact the organization's performance, such as the economy, industry trends, and competition. Lastly, understanding the future involves forecasting and planning for potential future changes and challenges.

Focusing on the temporal factor can be useful for strategic planning and decision-making. By analyzing the past, present, and future, organizations can develop effective strategies to achieve their goals and remain competitive. For example, if an organization's past performance has been weak, they may need to restructure their operations, invest in employee training, or update their technology. If the current economic situation is uncertain, the organization may need to diversify its products or services to ensure stability. Additionally, if the organization predicts future changes in consumer behavior or technological advancements, they may need to invest in research and development to stay ahead of the curve.

Overall, understanding the temporal factor is crucial for any organization that wants to succeed in the long term. By analyzing the past, present, and future, organizations can adapt to changes and challenges and stay competitive in a constantly evolving business landscape.

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Forester company has five products in its inventory. information about the december 31, 2021, inventory follows. product quantity unitcost unitreplacementcost unitsellingpricea 800 $ 13 $ 15 $ 19 b 600 18 14 21 c 500 6 5 11 d 900 10 7 9 e 600 17 15 16 the cost to sell for each product consists of a 20 percent sales commission. the normal profit for each product is 30 percent of the selling price.required:1. determine the carrying value of inventory at december 31, 2021, assuming the lower of cost or market (lcm) rule is applied to individual products.2. determine the carrying value of inventory at december 31, 2021, assuming the lcm rule is applied to the entire inventory.3. assuming inventory write-downs are common for forester, record any necessary year-end adjusting entry based on the amount calculated in requirement 2.

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This adjustment will decrease the value of inventory on the balance sheet and increase the expense on the income statement, reducing the company's net income.

Based on the information provided, Forester company has five different products in its inventory, with varying quantities, unit costs, unit replacement costs, and unit selling prices. To calculate the carrying value of inventory at December 31, 2021, we need to apply the lower of cost or market (LCM) rule.

To answer the first question, we need to determine the carrying value of each product individually by comparing the unit cost to the unit replacement cost and choosing the lower value. We then multiply the resulting value by the quantity of each product to arrive at the carrying value. After calculating the carrying value for each product, we add them all up to get the total carrying value of the inventory.

To answer the second question, we need to apply the LCM rule to the entire inventory. This means we compare the total cost of the inventory to the total market value of the inventory and choose the lower value. We then subtract the result from the total cost of the inventory to arrive at the carrying value.

For the third question, assuming inventory write-downs are common for Forester, we need to record an adjusting entry to decrease the inventory value by the difference between the current carrying value and the LCM value.

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Please create a break-even analysis on a Spreadsheet for a theatrical production. Please advise how many tickets must be sold to break even and what are the variable costs for the production?500 seats in the theatreThere will be 3 shows: Two on Saturday and one on a Sunday afternoon.The ticket price is $35 per person.During the month of January, the company put on 6 shows total which were for two weekends.Here are all costs associated with the production for the month of January.Theatre rental- $3000 for all six shows for both weekendsAdvertising- $600 for all six shows on both weekendsSalary and payroll-$3000 for all six shows for both weekendsInsurance- $2000 for all six shows for both weekendsFood for Crew and Artists- $500 for all six shows for both weekendsCostume and Makeup- $1,000 for all six shows for both weekendsMiscellaneous-$200 for all six shows for both weekendsComputer and Video Equipment- $1000 for all six shows for both weekendsSet Design- $5000 for all six shows for both weekends which will last all year.Legal Expenses- $2000 for the month of January.Please use the break-even point formula: BEP = FC / (P - AVC)

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The break-even point for this theatrical production is 906 tickets (rounded up). This means that the company must sell at least 906 tickets to cover all fixed and variable costs.

To create a break-even analysis for this theatrical production, we first need to calculate the total fixed costs (FC) and the variable costs (AVC) per ticket sold. Total fixed costs for the month of January are:

Theatre rental: $3000
Advertising: $600
Salary and payroll: $3000
Insurance: $2000
Food for Crew and Artists: $500
Costume and Makeup: $1000
Miscellaneous: $200
Computer and Video Equipment: $1000
Set Design: $5000 (for the whole year but allocated to January's shows)
Legal Expenses: $2000

Total fixed costs = $19,300

Variable costs per ticket sold are:
Ticket price: $35
Total seats available: 500
Total tickets sold (assuming sold out shows): 500 x 3 = 1500
Variable costs per ticket: (Total fixed costs + Set Design) / Total tickets sold
Variable costs per ticket: ($19,300 + $5000) / 1500
Variable costs per ticket: $16.20

Now we can use the break-even point formula:
BEP = FC / (P - AVC)
BEP = $19,300 / ($35 - $16.20)
BEP = 905.14

Therefore, the break-even point for this theatrical production is 906 tickets (rounded up). This means that the company must sell at least 906 tickets to cover all fixed and variable costs. To calculate the variable costs for the production, we found that the variable cost per ticket is $16.20. This includes all costs associated with the production except for the fixed costs.

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An American deposits $10,000 in an account in a London bank. In the U. S. Balance of payments, this transaction causes the balance on the _____ account to _____.

financial; increase

financial; decrease

current; increase

current; decrease

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The correct answer is "financial; decrease" when considering the U.S. balance of payments. Thus option B is the answer.

Suppose, when an American deposits $10,000 in an account in a London bank, it is considered a financial transaction because it involves the transfer of funds between countries. This transaction represents an inflow of foreign investment into the United Kingdom, resulting in an increase in the financial account balance for the UK.

However, from the perspective of the U.S. balance of payments, the transaction causes a decrease in the financial account balance. This is because the deposit by the American in the London bank represents an outflow of financial capital from the U.S. to the UK.

The financial account measures the flow of financial capital between countries, and a deposit by an American in a London bank represents a decrease in the U.S. financial account balance. Therefore, the correct answer is "financial; decrease" when considering the U.S. balance of payments.

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A certain U. S. Government savings bond can be purchased for​ $7,500. This bond will be worth​ $10,000 when it matures in 5 years. As an​ alternative, a​ 60-month certificate of deposit​ (CD) can be purchased for​ $7,500 from a local​ bank, and the CD yields​ 6. 25% per year. Which is the better investment if your personal MARR is 5​% per​ year? Assume annual compounding for CD

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Savings bond, the present worth (PV) can be calculated using the formula:

PV = FV / (1 + i)^n

We can calculate the present worth of the savings bond as follows:

PV = $10,000 / (1 + 0.05) ^ 5

= $7,671.78

For the CD, we can use the formula for the future value (FV) of a lump sum investment with annual compounding:

Calculation of future value of the CD as follows:

FV = $7,500 × (1 + 0.0625) ^ 5

= $9,772.16

To calculate the present worth of the CD, we need to discount the future value back to the present value using the same formula as for the savings bond:

PV = $9,772.16 / (1 + 0.05) ^ 5

= $7,348.56

Comparing the two present worth values, we can see that the savings bond has a higher present worth, so it would be the better investment. Therefore, if your personal MARR is 5% per year, the U.S. Government savings bond would be the better investment compared to the 60-month CD offered by the local bank.

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(i) O Blinding Light Real Estate, Inc (OBL) and its cross-town competitor Holier Than Thou, Inc. (HTT), through its brokers, have agreed to not to take listings properties in certain zip codes and to only take listings in certain other upscale zip codes for not less than a commission of 6%. (ii) HTT has an internal office policy that all buyers must use Allie Boy Pest Control for Termite Inspections as a condition of using HTT’s services (iii) OBL has an internal office policy that all salespersons must charge a commission of 6% for all listings under $100,000.00. (iv) OBL is a member of the multiple list service (MLS) through the local realtor association. OBL and the other members of the MLS in the region refuse to share MLS listings with non-MLS-member brokers.(a) What, if any, prohibited conduct has occurred in the following? (3 sentences each or a short paragraph (including answer to subparts (a) and (b) of this question)(b) Does this any of this conduct have legal consequences? If so, what are the penalties?

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This conduct falls under the category of illegal prohibited conduct because it is an example of market allocation. It can be concluded that this agreement between two real estate companies and their agents is a violation of the antitrust law. 

On the other hand, the act of Holier Than Thou, Inc. (HTT) of having an internal office policy that all buyers must use Allie Boy Pest Control for Termite Inspections as a condition of using HTT’s services falls under the category of legal business behavior and does not pose any consequences. It is not considered as a violation of the antitrust law as it does not restrain trade or commerce. Similarly, OBL's internal office policy of charging a commission of 6% for all listings under $100,000.00 is also considered legal and does not pose any legal consequences. IN addition, OBL being a member of the multiple list service (MLS) through the local realtor association, and the refusal of OBL and other members of the MLS in the region to share MLS listings with non-MLS-member brokers is considered a prohibited conduct, as it violates the antitrust law. It is an agreement that restrains trade or commerce by refusing to provide information to non-members.

The companies and the persons involved in the illegal conduct may face civil and criminal penalties. The penalties may include jail terms, payment of fines, payment of treble damages, and other equitable remedies as per the law.

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what were the advantages and disadvantages to ikea of working collaboratively with other companies and ngos to improve sustainability in its cotton supply chain?

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Working cooperatively with other businesses and non-profit organisations for sustainability in the cotton supply chain for IKEA has benefits such as enhanced credibility, sharing of resources and experience, and potential cost savings.

What competitive advantage does IKEA's supply chain possess?

A crucial element of IKEA's supply chain strategy is its approach to international sourcing. This entails sourcing products from a variety of nations, including the US, Europe, and Asia. As a result, IKEA can access a wider variety of goods at reduced prices, which aids in its ability to compete in the retail industry.

Why does IKEA value sustainability?

Through cooperation with partners, coworkers, and other stakeholders, we are taking aggressive steps towards a more sustainable future to address the challenges of unsustainable consumerism, climate change, and increasing inequality.

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should tesla deliver cars to customers on a first come first served basis ( in order of when deposits were places)?

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In general, delivering cars to customers on a first-come, first-served basis (in order of when deposits were placed) is a fair and transparent approach that can help to manage customer expectations and build trust in Tesla.

Delivering cars to customers on a first-come, first-served basis (in order of when deposits were placed) is a fair and transparent approach for several reasons. First, it helps to ensure that the allocation of vehicles is done in a consistent and equitable manner, without any bias or preferential treatment towards certain customers.

This can help to build trust and loyalty among customers, who will feel that they are being treated fairly and given a fair chance to receive their order.Second, this approach can help to manage customer expectations, as customers will know where they stand in the delivery queue and will have a better idea of when they can expect to receive their car.

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The maximum capacity of the school is 732 students. At 12 PM, the number of students who heard the rumor is 227 and is increasing at a rate of 24 students per hour. Write a differential equation to describe the situation. dP/dt =?