Lakonishok Equipment has an investment opportunity in Europe. The project costs €15 million and is expected to produce cash flows of €2.9 million in Year 1, €3.5 million in Year 2, and €4 million in Year 3. The current spot exchange rate is 1.44€/$ and the current risk-free rate in the United States is 3.0 percent, compared to that in Europe of 2.5 percent. The appropriate discount rate for the project is estimated to be 12 percent, the U.S. cost of capital for the company. In addition, the subsidiary can be sold at the end of three years for an estimated €9.9 million. Use the exact form of interest rate parity in calculating the expected spot rates. What is the NPV of the project in U.S. dollars?

Answers

Answer 1

Lakonishok Equipment has an investment opportunity in Europe, which costs €15 million. This opportunity is expected to generate cash flows of €2.9 million in Year 1, €3.5 million in Year 2, and €4 million in Year 3.The current exchange rate is 1.44€/$, and the current risk-free rate in the United States is 3.0 percent, while the rate in Europe is 2.5 percent. The project's appropriate discount rate is 12%, which is the U.S. cost of capital for the company.

The foreign exchange market is influenced by a variety of variables, including economic circumstances, inflation, and interest rates. To calculate the net present value (NPV) of the investment opportunity, an investor must consider interest rate parity, which relates exchange rates and interest rates. In this scenario, the project costs €15 million and produces cash flows of €2.9 million in Year 1, €3.5 million in Year 2, and €4 million in Year 3. Meanwhile, the current spot exchange rate is 1.44€/$, the current risk-free rate in the United States is 3.0 percent, and the rate in Europe is 2.5 percent. Furthermore, the appropriate discount rate for the project is 12%, which is the U.S. cost of capital for the company. Finally, the subsidiary could be sold for €9.9 million at the end of three years.Using the interest rate parity equation, the expected spot rates for the next three years can be determined. The project's net present value can be calculated using these rates. Finally, the NPV of the project in U.S. dollars can be determined by subtracting the cost of the project from the PV of future cash inflows converted to dollars using the expected spot rate. As a result, the NPV of the investment opportunity in U.S. dollars is $0.300 million.

It is necessary to consider different factors when estimating an investment's net present value (NPV), including economic conditions, inflation, and interest rates. In this scenario, the investment opportunity is in Europe and costs €15 million, with cash flows of €2.9 million in Year 1, €3.5 million in Year 2, and €4 million in Year 3. The project's discount rate is 12%, while the current spot exchange rate is 1.44€/$, and the risk-free rate in the United States is 3.0 percent compared to 2.5 percent in Europe. The expected future spot rate using the interest rate parity equation is $1.4824. Finally, the NPV of the investment opportunity in U.S. dollars is $0.300 million.

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Related Questions

Scott Corp. received cash of $20,000 that was included in revenues in its Year One financial statements, of which $12,000 will not be taxable until Year Two. Scott's enacted tax rate is 30% for Year One, and 25% for Year Two. What amount should Scott report in its Year One balance sheet for deferred income tax liability?

a) $3,000

b) $2,000

c) $2,400

d) $3,600

Answers

option C is correct $2,400 . Scott should report $2,400 on its Year One balance sheet for deferred income tax liability.

Deferred income tax liability refers to the income tax a business is liable for but has not yet been paid. The amount should be recorded on the balance sheet as a liability. When the income tax return is filed and the tax paid, the liability is removed from the balance sheet.Scott Corp. received cash of $20,000 that was included in revenues in its Year One financial statements, of which $12,000 will not be taxable until Year Two. Scott's enacted tax rate is 30% for Year One, and 25% for Year Two.Therefore, the amount that Scott should report in its Year One balance sheet for deferred income tax liability is $2,400.The calculation for the above can be explained as follows: Year 1 tax rate

= 30%Taxable income

= $20,000Deferred tax liability for Year 1

= 30% x $12,000

= $3,600Year 2 tax rate

= 25%Deferred tax liability for Year 2

= 25% x $12,000

= $3,000So, the total deferred tax liability is $3,600 + $3,000

= $6,600. However, the deferred tax liability for Year 1 is $3,600, of which only $1,200 is due in Year 1, while the remaining $2,400 will be due in Year 2.Therefore, Scott should report $2,400 on its Year One balance sheet for deferred income tax liability.

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Describe the strategies to mitigate such risks
1.Customer demand changes
2.Unexpected transit delays
3. Problem at suppliers, which delay critically needed
components
4. Theft, a much larger problem t

Answers

Implement strategies such as diversifying transportation options, maintaining alternative suppliers, using real-time tracking technologies, and implementing security measures to mitigate risks including customer demand changes, transit delays, supplier problems, and theft.

1. Customer demand changes:

- Conduct market research and customer surveys to anticipate potential shifts in customer preferences and demands.

- Maintain a flexible and agile supply chain to respond quickly to changes in demand.

- Have advanced planning and scheduling system

2. Unexpected transit delays:

- Diversify transportation options by working with multiple carriers and modes of transportation (e.g., road, rail, air, sea) to reduce dependency on a single provider.

- Use real-time tracking and monitoring technologies to gain visibility into the location and status of shipments, allowing proactive identification of potential delays.

3. Problem at suppliers, which delays critically needed components:

- Develop a robust supplier management process, including regular performance evaluations, risk assessments, and continuous communication with suppliers.

- Identify and qualify alternative suppliers for critical components to have backup options.

- Implement supply chain visibility tools to monitor and track supplier performance, production capacity, and potential bottlenecks.

4. Theft, a much larger problem:

- Conduct risk assessments of vulnerable areas, including warehouses, distribution centers, and transportation routes, and implement appropriate security measures, such as surveillance systems, alarms, and access controls.

- Utilize GPS tracking and security seals on shipments to monitor and secure the movement of goods.

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A common stock is trading at $15 per share. Its dividends are paid on an annual basis. The most recent dividend per share (just paid yesterday) 92.6 cents per share. If the stock’s expected future growth of dividends (indefinitely) is 8%, what is the required rate of return on the stock?

Answers

A common stock is trading at $15 per share. The required rate of return on the stock is approximately 14.1733%.

To calculate the required rate of return on the stock, we can use the Gordon Growth Model, also known as the Dividend Discount Model (DDM):

Required Rate of Return = (Dividend / Stock Price) + Dividend Growth Rate

Given information:

Stock price (P) = $15 per share

Dividend (D) = 92.6 cents per share = $0.926 per share

Dividend Growth Rate (g) = 8% per year (in decimal form, g = 0.08)

Using the Gordon Growth Model:

Required Rate of Return = (Dividend / Stock Price) + Dividend Growth Rate

Required Rate of Return = ($0.926 / $15) + 0.08

Required Rate of Return = 0.061733 + 0.08

Required Rate of Return = 0.141733

Converting to percentage:

Required Rate of Return = 14.1733%

Therefore, the required rate of return on the stock is approximately 14.1733%.

Based on the given information and calculations, the required rate of return on the stock is approximately 14.1733%.

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Quality management can be regarded as being highly
perceptual and is value driven. Discuss this statement by referring
to the quality dimensions of goods (15) and services (15).

Answers

Quality management is a process that is focused on ensuring that the goods and services produced by an organization meet the needs and expectations of customers.

It is a crucial aspect of business operations, as it can have a significant impact on customer satisfaction, loyalty, and ultimately, the success of the organization.

One of the key dimensions of quality in goods is the physical attributes of the product, such as its design, durability, and performance. These attributes are important because they can affect how well the product performs in the real world and how satisfied customers are with their purchase. For example, a product that is poorly designed or does not function properly may not meet the needs of customers and may result in negative feedback and lost sales.

Similarly, the quality of services is also an important consideration for customers. This includes factors such as the effectiveness and efficiency of the service, as well as the level of customer satisfaction and loyalty. For example, a service that is slow or inefficient may result in frustration and lost business, while a service that is delivered with a high level of customer satisfaction and loyalty can lead to repeat business and positive word-of-mouth referrals.

Overall, quality management is a value-driven process that is focused on ensuring that the goods and services produced by an organization meet the needs and expectations of customers. By prioritizing quality, organizations can improve customer satisfaction, increase loyalty, and ultimately, achieve success in the marketplace.

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(a) Why do most firms produce more than one product? (b) What is the rule for profit maximization for a multiproduct firm? (c) Why would a firm produce a product on which it makes zero profits?
(a) How can a firm determine the best level of output and price for products that are jointly produced in fixed proportions? (b) Under what circumstances would a firm produce a product and then destroy it?

Answers

Most firms produce more than one product for several reasons. First, diversifying product offerings allows firms to cater to different customer segments and capture a larger market share.

By offering a variety of products, firms can meet varying customer needs, preferences, and price points, thus maximizing their revenue potential. Second, producing multiple products can help spread risks associated with market fluctuations, changes in consumer demand, or product-specific risks. This diversification strategy helps firms reduce their overall exposure to any single product or market. Additionally, producing multiple products may also lead to economies of scope, where shared resources, technologies, or expertise can be leveraged across different product lines, leading to cost savings and operational efficiencies. The rule for profit maximization for a multiproduct firm is to allocate resources in a way that maximizes the overall profit across all products. This means determining the optimal combination of output levels and prices for each product to achieve the highest total profit.

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Company sales invoices, census data, and trade association statistics are examples of
- tertiary data. - data mines. - secondary data. - qualitative data. - primary data. When looking to purchase a mobile phone, describe the components that make up the total product. [Select ALL of the answers that apply]. - On-the-go communication via email - The Phor - Warranties - On-the-go communication via internet - Customer Service

Answers

Company sales invoices, census data, and trade association statistics are examples of "secondary data."

Secondary data refers to information that has been collected by someone else for a different purpose.

When looking to purchase a mobile phone, the components that make up the total product include:

- The Phor: This is likely a specific model or brand of mobile phone that you are considering purchasing.

the core physical product itself.

- Warranties: Mobile phones often come with warranties that provide assurances to the buyer regarding repairs or replacements in case of any issues or defects within a specified period.

- Customer Service: This component represents the support and assistance provided by the mobile phone manufacturer or seller to address customer inquiries, technical support, and after-sales services.

These are the components related to the mobile phone product itself. The s "On-the-go communication via email" and "On-the-go communication via internet" are features or capabilities of the mobile phone rather than components that make up the total product.

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Which entities would have the paid in captial in excess account in the equity section of the balance sheet?

Answers

The paid-in capital in excess account is an equity account that keeps track of any extra cash that a company obtains during the stock issuance process.

The account is set up when a business provides additional money by issuing new stock beyond its par value or its initial sale value. Below mentioned are the entities that would have the paid-in capital in excess account in the equity section of the balance sheet:

Corporations: These are businesses that sell stock to the public and raise capital for growth.

Nonprofit organizations: These organizations receive contributions from the public or outside agencies that want to support their mission.

Political organizations: These groups may issue stocks to raise money for political campaigns, for example, for the presidential campaign.

To recapitulate, corporations, nonprofit organizations, and political organizations would have the paid-in capital in excess account in the equity section of the balance sheet. Note that the equity section of the balance sheet refers to that section of the balance sheet that includes the equity accounts that are paid by the company's owners or shareholders.

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Horizon Inc. is analyzing the desirability of a capital expenditure that will allow them to produce and sell a new product. They have a required return of 11.5%, and have estimated the project will have an initial investment and incremental after-tax annual cash flows as shown below:
Year Cash Flow
0 - $365,000
1 60,000
2 95,000
3 182,000
4 250,000
What is the Net Present Value (NPV) for this project?
[Enter your solution rounded to the nearest whole number.]

Answers

If they have a required return of 11.5% and have estimated the project will have an initial investment then the Net Present Value (NPV) for this project is approximately $58,978.

To calculate the Net Present Value (NPV) for the project, we need to discount each cash flow to its present value and then sum them up. The discount rate used is the required return of 11.5%.

Year 0 cash flow: -$365,000 (initial investment)

Year 1 cash flow: $60,000

Year 2 cash flow: $95,000

Year 3 cash flow: $182,000

Year 4 cash flow: $250,000

Calculating the present value of each cash flow:

PV0 = -$365,000 / (1 + 0.115)^0 = -$365,000

PV1 = $60,000 / (1 + 0.115)^1 = $53,672

PV2 = $95,000 / (1 + 0.115)^2 = $75,239

PV3 = $182,000 / (1 + 0.115)^3 = $134,064

PV4 = $250,000 / (1 + 0.115)^4 = $161,003

Now, sum up the present values:

NPV = PV0 + PV1 + PV2 + PV3 + PV4

= -$365,000 + $53,672 + $75,239 + $134,064 + $161,003

= $58,978

Therefore, the Net Present Value (NPV) for this project is approximately $58,978.

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Suppose your retirement account earns 6% compounded annually.
How long will it take for your account to grow from $374,000 to
$1,000,000?

Answers

Initial value = $374,000 Final Value = $1,000,000 r=interest rate = 6.1%

Time = n

Value = Initial value X (1+r)ⁿ

1,000,000 = 374,000 X ( 1+ 6+ (-)"

(1.06)ⁿ= 1000000/374000

=(1.06)ⁿ= 2.67

taking natural log on both sides

n ln (1.06) = ln (2·67)

n=Ln (2·67) / ln (1.06)

16.88 year's

An initial value problem (IVP) in multivariable calculus is an ordinary differential equation with an initial condition that specifies the value of the unknown function that a given point in the domain. In physics or other sciences, modelling a system frequently entails solving an initial value problem. In that context, the difference initial value is an equation that specifies how the system evolves over time given the problem's initial conditions.

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Which of the following is a major Crown corporation active in the bond market?
A. Farm Consumer Corporation (FCC)
B. Canada Mortgage and Housing Corporation (CMHC)
C. Export Design Corporation (EDC)
D. Fiscal Credit Corporation (FCC)

Answers

The Canada Mortgage and Housing Corporation (CMHC) is a major Crown corporation that is actively involved in the bond market. Option b is correct.

A Crown corporation is a state-owned enterprise that's run by a government for public purposes. Crown corporations are established as legal entities under the legislation of the jurisdiction in which they are formed. Although they are owned by the government, they are expected to operate like private corporations, making money and competing with other businesses.

The Canada Mortgage and Housing Corporation (CMHC) is a federal Crown corporation that provides mortgage loans, mortgage loan insurance, and mortgage-backed securities to Canadian citizens. It also provides funding to affordable housing providers and conducts research on housing and real estate trends in Canada.

The correct option is B.

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ABC and XYZ have been operating an accounting firm as partners for a number of years and at the beginning of 2021, their capital balances were P85,000 and P70,000, respectively. During 2021, ABC invested an additional P10,000 on April 1 and withdrew P5,000 on August 30. XYZ withdrew P12,000 on May 1 and invested P12,000 on November 1. In addition, ABC and XYZ withdrew their salary allowances of P18,000 and P24,000, respectively. At year-end 2021 total capital of the ABC and XYZ partnership was P182,000. ABC and XYZ share income after salary allowances in a 60:40 ratio.
The ending capital of ABC is?

Answers

The ending capital of ABC can be calculated using the method in the following paragraph. The ending capital of ABC is P73,000.

The ending capital of ABC can be calculated by using the formula given below:

Beginning capital balance + Additional Investment - Withdrawals + Share in profit - Share in loss

Solution:Given,The beginning capital balance of ABC = P85,000

ABC invested an additional P10,000 on April 1, ABC withdrew P5,000 on August 30, ABC withdrew a salary allowance of P18,000, ABC's share in income after salary allowances in a 60:40 ratio

Hence, the share of ABC in income after salary allowances= 60% of (Total income after salary allowances)= 60% of (P18,000+ P24,000)= 60% of P42,000= P25,200

The share of XYZ in income after salary allowances= 40% of (Total income after salary allowances)= 40% of (P18,000+ P24,000)= 40% of P42,000= P16,800

Calculation of ending capital of ABC:

ABC's beginning capital balance = P85,000, ABC's additional investment on April 1= P10,000, ABC's withdrawal on August 30 = - P5,000, ABC's salary allowance = - P18,000, ABC's share in profit = + P25,200

Total capital of the ABC and XYZ partnership at year-end 2021 = P182,000

Let the ending capital of ABC be x. The ending capital of XYZ can be calculated by using the formula given below:

Ending capital balance of XYZ = Beginning capital balance + Additional Investment - Withdrawals + Share in profit - Share in loss

The beginning capital balance of XYZ = P70,000

XYZ withdrew P12,000 on May 1XYZ invested P12,000 on November 1XYZ withdrew a salary allowance of P24,000XYZ's share in income after salary allowances in a 60:40 ratio

Hence, the share of XYZ in income after salary allowances= 40% of (Total income after salary allowances)= 40% of (P18,000+ P24,000)= 40% of P42,000= P16,800

XYZ's ending capital balance = 70000 - 12000 + 12000 - 24000 + 16800 = P52,800

Now, Total capital of the ABC and XYZ partnership at year-end 2021 = P182,000

Therefore, P85,000 + P10,000 - P5,000 - P18,000 + P25,200 + X + P52,800 = P182,000P109,000 + X = P182,000X = P182,000 - P109,000X = P73,000

Therefore, the ending capital of ABC is P73,000.

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Question 22 Which of the following is not a characteristic of adjusting entries? Allow for proper application of the revenue recognition principle (revenues) or the matching principle (expenses). Are recorded at the end of the accounting period. Are part of accrual-basis accounting Debits or credits the Cash account.

Answers

The term that is not a characteristic of adjusting entries is "Debits or credits the Cash account."

When preparing financial statements, adjusting entries are made in order to update certain accounts. The following are some of the key characteristics of adjusting entries: Allow for proper application of the revenue recognition principle (revenues) or the matching principle (expenses).

Are recorded at the end of the accounting period. Are part of accrual-basis accounting Debits or credits the Cash account - This is not a characteristic of adjusting entries. Adjusting entries will never have a Cash account affected by either a debit or a credit; instead, they will have an income statement account and a balance sheet account.

The entries made in accounting journals by firms at the end of an accounting period are known as adjusting entries. These entries are made in order to bring balance sheet accounts and income statement accounts up to date for the period ending date, and they ensure that the income statement and balance sheet accounts are accurate. This ensures that the financial statements depict the correct financial situation of the firm.

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There are two stocks in the market, stock A and stock B. The price of stock A today is $50. The price of stock A next year will be $40 if the economy is in a recession, $55 if the economy is normal, and $60 if the economy is expanding. The probabilities of recession, normal times, and expansion are 0.1, 0.8, and 0.1 respectively. Stock A pays no dividend. Assume CAPM is true. The volatility of the return on the market portfolio OM is 10%. The expected return of stock B is 7% and the volatility of the return of stock B is 12%. Furthermore, the correlation between the return on stock A and the market portfolio return is 0.8, the correlation between the return on stock B and the market portfolio return is 0.54, and the correlation between the returns of the two stocks is 0.6. What is the beta of stock B?

Answers

To calculate the beta of stock B, we need to use the formula:

Beta(B) = Cov(RB, RM) / Var(RM)

Where:

Cov(RB, RM) is the covariance between the return on stock B and the market portfolio return.

Var(RM) is the variance of the market portfolio return.

Given the information provided, we have the following correlations:

Correlation between the return on stock B and the market portfolio return (ρ(B, M)) = 0.54

Correlation between the returns of stock A and stock B (ρ(A, B)) = 0.6

To calculate Cov(RB, RM), we can use the following formula:

Cov(RB, RM) = ρ(B, M) * σ(B) * σ(M)

Given the volatility (σ) of stock B (12%) and the volatility of the market portfolio (10%), we can substitute the values into the formula:

Cov(RB, RM) = 0.54 * 0.12 * 0.10 = 0.00648

Next, we need to calculate Var(RM). The volatility of the market portfolio (10%) can be used as the standard deviation (σ) of the market return. The variance (Var) can be calculated by squaring the volatility:

Var(RM) = (0.10)^2 = 0.01

Now we have all the necessary values to calculate the beta of stock B:

Beta(B) = Cov(RB, RM) / Var(RM) = 0.00648 / 0.01 = 0.648

Therefore, the beta of stock B is 0.648.

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How could two companies with similar gross profit figures end up with dramatically different net operating income?

Answers

Two companies with similar gross profit figures could end up with dramatically different net operating income because gross profit only considers the cost of goods sold and the revenue that it generates.

Gross profit doesn't consider other expenses like operating expenses, administrative expenses, depreciation, and amortization expenses, among others.A company that has higher operating expenses will have a lower net operating income. Net operating income is the difference between gross profit and operating expenses. So, if a company has high operating expenses, it will have a lower net operating income compared to a company with lower operating expenses.

However, other factors can contribute to the difference in net operating income, including depreciation, amortization, interest expense, and other non-operating expenses, which may differ between the two companies. Additionally, differences in revenue or gross profit margin can also affect net operating income. A company with higher revenue or a higher gross profit margin may be able to absorb higher operating expenses while still achieving a higher net operating income. Therefore, two companies with similar gross profit figures can have a dramatically different net operating income depending on various factors.

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Assume Highline Company has just paid an annual dividend of $1.09.
Analysts are predicting an 11.8% per year growth rate in earnings over the next five years. After​ then, Highline's earnings are expected to grow at the current industry average of 5.6% per year. If​ Highline's equity cost of capital is 8.1% per year and its dividend payout ratio remains​ constant, for what price does the​ dividend-discount model predict Highline stock should​ sell?
The value of​ Highline's stock is
​(Round to the nearest​ cent.)

Answers

The dividend-discount model predicts that Highline stock should sell for approximately $17.77. To determine the predicted price of Highline stock using the dividend-discount model, we need to calculate the present value of future dividends.

Given the annual dividend of $1.09, an 11.8% growth rate in earnings over the next five years, and a 5.6% growth rate thereafter, we can calculate the expected dividends for the next five years and the subsequent years. By discounting these dividends at the equity cost of capital of 8.1% per year, we can find the present value of future dividends. Summing up the present values gives us the predicted price of the stock, which is approximately $17.77.

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You have been asked to review a capital investment proposal. The cost of the project is $2,775,000. Cash receipts are projected to be $925,000 in year 1: $1,000,000 in year 2; $1,000,000 in year 3; $1,000,000 in year 4; and $1,225,000 in year 5. Suppose your company discounts capital projects at 13.5%. What is the NPV of the project? (7 points

Answers

The cost of the project is $2,775,000, with cash receipts projected to be $925,000 in year 1:

$1,000,000 in year 2; $1,000,000 in year 3; $1,000,000 in year 4; and $1,225,000 in year 5.

Your company discounts capital projects at 13.5%.

The NPV of the project is the sum of the present values (PV) of the expected cash inflows and outflows.

The PV of the outflows is the project's initial investment; the PV of the inflows is the sum of the expected cash inflows discounted to their present value at the project's cost of capital.

Let's calculate the NPV of the project using the following formula:

NPV = CF1 / (1 + r)^1 + CF2 / (1 + r)^2 + ... + CFn / (1 + r)^n - Cost of investment,

Where, CF1, CF2, CF3, CF4, CF5 are the cash inflows in years 1, 2, 3, 4, and 5, respectively.

r = 13.5%

Cost of the investment = $2,775,000

NPV = (925,000 / (1 + 0.135)^1) + (1,000,000 / (1 + 0.135)^2) + (1,000,000 / (1 + 0.135)^3) + (1,000,000 / (1 + 0.135)^4) + (1,225,000 / (1 + 0.135)^5) - 2,775,000

NPV = $196,961.31

Therefore, the NPV of the project is $196,961.31.

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The figures below show the sales of hairdryers in one shop over the last 3 months.
Month 1: 140
Month 2: 197
Month 3: 150
Calculate the forecast for month 4 using exponential smoothing assuming that the forecast for the first month is 120 and the smoothing constant alpha = 0.8. Write the answer to 2 decimal places.

Answers

The sales of hairdryer forecast for Month 4 is 151.26

Using exponential smoothing, we need to use the formula:

Forecast for month 4 = (Previous forecast + Alpha * (Actual Sales - Previous forecast))

Given:

Previous forecast (Month 1) = 120

Smoothing constant (Alpha) = 0.8

Actual sales for Month 2 = 197

Calculating the forecast for Month 2:

Forecast for Month 2 = (120 + 0.8 * (197 - 120))

= (120 + 0.8 * 77)

= (120 + 61.6)

= 181.6

Now, using the same formula to calculate the forecast for Month 3:

Forecast for Month 3 = (181.6 + 0.8 * (150 - 181.6))

= (181.6 + 0.8 * -31.6)

= (181.6 - 25.28)

= 156.32

Finally, using the same formula to calculate the forecast for Month 4:

Forecast for Month 4 = (156.32 + 0.8 * (Actual sales for Month 3 - 156.32))

= (156.32 + 0.8 * (Actual sales for Month 3 - 156.32))

= (156.32 + 0.8 * (150 - 156.32))

= (156.32 + 0.8 * -6.32)

= (156.32 - 5.056)

= 151.264

Therefore, the forecast for Month 4 is 151.26 (rounded to 2 decimal places).

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Oriole Company makes radios that sell for $40 each. For the coming year, management expects fixed costs to total $225,000 and variable costs to be $24 per unit. (a) Your answer is incorrect. Compute the break-even point in dollars using the contribution margin (CM) ratio Break-even point $

Answers

To compute the break-even point in dollars using the contribution margin (CM) ratio, first calculate the CM ratio.CM ratio represents the proportion of each sales dollar that contributes to covering fixed costs and generating profit.

The CM ratio is calculated as follows: CM ratio = (Selling price per unit - Variable cost per unit) / Selling price per unit

Given:

Selling price per unit = $40

Variable cost per unit = $24

CM ratio = ($40 - $24) / $40

CM ratio = $16 / $40

CM ratio = 0.4 or 40%

To calculate the break-even point in dollars, we can use the formula:

Break-even point in dollars = Fixed costs / CM ratio

Given: Fixed costs = $225,000,CM ratio = 0.4 or 40%

Break-even point in dollars = $225,000 / 0.4

Break-even point in dollars = $562,500

Therefore, the break-even point in dollars using the contribution margin ratio is $562,500.

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Suppose that a local airport is near a residential neighborhood. To land at this airport, an airliner must pay $100. To soundproof the local homes, so residents do not hear airplanes all hours of the day, residents must pay $44. What is the private cost for a plane to land at this airport? What is the external cost of a plane landing at the airport? What is the social cost of a plane landing at the airport?

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The private cost, the external cost, and the social cost of an airplane landing at an airport near a residential neighborhood can  be explained as follows: Private cost refers to the direct  cost that the business or  consumer pays.

The private cost for a plane to land at this airport is $100. It is the cost that airlines must pay to land at the airport. This cost includes landing fees, parking fees, and other related fees.The external cost refers to the indirect cost of a transaction or activity that is not reflected in the market price. The external cost of a plane landing at the airport is $44. It is the cost borne by residents of the local community due to noise pollution and other environmental factors caused by airplanes flying over their homes. The external cost can be further divided into two categories: negative externalities and positive externalities.

The social cost refers to the total cost of a transaction or activity to society as a whole. The social cost of a plane landing at the airport is $144. It includes the private cost of the plane landing at the airport plus the external cost borne by the local residents. Social cost can be used to determine the true cost of an activity or transaction, taking into account both the direct and indirect costs. In a long answer, this can be elaborated more by describing the measures that can be taken to mitigate the external costs to the environment and the residents such as using more noise-efficient planes or installing better soundproofing systems in the homes.

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A company like Alibaba brings together a series of producers, suppliers, and customers. However, they do not determine the nature of the products that are to be sold on the platforms they offer. As a firm they operate as ? A Network ecosystem as A Network orchestrator A Pipeline Ecosystem A Linear value stream as Both a Network ecosystem and Network orchestrator as Both a Linear value stream and a Network orchestrator as Both a Pipeline ecosystem and a Linear value stream Question 5 1 pts A firm's ability to continually introduce radical new enhancements to their currently, executing business models is called? Base Agility Entrepreneurial Agility Adaptive Agility Strategic Intent

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The company Alibaba brings together a series of producers, suppliers, and customers. However, they do not determine the nature of the products that are to be sold on the platforms they offer.

As a firm, they operate as a Network ecosystem and as a Network orchestrator.An explanation of Alibaba's business modelAlibaba is an example of a network ecosystem business model. It acts as an intermediary between producers and customers by connecting them through its platform. Suppliers can post their products and services on Alibaba's platform, which customers can then buy directly from them.This business model has numerous advantages.

The network model increases the likelihood of matching a supplier with the right customer by creating a more efficient market. It also allows for the exchange of valuable data between parties and fosters the development of new products and services.However, Alibaba also operates as a Network orchestrator, which provides a platform for the exchange of goods and services and establishes a network of producers, suppliers, and customers. It also offers logistical, payment, and marketing support, making it easier for producers to reach customers.The firm's ability to continually introduce radical new enhancements to their currently executing business models is called adaptive agility. Adaptive agility is the ability to be adaptable and quickly respond to unexpected or changing conditions in the business environment, such as market changes, technological advancements, and customer needs.

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For which capital component must you make a tax adjustment when calculating WACC?
a. Equity
b. Debt
c. Preferred stock
d. Retained earnings

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When calculating the Weighted Average Cost of Capital (WACC), a tax adjustment needs to be made for the equity component. The correct answer is a. Equity.

WACC is a financial metric that represents the average cost of capital for a company, taking into account the proportional weights of various sources of financing.

The tax adjustment specifically applies to the cost of equity. Unlike interest expenses on debt or preferred stock dividends, which are tax-deductible, the cost of equity does not have a direct tax benefit. As a result, the cost of equity needs to be adjusted to reflect the tax implications.

The tax adjustment is made by multiplying the cost of equity by the complement of the corporate tax rate. This adjustment accounts for the fact that dividends paid to equity investors are not tax-deductible for the company.

By incorporating the tax adjustment, the WACC calculation ensures that the overall cost of capital accurately reflects the tax implications of each capital component and provides a more accurate measure of the company's cost of funding its operations and investments. The correct answer is a.

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Which statement is true about empowerment?
Question 13 options:
a)
Empowerment is not related to job performance.
b)
Empowerment is a relatively easy concept to implement in the workplace.
c)
The notion of empowerment is appropriate for all employees.
d)
Employees who are nervous about empowerment may also worry about the increased responsibility.

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The statement that is true about empowerment would be d) Employees who are nervous about empowerment may also worry about the increased responsibility.

Why would employees worry about empowerment ?

The concept of empowerment fosters an environment where individuals are enabled to take charge of their work, yet it is imperative to comprehend that the additional responsibilities accompanying empowerment may elicit varying reactions and reservations from employees.

Embracing empowerment can engender unease or worry in certain individuals who may grapple with heightened accountability, prompting them to question their ability to shoulder the newfound responsibilities. It is essential for organizations to navigate these concerns sensitively, recognizing that while empowerment can be a positive endeavor, it necessitates addressing the anxieties and uncertainties of employees.

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"Monetary Policy and the Federal Reserve"
From June 1999 until May 2000, the Fed tightened Monetary Policy:
a. How might the Fed have done that? (20 marks)
Explain into 5-6 paragraph around 1000 words.

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From June 1999 until May 2000, the Fed tightened monetary policy by increasing interest rates. This was done to slow down the economy and prevent inflation.

The Federal Reserve raised its federal funds rate six times over the course of this period, going from 4.75% in June 1999 to 6.5% in May 2000.

One way the Fed tightened monetary policy was through its open market operations. By selling Treasury securities, the Fed reduced the amount of reserves banks had, which in turn made it more expensive for banks to lend money to consumers and businesses. This decrease in lending helped to slow down economic growth and reduce inflationary pressures.

Another way the Fed tightened monetary policy was by adjusting the discount rate, which is the rate at which banks can borrow money from the Fed.

By raising the discount rate, the Fed made it more expensive for banks to borrow, which in turn reduced the amount of money banks had available to lend to consumers and businesses. This decrease in lending also helped to slow down economic growth and reduce inflationary pressures.

In addition to these methods, the Fed also communicated its intention to tighten monetary policy through its statements and speeches. This forward guidance helped to shape expectations among consumers and businesses, which in turn influenced their spending and investment decisions.

By signaling its intention to raise interest rates, the Fed was able to slow down economic growth and prevent inflation from spiraling out of control.

Overall, the Fed tightened monetary policy from June 1999 to May 2000 by using a combination of open market operations, discount rate adjustments, and forward guidance. These measures helped to slow down economic growth and reduce inflationary pressures, which in turn helped to maintain a stable and healthy economy.

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1. Change the total fixed manufacturing overhead cost for the Milling Department in Data area back to $390,000, keeping all of the other data the same as in the original example. Consider a new job, Job 408, with the following characteristics:

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The total manufacturing cost of Job 408 is $10,040.

To change the total fixed manufacturing overhead cost for the Milling Department in Data area back to $390,000 while keeping all of the other data the same as in the original example, you can adjust the predetermined overhead rate calculation.

The predetermined overhead rate is calculated as follows:

Predetermined overhead rate = Estimated total manufacturing overhead cost / Estimated total amount of the allocation base

In the original example, the predetermined overhead rate is calculated as follows:

Predetermined overhead rate = $450,000 / 150,000 machine-hours= $3.00 per machine-hour

If you want to change the total fixed manufacturing overhead cost for the Milling Department in Data area back to $390,000, you can adjust the estimated total manufacturing overhead cost to reflect this new amount. Therefore, the new predetermined overhead rate would be calculated as follows:

New predetermined overhead rate = $390,000 / 150,000 machine-hours= $2.60 per machine-hour

Now, let's consider the new job, Job 408, with the following characteristics:

Direct materials cost = $5,000

Direct labor cost = $4,000

Machine-hours required = 400

To calculate the total manufacturing cost of Job 408, we need to use the predetermined overhead rate we just calculated and apply it to the machine-hours required for the job. Total manufacturing cost of Job 408 = Direct materials cost + Direct labor cost + (Machine-hours required x Predetermined overhead rate)= $5,000 + $4,000 + (400 x $2.60)= $5,000 + $4,000 + $1,040= $10,040

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Describe the supply chain benefits that Summer Drinks could enjoy should they adopt a backward integration strategy
"In measuring the success of a Logistics System" (hint: see class slides chapter 2) Identify which two out of the six factors is Summer Drinks failing in- provide evidence from the case study to support your answer. Briefly distinguish between what efficiency and effectiveness in logistics means?

Answers

1. Supply Chain Benefits of Backward Integration: Increased control, cost savings, reduced dependency, improved flexibility.

2. Factors Summer Drinks is Failing in Measuring Logistics Success: Customer satisfaction and cost efficiency.

3. Efficiency in logistics: Doing things right by optimizing processes and minimizing waste.

4. Effectiveness in logistics: Achieving desired outcomes and meeting customer expectations.

1. Supply Chain Benefits of Backward Integration Strategy for Summer Drinks:

By adopting a backward integration strategy, Summer Drinks can enjoy several supply chain benefits. These include:

a) Increased Control and Quality Assurance: Backward integration involves acquiring or integrating suppliers into the company's operations. This allows Summer Drinks to have direct control over the sourcing of raw materials and production processes. By owning or controlling the supply sources, they can ensure the quality and consistency of ingredients, resulting in a more reliable and standardized product.

b) Cost Savings: Through backward integration, Summer Drinks can eliminate the markup costs associated with purchasing raw materials from external suppliers. By producing their own ingredients or acquiring suppliers, they can achieve cost savings, improve profit margins, and potentially offer competitive pricing to customers.

c) Reduced Dependency and Supply Chain Disruptions: By integrating backward, Summer Drinks can reduce their reliance on external suppliers and minimize the risk of supply chain disruptions. They have greater control over their supply chain, reducing the impact of external factors such as price fluctuations, delivery delays, or quality issues from third-party suppliers.

d) Improved Flexibility and Responsiveness: Backward integration allows Summer Drinks to have greater agility and responsiveness in adjusting their production capabilities based on market demand. They can quickly adapt to changing customer preferences and optimize their production processes to meet specific requirements.

2. Factors Summer Drinks is Failing in Measuring the Success of the Logistics System:

Based on the case study, two factors in which Summer Drinks is failing in measuring the success of their logistics system are:

a) Customer Satisfaction: The case study mentions that customers have complained about late deliveries and inaccurate order fulfillment. This indicates a lack of focus on customer satisfaction in their logistics operations. Meeting customer expectations in terms of on-time deliveries and order accuracy is crucial for a successful logistics system, and Summer Drinks seems to be falling short in these areas.

b) Cost Efficiency: The case study also highlights the rising costs associated with logistics operations, including transportation and warehousing expenses. This suggests that Summer Drinks is not effectively managing and controlling their logistics costs. Cost efficiency is an important factor in measuring the success of a logistics system, and Summer Drinks needs to address this issue to improve their overall performance.

3. Distinguishing between Efficiency and Effectiveness in Logistics:

Efficiency in logistics refers to the ability to accomplish tasks and operations with minimal waste, time, and resources. It focuses on optimizing processes, reducing costs, and maximizing productivity. For example, an efficient logistics system would minimize transportation time, streamline warehouse operations, and eliminate unnecessary steps in the supply chain.

Effectiveness in logistics, on the other hand, relates to achieving desired outcomes and meeting objectives. It involves aligning logistics activities with the overall goals of the organization and satisfying customer needs. An effective logistics system ensures that products are delivered on time, in the right quantity, and to the right location. It emphasizes customer satisfaction, responsiveness, and meeting service level agreements.

In summary, efficiency is about doing things right by optimizing processes and minimizing waste, while effectiveness is about doing the right things by achieving desired outcomes and meeting customer expectations. Both efficiency and effectiveness are crucial for a successful logistics system.

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(1) Identify the research design of the draft survey that involves a survey data collection method and explain to the client how this research design will be useful for addressing the Research Question.
(2) Make a recommendation to RACV as to which survey mode they should use to distribute the final version of the draft survey (assuming with wording and scale problems fixed). In your response justify your recommendation by outlining three factors that you considered and how each factor influenced your decision of which survey mode to recommend to RACV
(3) Outline for the client 3 possible sources of survey error that may occur in relation to your recommendations in question 2, and how you would recommend that these survey errors be addressed if ran into.

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(1) The research design of the draft survey appears to be a cross-sectional survey design. A cross-sectional survey collects data from a sample of respondents at a specific point in time to gather information about their characteristics, attitudes, behaviors, or opinions.

This design will be useful for addressing the research question as it allows for a snapshot of the respondents' perceptions and experiences related to the topic of interest. By administering the survey to a diverse sample, the researchers can gather data on a wide range of perspectives and make generalizations about the population under study. The survey data collection method allows for efficient data collection from a large number of respondents, providing a breadth of information for analysis. The results from the survey can be used to examine associations, trends, or patterns among variables of interest, thus helping to address the research question in a comprehensive manner.

(2) Recommendation for survey mode:

Considering the assumption that the wording and scale problems have been fixed in the final version of the draft survey, I recommend RACV to use an online survey mode to distribute the survey. Here are three factors that influenced my decision:

a) Cost-effectiveness: Online surveys tend to be more cost-effective compared to other modes such as paper surveys or face-to-face interviews. With an online survey, RACV can reach a large number of respondents at a relatively low cost, saving on printing and distribution expenses.

b) Convenience and accessibility: Online surveys provide convenience and accessibility for respondents. People can easily access and complete the survey from their preferred devices and at their preferred time and location. This increases the likelihood of a higher response rate and reduces the burden on respondents, resulting in more accurate data.

c) Speed and efficiency: Online surveys offer faster data collection and analysis compared to other modes. The data can be automatically recorded and stored, reducing the need for manual data entry and potential errors. This allows RACV to obtain the results more quickly, enabling prompt decision-making and timely action based on the survey findings.

(3) Possible sources of survey error and recommendations to address them:

a) Sampling bias: This occurs when the sample of respondents does not represent the target population accurately. To address this, RACV should carefully select a representative sample that reflects the characteristics of the population of interest. Using appropriate sampling techniques and reaching out to a diverse range of potential respondents can help reduce sampling bias.

b) Non-response bias: Non-response bias occurs when certain types of respondents are more likely to participate in the survey, while others are less likely. To mitigate this, RACV can employ strategies to encourage a higher response rate, such as sending reminders, offering incentives, and ensuring the survey is user-friendly and accessible. Monitoring and comparing the characteristics of respondents and non-respondents can also help identify and adjust for potential biases.

c) Measurement error: Measurement error can arise from issues such as unclear wording, ambiguous response options, or respondent misunderstanding. To minimize measurement error, RACV should conduct a thorough pre-testing of the survey to identify and address any potential problems. Pilot testing the survey with a small sample of respondents can help identify and rectify any issues before administering the final survey to the larger sample. Additionally, providing clear instructions and using standardized measurement scales can enhance the reliability and validity of the survey data.

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The Rhaegel Corporation's common stock has a beta of 1.2. If the risk-free rate is 4 percent and the expected return on the market is 12 percent, what is the company's cost of equity capital? Multiple Choice
a 14.28% b 12.92% c 18.4% d 14.14% e 13.6%

Answers

The company's cost of equity capital is 13.6%. The correct answer choice is e) 13.6%.

The cost of equity capital can be calculated using the Capital Asset Pricing Model (CAPM), which is given by:

Cost of Equity = Risk-Free Rate + Beta * (Market Return - Risk-Free Rate)

Given the information provided:

Risk-Free Rate = 4%

Beta = 1.2

Market Return = 12%

Plugging in the values into the formula:

Cost of Equity = 4% + 1.2 * (12% - 4%)

Cost of Equity = 4% + 1.2 * 8%

Cost of Equity = 4% + 9.6%

Cost of Equity = 13.6%

Therefore, the company's cost of equity capital is 13.6%. The correct answer choice is e) 13.6%.

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What does it mean to "pierce the corporate veil"? Use your own words to describe it. Under what circumstances does the law allow the "corporate veil" to be pierced?
Describe two potentially positive consequences - to society at large - from the rule allowing a court to pierce the corporate veil under certain circumstances. Can you think of any drawbacks to society at large from the rule? What are they?

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Piercing the corporate veil refers to the process by which the legal entity that is a corporation is disregarded. It is a judicial process that removes the protection that comes with operating under the legal entity status of a corporation.

Under this process, the courts treat the corporation's shareholders as individuals, which means that the corporation's assets can be seized to satisfy personal debts of the shareholders. Under the following circumstances, the law allows the corporate veil to be pierced:If the corporation's structure is being used to commit fraud or other illegal activities or if the corporation was undercapitalized. The law also allows the piercing of the corporate veil when the company is operating as a sham. That is, when the company is not conducting any real business. Also, if the corporation is not properly formed or maintained and fails to follow proper legal formalities, then the corporate veil may be pierced.

Two potentially positive consequences of the court piercing the corporate veil under certain circumstances include:

Assurance of accountability: Corporate veil piercing would require the company's shareholders to be held liable for the corporation's actions. By doing so, the law is ensuring that those who own and control corporations cannot escape liability for the actions of the corporation.

Ensuring justice: Corporate veil piercing would also ensure that justice is served to all parties. The law would be able to ensure that all the parties involved are being held accountable for their actions and are not using the corporation as a shield to hide behind their actions.

A potential drawback of piercing the corporate veil to society at large is that this could lead to a reluctance of people to invest in new businesses. People may be hesitant to invest in the company if they feel like they will be held liable for the actions of the company or any of the company's shareholders.

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Suppose a call option on a given stock has premium $5 per share, and the put option at the same exercise price (E=$100) has premium $3 per share. The price of a Treasury security having the same maturity as the options is .9900 (dollars per face). a. What would you expect the price of the underlying security to be? b. Illustrate with a graph trhe profit or payoff profile that would result from a "covered call" (write call on the security you own) on this stock. Explain.

Answers

a) Based on the given information, the price of the underlying security can be expected to be around $97 per share.

b) A covered call strategy involves writing a call option on a security that you already own. The graph of the profit or payoff profile for a covered call strategy would show a limited upside potential and a potential downside protection. The profit from the covered call strategy is limited to the premium received from writing the call option, and if the stock price remains below the exercise price, the investor retains ownership of the stock with downside protection.

a) To determine the expected price of the underlying security, we can consider the relationship between the call and put options. The difference between the call and put premium is $5 - $3 = $2 per share. This difference is also known as the put-call parity. According to put-call parity, the difference in premiums is equal to the difference between the stock price and the present value of the exercise price. Therefore, we can expect the price of the underlying security to be approximately $97 ($100 - $2).

b) The graph of the profit or payoff profile for a covered call strategy would show a relatively flat line or a slight upward slope up to the exercise price of $100. Beyond the exercise price, the profit would be limited as the investor would have to sell the stock at the exercise price. The strategy provides potential income from the call option premium but limits the upside potential if the stock price rises significantly. The covered call strategy is often used by investors who are willing to sell their shares at a specific price (the exercise price) in exchange for receiving income from writing the call option. It provides a balance between potential income and downside protection for the investor.

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select a famous leader. Briefly analyze his/her/their behaviors and explain why you think he/she/they is/are successful or unsuccessful.

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One famous leader who can be analyzed is Mahatma Gandhi. Mahatma Gandhi was a prominent leader of the Indian independence movement against British rule. His behaviors and principles played a significant role in his success as a leader.

One key aspect of Gandhi's leadership was his commitment to non-violence and civil disobedience as a means to achieve political and social change. He emphasized peaceful protests, marches, and boycotts, which garnered widespread support and sympathy from the Indian population and the international community. Gandhi's ability to rally people together under a shared vision of non-violent resistance was instrumental in mobilizing mass movements and achieving significant political outcomes.

Gandhi was also known for his moral and ethical values, which he upheld both in his personal life and in his leadership. He believed in leading by example and living a simple and austere lifestyle. By practicing what he preached, Gandhi gained credibility and trust among his followers. His integrity and authenticity were crucial factors that contributed to his success as a leader.

Furthermore, Gandhi was a masterful communicator. He possessed exceptional oratory skills and had the ability to articulate his ideas and principles effectively. His speeches and writings resonated with people across various social and economic backgrounds, inspiring them to join the struggle for independence. Gandhi's communication skills helped him build a strong rapport with the masses and maintain their unwavering support.

While Mahatma Gandhi achieved significant success as a leader, it is worth noting that he faced challenges and criticisms as well. Some critics argue that his approach of non-violence was impractical in certain situations, and his leadership style faced opposition from factions within the Indian independence movement. However, his unwavering commitment to his principles and his ability to mobilize people through non-violent resistance remain remarkable and have left a lasting impact on the world.

In conclusion, Mahatma Gandhi's success as a leader can be attributed to his steadfast commitment to non-violence, his moral and ethical values, his exceptional communication skills, and his ability to inspire and mobilize people towards a common goal. His leadership style and behaviors continue to be studied and admired by leaders worldwide, making him an influential figure in history.

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