The use of budgeted or predetermined rates allows decision makers to have more timely information. Does the use of budgeted rates afford the decision maker any other benefit?

Answers

Answer 1

Yes, the use of budgeted or predetermined rates afford the decision maker with various benefits.

Let's discuss this in detail below Benefits of using budgeted rates :

The use of budgeted or predetermined rates provides the decision makers with more timely information that can assist in taking strategic business decisions more effectively. In addition to that, it also helps to provide standardized data which allows comparison between different departments and units within the same company. This comparison can lead to efficient resource allocation and cost reduction measures which in turn can lead to profitability and growth.

A budgeted rate provides a common language that all units within an organization can use to describe and understand costs. This can be especially useful when communicating with non-financial decision makers such as marketing and operations departments. Budgeted rates can help to identify potential issues before they occur. When budgeted rates are compared to actual rates, it is easier to identify when a particular cost is running over budget. This can help to avoid cost overruns and ensure that resources are being used efficiently.

Furthermore, budgeted rates can be used to help predict future costs and revenues. This allows the decision makers to plan for the future and make strategic business decisions based on accurate information. This can help to ensure that the organization remains competitive and profitable in the long term.

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Related Questions

Choose any ONE issue relates to safety and health and workplace. Discuss what is the impact(s) of the issue towards the employee’s performance. You are encouraged to include relevant example to strengthen your discussion.

Answers

The issue that relates to safety and health in the workplace is the use of personal protective equipment. The impact of not using personal protective equipment (PPE) can affect the employee's performance in several ways. Personal protective equipment (PPE) refers to safety clothing or equipment that is worn by employees to reduce their exposure to hazards such as chemicals, noise, radiation, and biological agents.

Here are the impacts of not using personal protective equipment towards employees' performance:

1. Increased likelihood of workplace injuries: Employees who do not wear the appropriate PPE are more likely to be injured. For example, if an employee is working with chemicals and does not wear the appropriate gloves, they may suffer chemical burns.

2. Reduced productivity: When employees are injured, they may be unable to work or need to take time off to recover. This can reduce productivity, delay projects, and increase costs.

3. Health problems: Employees who are exposed to hazards without proper PPE can suffer from health problems such as respiratory problems, skin irritation, or hearing loss. These health problems can lead to long-term health issues, disability, and even death.

Example: In a manufacturing company, the employees must wear safety glasses while working with machines. However, some of the employees may feel that the glasses are uncomfortable and may choose not to wear them. If an employee is injured as a result of not wearing safety glasses, they may be unable to work for a few days. This will impact their productivity, as well as the productivity of the entire team. Additionally, the injured employee will require medical attention, which can be costly for the company.

Therefore, it is essential to use personal protective equipment in the workplace to minimize the impact of hazards on employee performance and well-being.

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can someone Discuss market attributes that might make
contracting with a hospital more or less difficult for a health
plan. in 250 words no less if you want a like or any credit

Answers

Contracting with a hospital can be influenced by various market attributes that can make the process more or less difficult for a health plan.

These attributes include: Market Concentration: If the hospital market is highly concentrated, with a limited number of dominant hospitals, it can make contracting more challenging for a health plan. In such situations, hospitals may have more bargaining power, leading to higher prices and more stringent contract terms.

Reputation and Quality: Hospitals with a strong reputation for high-quality care and positive patient outcomes may have more leverage in contract negotiations. Health plans may be willing to pay higher rates to include these hospitals in their network to attract members seeking quality care.

Cost Structure: The cost structure of a hospital, including its operating expenses, can impact contract negotiations. Hospitals with high costs or inefficiencies may be less attractive to health plans, as they may result in higher reimbursement rates.

Competitive Landscape: The level of competition among hospitals in a particular market can affect contract negotiations. In more competitive markets, health plans may have more options and bargaining power, leading to more favorable contract terms.

Service Line Offerings: The breadth and depth of services offered by a hospital can influence contracting. Hospitals with specialized services or unique capabilities may be more sought after by health plans, especially if those services align with the health plan's network strategy or target population.

Geographic Coverage: Hospitals' geographic coverage and proximity to the health plan's target population or service area can impact contracting. Hospitals located in areas where the health plan has a significant member base or wants to expand its network may be more desirable.

To navigate these market attributes and improve the contracting process, health plans can employ various strategies. This includes conducting market analysis and leveraging data to understand market dynamics, negotiating contracts based on quality and cost outcomes, fostering relationships with hospitals, exploring innovative reimbursement models, and focusing on building a strong provider network that aligns with the health plan's goals and member needs.

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Suppose the current CAD/JPY bid/offer quote is 90.410-23. Which of the following statements are true? Select ALL correct answers. Review Later
a. The customer pays 90.410 JPY for each CAD he/she buys
b The customer pays 90.423 JPY for each CAD he/she buys
c The bank is buying 1 CAD for 90.423 JPY
d The bank is selling 1 CAD for 90.423 JPY

Answers

Answer:The customer pays 90.410 JPY for each CAD he/she buys

Explanation:The customer pays 90.410 JPY for each CAD he/she buys

What is the difference between a metric and a dimension in analytics? A. Metrics are numbers, and dimensions are described with words
B. Both metrics and dimensions are numbers C. Both metrics and dimensions are described with words D. Metrics are described with words, and dimensions are numbers

Answers

The difference between a metric and a dimension in analytics. In analytics, metrics are numerical measurements that evaluate a particular behavior, while dimensions are characteristics that describe these behaviors.

Metrics are quantitative measurements that are used to determine a website or app's performance. Dimensions are the factors that give context to these metrics. In simple terms, dimensions are the characteristics of a metric.Metrics typically answer the following questions: How many? How often? What is the percentage? What is the rate? Etc.Dimensions typically answer the following questions: Who? What? When? Where? Why? Etc.Metrics and dimensions collaborate to provide businesses with the necessary data to make more informed decisions and optimize their website or app.The main difference between a metric and a dimension is that metrics are numbers, and dimensions are descriptions or attributes of the data. Metrics are used to quantify data while dimensions describe the qualities or characteristics of the data, such as time, geography, or customer attributes.The right answer is A. Metrics are numbers, and dimensions are described with words.

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What are conflicts of interest and how do they differ from being
affected by conflicts of interest? Provide one or more examples to
illustrate. 400-600 words

Answers

Conflicts of interest involve compromised impartiality due to multiple interests, while being affected by conflicts of interest refers to experiencing negative consequences or biases resulting from others' conflicting interests.

Conflicts of interest occur when an individual or entity is involved in multiple interests that could compromise their impartiality. Being affected by conflicts of interest means being influenced or impacted by others' conflicting interests.

For example, an executive with shares in a competitor's company has a conflict of interest, potentially leading to biased decision-making. Conversely, shareholders of a company affected by conflicts of interest may experience negative consequences if the company's management prioritizes personal relationships over fair treatment.

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The complete question is:

What are conflicts of interest and how do they differ from being affected by conflicts of interest? Provide one or more examples to illustrate.


In the wheel formation flow structure, no one has control over
the flow of information.
a.
TRUE
b.
FALSE

Answers

The correct option is "b. FALSE."In the wheel formation flow structure, no one has control over the flow of information.

This statement is false. In a wheel formation, the authority is centralized, and the department heads report to the manager at the center of the circle. The wheel formation is hierarchical and has one-way communication. It also has a long chain of command, which means it takes time to disseminate information. The flow of information follows a vertical hierarchy, with a single source of power and control. The decisions are made at the top of the hierarchy. As a result, the flow of information is limited to the department heads and the central manager.

In conclusion, the wheel formation flow structure is not appropriate for a complex, fast-paced environment. It works best for businesses that follow a routine or are just starting. It has a high degree of control, but it takes time to communicate information. There is no horizontal communication or cross-functional collaboration in this structure. It is essential to consider all the factors before selecting a structure that aligns with the organization's goals.

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FILL THE BLANK. "1.
Specialty stores carry ___ but not ___.
Group of answer choices
depth; breadth
goods; services
variety; customization
services; goods
2.
Which pricing strategy makes more sense when economies of sc"

Answers

Specialty stores carry depth but not breadth.

When economies of scale are relevant, a cost-plus pricing strategy makes more sense.  

In the given blank, "depth" refers to the variety or selection of products offered by a specialty store, while "breadth" refers to the range or variety of products offered by a general store. Specialty stores usually focus on a specific niche or category of products, and as a result, they carry a deeper selection of products within that category. General stores, on the other hand, carry a wider range of products across different categories, but the selection within each category may be more limited.

Economies of scale refer to the cost advantages that a business can achieve by producing large quantities of goods or services. When economies of scale are relevant, it means that the cost of producing a product decreases as the quantity of that product increases. A cost-plus pricing strategy is a pricing strategy in which a business sets the price of a product based on the cost of producing that product plus a markup to cover profit. This strategy makes sense when a business can achieve economies of scale and can produce products at a lower cost than its competitors. By setting a lower price than its competitors, the business can still make a profit while offering a more affordable product to customers.  

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Nambia is an African country with the unit of currency of the Namib with 350 namibs [µ]equal to $1.00 and 420µ equal to £1. Nambia has a deposit insurance system that provides for coverage up to a limit of 15,000,000µ per all eligible accounts in aggregate per bank. Not all accounts are covered by the Nambian deposit insurance system, which specifically excludes CD’s with maturities in excess of 3 years and all inter-bank accounts. However, foreign currency accounts are included within the overall limit.

Suppose that an account holder has the following exposure in a bank that failed:

Savings Account = 3,350,000µ

Current Account = 3,350,000µ

CD (I year) = 2,250,000µ

CD (2 year) = 3,500,000µ

CD (3 year)=1,500,000µ

CD (4year)=2,500,000µ

Foreign Currency Account-1: $15000

Foreign Currency Account-2:£5000


If there is currently no coinsurance in Nambia, how much can the account holder recover and how much does the account holder lose in the event that the bank goes insolvent? Express in both monetary amounts and percentage terms.

Answers

The account holder can recover 9,950,000µ and would lose 9,500,000µ, representing a recovery rate of approximately 51.2%.

In the event of the bank's insolvency, the account holder's recovery and loss can be calculated based on the coverage limits of the deposit insurance system in Namibia. The total exposure of the account holder includes the balances in various accounts, excluding the CDs with maturities exceeding 3 years and inter-bank accounts. The total exposure amounts to 19,450,000µ (including both Namib and foreign currency balances).

Considering the coverage limit of 15,000,000µ per bank, the account holder can recover up to 9,950,000µ, which is the maximum amount covered by the deposit insurance system. The remaining 9,500,000µ would be lost.

The recovery rate, calculated as the recovered amount divided by the total exposure, is approximately 51.2%. This means that the account holder would receive approximately half of their total exposure in the event of the bank's insolvency, while losing the remaining amount.

Therefore, the account holder can recover a portion of their exposure, limited by the coverage limits of the deposit insurance system, and would experience a loss for the uncovered amount in the event of the bank's insolvency. The recovery rate indicates the percentage of the total exposure that can be recovered.

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Using the following information, what is the probability of completing the project in 25 periods? Variance [(b − a)/6] ID Predecessor to 2 OVAWN- 2 3 4 5 6 7 8 Description Pilot production Select channels of distrib. Develop mktg. program Test market Patent Full production Ad promotion Release None None None 1 1 4 3 2, 5, 6, 7 6 7 4 4 10 16 3 2 MANNON 5 10

Answers

The probability of completing the project in 25 periods is 0.

To determine the probability of completing the project in 25 periods, we need to analyze the information provided and calculate the critical path and project duration.

From the given information, we can see that the project consists of multiple activities with their respective durations (in periods) and dependencies. The critical path represents the longest path through the project network, and it determines the minimum duration of the project.

By examining the dependencies and durations, we can identify the critical path as follows:

Pilot production (Duration: 10 periods) → Test market (Duration: 16 periods)

The critical path duration is 10 + 16 = 26 periods.

Since the project duration is determined by the critical path, it is not possible to complete the project in 25 periods. Therefore, the probability of completing the project in 25 periods is 0.

Note: In order to calculate a more precise probability distribution, additional information about activity time estimates or variability would be required.

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What are some of the most critical issues that the BIAL leadership had to handle during the crisis?
How did Prem Watsa's stated expectations for Hari Marar influence the BIAL leadership's approach to managing the Covid crisis?
What leadership styles prevailed during the crisis? What is appropriate?
How would you prepare BIAL for the end of crisis and post-crisis stages?

Answers

1. During the crisis, the BIAL leadership had to handle several critical issues. Below are some of the most critical issues that the BIAL leadership had to handle during the crisis:

First and foremost, the airport had to keep up with the new guidelines and regulations that were being established as a result of the Covid-19 pandemic. BIAL also had to make sure that it was in compliance with the guidelines established by the WHO and the local government.The second issue that the BIAL leadership had to handle was that it needed to ensure that it had a contingency plan in place that could be implemented if the crisis worsened. The leadership had to make sure that the airport had enough resources to manage the situation, including personal protective equipment and medical supplies.The third issue that the BIAL leadership had to handle was that it needed to make sure that its staff members were trained on how to handle the crisis. The airport had to ensure that its employees were informed about the latest developments and guidelines and that they were following all the necessary precautions.The fourth issue that the BIAL leadership had to handle was that it needed to communicate effectively with all stakeholders, including employees, passengers, and the government. Effective communication was essential to ensure that everyone was on the same page and working towards the same goals.

2. Prem Watsa's stated expectations for Hari Marar influenced the BIAL leadership's approach to managing the Covid crisis in several ways. Watsa emphasized the importance of putting passengers first, even during a crisis. The leadership took this advice to heart and worked to ensure that the airport was safe and comfortable for passengers during the pandemic.

3. The leadership styles that prevailed during the crisis were a mix of autocratic and democratic styles. During the early stages of the crisis, the leadership was more autocratic in its approach. It needed to make quick decisions and take swift action to manage the situation. However, as the crisis progressed, the leadership became more democratic in its approach. It started to involve employees and other stakeholders in the decision-making process and gave them a voice in how the airport was managed.

4. In preparing BIAL for the end of the crisis and post-crisis stages, the leadership should focus on several areas.

First, it should continue to prioritize the safety and well-being of passengers and employees. Second, it should develop a plan for how to manage the airport as travel resumes and the number of passengers increases. Finally, it should continue to communicate effectively with all stakeholders to ensure that everyone is on the same page.

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The maximum loss a seller of a stock call option can suffer
is
a. the stock price minus the value of the call.
b. unlimited
c. the call premium.
d. the strike price minus the stock price.

Answers

The maximum loss a seller of a stock call option can suffer is unlimited. This is the What is a stock call option? A stock call option gives the purchaser the right to buy shares of a stock at a predetermined strike price at a future date.

The correct option is D.

If the stock price rises above the strike price, the call option holder may purchase the shares at the lower strike price and then sell them at the current higher price to make a profit. The maximum loss that a seller of a stock call option may sustain is UNLIMITED. When an investor writes a call option, they are obligated to sell the underlying asset at a predetermined price (strike price) to the option holder if the holder wishes to exercise the option.

The writer (seller) of a call option expects the price of the underlying stock to fall. However, if the stock price rises and the option is exercised, the writer of the option will suffer losses equivalent to the stock's rise in price. This implies that the maximum loss a seller of a stock call option can incur is unlimited. The option seller will receive the premium paid by the option buyer, which will be their profit if the price of the underlying asset stays below the strike price. On the other hand, if the price of the underlying asset rises above the strike price.

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GameStop Sales Climb as loss widens, Videogame retailer saw demand pick up as customers returned to its stores
How Do Bubbles Form? Tulips and Gamestop Can Help Explain Asset bubbles are easy enough to define, but not so simple to identify. WSJ’s Gunjan Banerji explains what bubbles are exactly, how they form and what happens when they burst. Illustration: Jacob Reynolds for The Wall Street Journal
By Sarah E. NeedlemanFollow June 1, 2022 4:59 pm ET GameStop Corp. GME 10.38%▲ sales rose as more people returned to its stores last quarter, but its loss widened, damping investors’ hopes for signs of a turnaround for the videogame retailer. The Grapevine, Texas-based company posted on Wednesday $1.38 billion in net sales for the quarter through April 30, up from $1.28 billion a year earlier. On an adjusted basis, the retailer reported a loss of $2.08 a share, compared with a loss of 45 cents a share over the same period a year ago.Three analysts polled by FactSet expected net sales of $1.32 billion and an adjusted loss of $1.45 a share. Hopefully with the turn around of the economy Gamestop can to turn around the loss of their shares.
Share your opinion on the above post.

Answers

GameStop is a company that specializes in the sale of video games. The retailer's sales have increased due to a rise in demand from customers who are returning to its stores. Despite the fact that the company's net sales rose to $1.38 billion, it posted a wider loss.

According to FactSet analysts, the company's net sales were predicted to be $1.32 billion, with an adjusted loss of $1.45 per share. GameStop reported an adjusted loss of $2.08 per share. The primary topic of the post is the rise in GameStop's sales, which was caused by the increasing number of people who are returning to its stores. The company's net sales have increased to $1.38 billion, but its loss has widened, causing investors to be disappointed about the retailer's potential turnaround. According to FactSet analysts, the company was expected to have a net sales of $1.32 billion and an adjusted loss of $1.45 per share. In comparison, GameStop posted an adjusted loss of $2.08 per share. GameStop's situation demonstrates the possible existence of a financial bubble. Financial bubbles are difficult to define and identify, however. The current situation is akin to the one experienced by the Dutch during the tulip mania of the seventeenth century. Because there was a high demand for tulip bulbs, their prices reached absurd levels. When the prices of tulip bulbs began to drop, the bubble burst, resulting in a financial disaster for many investors.
GameStop's case is similar in that its sales have soared due to the pandemic and people's increasing interest in video games. However, the company's financial position has not improved, and its stock price has plummeted. The company's future is dependent on its ability to adapt to changes in the video game industry and improve its financial position.

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Which of the following are used to value projects? Selected Answer: a.Sales revenue which only includes projected sales revenue b.Sales revenue which only includes projected sales revenue c.Net income but adjusted for taxes and dividends 0 out of 1 points d.Free cash flows which incorporate things like asset purchases, changes in working capital, etc e. Repurchases are seen as a negative signal since managers must think the firm's stock is overvalued

Answers

D.) Free cash flows which incorporate things like asset purchases, changes in working capital, etc.

Free cash flows are the cash that a company has after it has paid for all its capital expenditures and working capital requirements. A free cash flow (FCF) model is a model that is commonly used to estimate the intrinsic value of a corporation. A free cash flow model provides an estimate of the company's value by measuring the cash flows that the company will generate for investors after the necessary capital investments have been made. Therefore, Free cash flows incorporate things like asset purchases, changes in working capital, etc, and are used to value projects.

Repurchases are seen as a positive signal because it indicates that the firm believes its shares are undervalued, and it is using its resources to buy back shares at a discount. Repurchasing shares can increase the company's earnings per share (EPS), and the increase in EPS can lead to an increase in the company's stock price.

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examine the cross section through the lumbar section of the spinal cord and the two patellar reflex pathways shown. What identifies these synapses? Select the true statements (more than one). - Efferent impulses synapse twice with motor neurons - Both pathways will activate muscles - Both pathways will inhibit muscles - Pathways will activate one muscle and simultaneously inhibit it's antagonist muscle - Efferent impulses synapse with motor neurons and Interneuron's -Affarent impulses synapse twice with other motor neurons - Affarent impulses synapse with motor neurons and interneurons

Answers

The true statements that identify the synapses in the cross section through the lumbar section of the spinal cord and the two patellar reflex pathways are:Efferent impulses synapse with motor neurons and Interneurons.Afferent impulses synapse with motor neurons and interneurons.Both pathways will activate muscles.Pathways will activate one muscle and simultaneously inhibit its antagonist muscle.

The inhibitory signal travels to the motor neuron that innervates the hamstring muscles in the leg. The inhibitory signal causes the motor neuron to decrease its firing rate, which results in the relaxation of the hamstring muscles.

This relaxation, in turn, prevents the antagonistic muscle from resisting the contraction of the quadriceps muscle. Therefore, the simultaneous activation and inhibition of muscles allow for a coordinated response.

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Interviews are time-consuming and expensive because they only deal with a subject at a time. Interview methodology is perhaps the oldest of all the social science methodologies.""

Answers

Interviews are time-consuming and expensive due to the one-on-one nature of the process, where individual subjects are dealt with sequentially.

Despite these limitations, interviews remain a valuable and widely used social science methodology due to their ability to capture rich qualitative data and provide in-depth understanding of individuals' perspectives and experiences.

Time-Consuming: Interviews require dedicating individual time to each participant, which can be time-consuming. The process involves scheduling, conducting the interview, and transcribing or analyzing the data afterward. Compared to other research methods, such as surveys or experiments, interviews typically require more time and effort per participant.

Expensive: Interviews can be costly due to the resources involved. It may include expenses related to recruiting participants, hiring interviewers, providing incentives or compensation to participants, and transcribing or analyzing the data collected. The costs can add up, especially when dealing with a large number of participants or conducting interviews in diverse locations.

Dealing with a Subject at a Time: Interviews focus on individual participants, allowing in-depth exploration of their perspectives, experiences, and insights. However, this means that interviews are limited to gathering data from one person at a time, making the process slower compared to methods that can collect data from multiple participants simultaneously.

Oldest Social Science Methodology: Interview methodology has a long history and has been used extensively in social sciences for data collection. Interviews provide a direct interaction between the interviewer and the participant, enabling the exploration of complex social phenomena, personal experiences, and qualitative insights.

Despite these limitations, interviews remain a valuable and widely used social science methodology due to their ability to capture rich qualitative data and provide in-depth understanding of individuals' perspectives and experiences.

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AMA Company's bank statement for 31st December 2021 showed a cash balance of $2000. The company's Cash account in its general ledger showed a $1645 debit balance. The following information was also available as of December 31st a. A $100 NSF check from a customer, J. Steel is shown on the bank statement but not yet recorded by the company.

Answers

Reconciling the cash balances ensures that the company's records align with the bank's records, accounting for any discrepancies such as the NSF check.

To reconcile the cash balance between the bank statement and the company's general ledger, we need to consider the following information:

1. The bank statement shows a cash balance of $2000.

2. The company's Cash account in the general ledger shows a debit balance of $1645.

3. A $100 NSF (Non-Sufficient Funds) check from a customer, J. Steel, is shown on the bank statement but not yet recorded by the company.

To reconcile the balances, we need to make the necessary adjustments. In this case, we need to decrease the company's Cash account by $100 to account for the NSF check that was not recorded.

Adjusting journal entry:

Debit: Cash $100

Credit: Accounts Receivable $100

After recording the adjusting journal entry, the new balance in the Cash account would be $1545 ($1645 - $100). This adjusted balance should match the cash balance shown on the bank statement of $2000.

Reconciling the cash balances ensures that the company's records align with the bank's records, accounting for any discrepancies such as the NSF check.

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A hedge fund started with an initial investment of €75 million. The end-of-year value after fees for Year 1 was €70 million. For Year 2, the end-of-year value before fees is €90 million. The fund has a 2 and 20 fee structure. Management fees pay independently of incentive fees and calculate on end-of-year values. Incentive fees calculate using a high water mark and a soft hurdle rate of 2%. Total fees paid for Year 2 are: A) €4.4 million. B) €5.8 million. C) €4.8 million.

Answers

The total fees paid for Year 2 are €5.8 million. Option b is correct.

To calculate the total fees paid for Year 2, we need to consider both the management fees and the incentive fees.

Management fees are calculated based on the end-of-year value before fees. In this case, it is 2% of €90 million, which is €1.8 million.

Incentive fees are calculated using a high water mark and a soft hurdle rate of 2%. The high water mark ensures that fees are only paid on the increase in value from the previous peak. In Year 1, the end-of-year value after fees was €70 million. Since the Year 2 value before fees is higher than this, there is an increase.

The incentive fee is 20% of the increase in value. The increase in value from €70 million to €90 million is €20 million. So, the incentive fee is 20% of €20 million, which is €4 million.

Therefore, the total fees paid for Year 2 are the sum of the management fees and the incentive fees: €1.8 million + €4 million = €5.8 million.

Hence, the correct answer is B) €5.8 million.

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"Advocacy" is when: A) Extent to which the product's perceived performance matches a buyer's expectations (meet expectations) B) Extent to which the product's perceived performance matches a buyer's expectations (exceeds expectations) C) None of above D) A & B

Answers

The correct answer is D. Advocacy is when a customer is so satisfied with a product or service that they are willing to recommend it to others. This can be done through word-of-mouth, online reviews, or social media.

Advocacy is a powerful marketing tool, as it is seen as more credible than traditional advertising. A product's perceived performance can match a buyer's expectations in two ways:

The product meets the buyer's expectations. This means that the product does what the buyer expected it to do and there are no surprises.

The product exceeds the buyer's expectations. This means that the product does more than the buyer expected it to do and the buyer is pleasantly surprised.

When a product meets or exceeds a buyer's expectations, the buyer is more likely to be satisfied with the product and to recommend it to others.

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A student is conducting an evaluation for a company with the following statements. Answer whether it is TRUE or FALSE for each statement and specify the reasons. a) He finds that the company has acquired one of its suppliers and thus specifies the supplier power is high for the company. b) She specifies that because the company faces strong competition in its sector, the growth rate (currently high than the industry average level) will drop more quickly to the industry average growth level than it would if the company had sustained competitiveness. c) He has calculated a very positive cash conversion cycle (CCC) and believes that the company has a high operating efficiency. d) He decides to use the geometric growth rate, rather than the arithmetic growth rate, of revenues and net income in the common-size analysis. e) He plans to use the two-stage growth model and assumes that the high-growth period would be 20 years given the industry average is 9 years. f) He is going to use the FCFE model with the discount rate of WACC to calculate the share price for the company. g) He assigns a stable (long-term) growth rate of 5% given that some economist has predicted the economic growth rate will be around 3.5%.

Answers

Cash Conversion Cycle (CCC) is a financial metric that measures the time it takes for a company to convert its investments in inventory and other resources into cash inflows from sales.

a) FALSE. Acquiring a supplier does not necessarily indicate high supplier power for the company. Supplier power refers to the control suppliers have over pricing, terms, and supply availability, which can be influenced by factors such as market competition and alternative supplier options.
b) TRUE. If the company faces strong competition and loses sustained competitiveness, its growth rate is likely to drop more quickly to the industry average level. Intense competition can erode the company's market share and profitability, affecting its growth prospects.
c) TRUE. A positive cash conversion cycle (CCC) generally indicates high operating efficiency. CCC measures the time it takes for a company to convert its investments in inventory and other resources into cash inflows from sales. A shorter CCC implies the company efficiently manages its working capital and cash flow.
d) FALSE. The arithmetic growth rate is more appropriate for common-size analysis, which examines the relative changes in financial statement items over time. The geometric growth rate is commonly used in valuation models, but it may not accurately represent the growth pattern in common-size analysis.
e) FALSE. The assumption of a high-growth period of 20 years in the two-stage growth model exceeds the industry average of 9 years, which may lead to unrealistic projections. The high-growth period should be based on a reasonable assessment of the company's growth potential within the industry context.
f) TRUE. Using the Free Cash Flow to Equity (FCFE) model with the Weighted Average Cost of Capital (WACC) as the discount rate is a common approach to calculate the share price. FCFE represents the cash available to equity shareholders, and WACC reflects the required return on the company's invested capital.
g) TRUE. Assigning a stable long-term growth rate of 5% based on the economist's prediction of a 3.5% economic growth rate indicates a growth rate higher than the overall economy. This assumption implies that the company is expected to outperform the general economic conditions in the long run.

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E12-11 (Static) Inferring Balance Sheet Changes from the Cash Flow Statement (Indirect Method) LO12-2 A recent statement of cash flows for Colgate-Palmolive reported the following information (dollars in millions): Operating Activities Net income $2,554 Depreciation 421 Cash effect of changes in Receivables (130) Inventories (130) Other current assets 54 Payables 199 Other (72)
Net cash provided by operations $2,896 Source: Colgate-Palmolive Required: Based on the information reported on the statement of cash flows for Colgate-Palmolive, determine whether the following accounts increased or decreased during the period: Receivables, Inventories, Other Current Assets, and Payables. Account Change Receivables Inventories Other current assets Payables

Answers

From the below analysis, we can infer the changes in the accounts of Receivables, Inventories, Other current assets, and Payables of Colgate-Palmolive.

Based on the statement of cash flows for Colgate-Palmolive, the changes in the accounts of Receivables, Inventories, Other current assets and Payables are as follows:

Receivables: Receivables decreased by $130 million during the period, as cash effect of changes in Receivables is reported as negative $130 million.

The decrease in Receivables has a positive effect on the Net Cash from Operating Activities.

Inventories: Inventories also decreased by $130 million during the period. This indicates that Colgate-Palmolive was able to sell or utilize more of its inventory in comparison to the previous period.

The decrease in Inventories has a positive effect on the Net Cash from Operating Activities.

Other current assets: Other current assets increased by $54 million during the period. It means Colgate-Palmolive invested more in other current assets in the period.

The increase in Other current assets has a negative effect on the Net Cash from Operating Activities.

Payables: Payables increased by $199 million during the period. This shows that Colgate-Palmolive was able to delay paying some of its bills.

The increase in Payables has a positive effect on the Net Cash from Operating Activities.

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which of the following is a bank liability? group of answer choices transactions account balances. loans made to customers. reserve deposits at the fed. securities the bank has purchased.

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A bank liability is a financial obligation of a bank towards its customers and other institutions. It is a claim against the bank's assets by another party, and banks are obligated to pay them out when they become due. It is an important aspect of a bank's balance sheet and includes the amounts owed to depositors, other banks, and the central bank.
Of the options given, the securities the bank has purchased is not a bank liability. Instead, it is an asset of the bank. Securities are bought by banks to earn interest income or to hold as a reserve to meet liquidity needs. However, the other options are bank liabilities.
Transaction account balances are a type of bank liability that arises from the deposits made by customers in their checking and savings accounts. These deposits are payable on demand and can be withdrawn at any time.
Loans made to customers are another type of bank liability. Banks borrow money from depositors and other institutions to lend to borrowers in the form of loans. When the loan is repaid, the bank reduces its liability.
Reserve deposits at the Fed are also a type of bank liability. Banks are required to maintain a certain level of reserves to ensure that they have enough liquidity to meet their obligations. These reserves are held at the Federal Reserve Bank and are considered a liability of the banks.
In conclusion, the correct answer is transactions account balances, loans made to customers, and reserve deposits at the Fed are all examples of a bank liability. Securities the bank has purchased is not a bank liability but is an asset of the bank.

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Assume that a firm operates in an industry where it has all the market power and it faces a constant marginal cost of 40. The firm’s market demand is Q= 400 −4P.

(3 pts) Define producer and consumer surplus, calculate their value in this case, and note their locations
in your figure. [No more than 5 sentences]
(d) (3 pts) Is there a deadweight loss? If so, why? And how large is it? [No more than 5 sentences]
(e) (3 pts) Are consumers harmed by the presence of market power? Explain using the example of this
problem. [No more than 5 sentences]
(f) (3 pts) Now assume that you are the policymaker and you want to "fix" this market. What kinds of
policies can be used to increase competition? [No more than 5 sentences]
(g) (3 pts) Using your answer to part (f), what would be the best possible outcome of this policy on the
economy? [No more than 5 sentences]
(h) (3 pts) Using your answer part (g), what would happen to the deadweight loss, producer surplus, and
consumer surplus? Why?

Answers

(a) Producer surplus is the difference between the price at which producers are willing to supply a good and the price they actually receive. Consumer surplus is the difference between the price consumers are willing to pay for a good and the price they actually pay. In this case, the producer surplus can be calculated as the area above the marginal cost curve and below the market price, which is equal to (P - 40) * Q. Consumer surplus can be calculated as the area below the demand curve and above the market price, which is equal to (400 - P) * Q.

(b) To calculate the values of producer and consumer surplus, we need to find the equilibrium price and quantity. Equating the quantity demanded and quantity supplied, we have 400 - 4P = Q = (P - 40). Solving this equation, we get P = 120 and Q = 280. Substituting these values into the respective surplus formulas, we find the producer surplus to be (120 - 40) * 280 = $6,720 and the consumer surplus to be (400 - 120) * 280 = $84,000.

(c) In this case, there is no deadweight loss because the firm has all the market power and is able to maximize its profits by setting the price above the marginal cost. The firm captures all the surplus in the market, leaving no inefficiency or loss of welfare.

(d) Consumers are harmed by the presence of market power in this case. The firm with market power can set a higher price than the competitive market price, resulting in a transfer of surplus from consumers to the firm. This leads to a reduction in consumer surplus compared to a perfectly competitive market.

(e) To increase competition in this market, policymakers can implement policies such as antitrust regulations to prevent the firm from having excessive market power, promote entry of new competitors, or encourage market competition through pricing and advertising regulations.

(f) The best possible outcome of policies to increase competition would be a more competitive market where multiple firms operate and compete based on price and quality. This would lead to lower prices for consumers, increased consumer surplus, and a more efficient allocation of resources.

(g) With increased competition, the deadweight loss would be reduced or eliminated as the market moves closer to the competitive equilibrium. Producer surplus may decrease as firms face more competition and lower prices, while consumer surplus would increase due to lower prices and more choices.

(h) The reduction in deadweight loss would result from the elimination of the artificial market power and the inefficiencies associated with it. Producer surplus may decrease as firms face more competition and have to lower prices, while consumer surplus would increase due to lower prices and a more competitive market environment. The overall welfare of the economy would be improved as resources are allocated more efficiently and consumers benefit from lower prices and increased choices.

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Why is the purchasing function so particularly concerned with ethics?

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The purchasing function is particularly concerned with ethics because of the following reasons: The purchasing function has a significant effect on the image and reputation of the organization.

The purchasing function often has a direct impact on the profitability and sustainability of the business. The purchasing function often has access to sensitive and confidential data, and unethical behavior in this area can result in legal and financial consequences.

The purchasing function is frequently under scrutiny from stakeholders, including suppliers, customers, and the public, who expect the organization to act ethically. Ethical behavior by the purchasing function may lead to long-term benefits such as loyal customers and a positive brand image.

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Country A does 90% of its trade with Country B and 10% with country C If Country A's exchange rate index was 100 last year and the only change since last year has been that country C's currency has appreciated 10% against both A and B. What is country A's exchange rate index today? (expressed so a higher number means a stronger currency)

Answers

Country C's currency has appreciated 10% against both A and B: Country A's exchange rate index today is 99.

To calculate the exchange rate index, we need to consider the trade weights of each country and the changes in their respective currencies. Given that Country A does 90% of its trade with Country B and 10% with Country C, we can assign trade weights of 90% and 10% respectively.

Since Country C's currency has appreciated by 10% against both Country A and Country B, we need to adjust the exchange rate accordingly. An appreciation of 10% means that the currency has increased in value by 10%.

To calculate the exchange rate index, we multiply the trade weights by the percentage change in the currency's value and sum them up. In this case, the calculation would be:

Exchange Rate Index = (90% * 0%) + (10% * 10%) = 0 + 1 = 1

Since the exchange rate index last year was 100, the exchange rate index today would be 100 - 1 = 99. A higher number in the exchange rate index indicates a stronger currency for Country A.

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A hair care retailer needs to finalize the purchasing plans for a new hair care product. Following information is provided by the purchasing director regarding the product’s supply.
Ordering costs = $60/order
Holding costs = $12 /unit/year
Lead-time = 2 weeks
Unit cost = $80/unit
Demand = 200 units/week
Number of weeks per year = 50
Currently, retailer plans to order once each two weeks during its 50-week year. What is the total cost of ordering and holding these goods under this system? What is the total cost?
How many units should the purchasing director order at one time to minimize the total annual cost of purchasing and carrying? (What is the EOQ?)
When should the product be ordered? (What is the reorder point?)
What is the cost of ordering and holding goods using the EOQ? How does it compare to the cost in (a)?
The retailer decides to keep 1 week’s demand as safety stock to buffer the uncertainty in supply.
What is the safety inventory? How does the EQO and Reorder point change with safety stock?
What is the cost of ordering and holding goods if safety inventory is kept?

Answers

To calculate the total cost of ordering and holding the hair care product under the current system, we need to consider both the ordering costs and holding costs.

a) **Total cost of ordering and holding goods under the current system:**

Ordering costs: $60/order

Holding costs: $12/unit/year

Unit cost: $80/unit

Demand: 200 units/week

Number of weeks per year: 50

The number of orders placed per year can be calculated as:

Orders per year = (Number of weeks per year) / (Ordering frequency)

Orders per year = 50 / (2 weeks) = 25 orders per year

The order quantity for each order can be calculated as:

Order quantity = (Demand per week) x (Lead time)

Order quantity = 200 units/week x 2 weeks = 400 units

The holding cost per unit per year can be calculated as:

Holding cost per unit per year = (Holding cost per unit) x (Order quantity) / 2

Holding cost per unit per year = $12/unit/year x 400 units / 2 = $2,400

The ordering cost per year can be calculated as:

Ordering cost per year = (Ordering cost per order) x (Orders per year)

Ordering cost per year = $60/order x 25 orders per year = $1,500

The total cost of ordering and holding goods under this system is the sum of the ordering cost and holding cost:

Total cost = Ordering cost per year + Holding cost per year

Total cost = $1,500 + $2,400 = $3,900

b) **Optimal order quantity (EOQ):**

The Economic Order Quantity (EOQ) is the order quantity that minimizes the total annual cost of purchasing and carrying inventory. It can be calculated using the formula:

EOQ = √[(2 x Demand x Ordering cost per order) / Holding cost per unit per year]

EOQ = √[(2 x 200 units/week x $60/order) / $12/unit/year]

EOQ = √[(2 x 10,000) / $12]

EOQ = √1666.67

EOQ ≈ 40.83 units (rounded to the nearest whole unit)

c) **Reorder point (ROP):**

The reorder point is the inventory level at which a new order should be placed to avoid stockouts during the lead time. It can be calculated using the formula:

ROP = Demand per day x Lead time

ROP = (Demand per week / 7 days) x Lead time

ROP = (200 units/week / 7 days) x 2 weeks

ROP ≈ 57.14 units (rounded to the nearest whole unit)

d) **Cost of ordering and holding goods using EOQ:**

To calculate the cost of ordering and holding goods using the EOQ, we need to calculate the new ordering cost and holding cost.

Ordering cost per year = (Ordering cost per order) x (Number of orders per year)

Ordering cost per year = $60/order x (Demand per year / EOQ)

Ordering cost per year = $60/order x (200 units/week x 50 weeks / 40.83 units)

Ordering cost per year ≈ $14,703.06

Holding cost per year = (Holding cost per unit per year) x (EOQ / 2)

Holding cost per year = $12/unit/year x (40.83 units / 2)

Holding cost per year ≈ $244.95

The total cost of ordering and holding goods using the EOQ is the sum of the ordering cost

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Communication Applications Create a personal communication model that demonstrates an actual "situation" or communication encounter/interaction between at least two people.
Requirements:
Must be neat and have color You must be creative!
You must include the following 7 elements of the communication process
a. the sender (where the message originates)
b. the receiver ( who receives the message)
c. the message (something you are attempting to communicate)
d. the channel (how the message is sent)
e. the barriers or interference (at least 2 types)
f. the feedback (the response of the receiver to the original sender)
g. the context/situation (the environment and where the communication encounter takes place.
Subject- Business communication

Answers

Personal Communication Model: sender: Sarah (a sales representative)

Receiver: Mark (a potential client)

Message: Sarah is trying to pitch a new product to Mark and convince him to make a purchase.

Channel: Email (Sarah sends a detailed product presentation and pricing information to Mark).

Barriers/Interference:

1. Language barrier: Mark is not a native English speaker, so there might be a potential language barrier that could affect his understanding of the message.

2. Technical difficulties: There could be technical issues with the email delivery or Mark's email system, which might result in delayed or incomplete message reception.

Feedback: Mark responds to Sarah's email expressing his interest in the product and requesting further information about the warranty and after-sales service.

Context/Situation: The communication encounter takes place in a business setting, where Sarah is representing her company and trying to establish a business relationship with Mark, who is a potential client.

Sarah, a sales representative, is using email as a channel to communicate her message to Mark, a potential client. She wants to pitch a new product and persuade Mark to make a purchase. However, there are potential barriers that can hinder effective communication. Since Mark is not a native English speaker, there might be a language barrier that could affect his understanding of the message. Additionally, technical difficulties such as email delivery issues or problems with Mark's email system could interfere with the smooth transmission of the message. After receiving Sarah's email, Mark provides feedback expressing his interest and seeking further information. The context of this communication is a business setting, where Sarah represents her company and aims to establish a successful business relationship with Mark.

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For every exist1,000 of annual income, households maintain average cash balances (their demand for money) of exist200. How will growth in GDP affect interest rates, holding the money supply constant? Use the liquidity preference framework. 1) Using the line drawing tool, show the effect of growth in GDP using the liquidity preference framework. Properly label your line. 2.) Using the point drawing tool, indicate the new equilibrium interest rate and quantity of money. Label the point 2. Carefully follow the instructions above, and only draw the required objects.

Answers

The given statement explains that, for every $1,000 increase in the annual income of households, they maintain average cash balances of $200. Now, let's see how growth in GDP affects interest rates by using the liquidity preference framework.

Liquidity preference frameworkThe liquidity preference framework was created by John Maynard Keynes and is used to explain why people tend to hold more or less money at various interest rates. In this framework, the demand for money is dependent on the interest rate.Growth in GDP effect on interest ratesAccording to the liquidity preference framework, an increase in income leads to an increase in the demand for money and a decrease in interest rates.

Households' demand for money is higher when their income is higher. Because the demand for money is directly related to interest rates, when demand increases, interest rates decrease. This is because people are more inclined to save more money when they have more income, and the banks are more inclined to lend more money.In addition, the increase in demand for money lowers the equilibrium interest rate, as shown in the diagram below.1. The Effect of GDP Growth on the Interest Rate:2. The New Equilibrium Interest Rate and Quantity of Money:New equilibrium interest rate: 2%New quantity of money: $2,200 (where the two lines intersect)Therefore, the new equilibrium interest rate is 2%, and the new quantity of money is $2,200.

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Your company is considering developing a new product. The project requires the outlay of $50000 per year for 3 years. Net returns from the new product will begin in year 4 and are estimated to be $45000 for 4 years, The residual value of the outlay after 7 years is 40000. If investment of 8% is required what is the net present value of this new product.

Answers

The Net Present Value of the project  is negative 344.31. NPV, or net present value, is how much speculation is worth all through its lifetime, limited to the present worth.

The recipe for NPV is in many cases utilized in speculation banking and bookkeeping to decide whether a venture, task, or business will be productive over the long haul.

NPV technique empowers the dynamic interaction for organizations. Besides the fact that it assesses undertakings of a similar size, it likewise helps in distinguishing whether specific speculation is profit-making or loss-making.

Given;

Present worth = Future worth/(1 + r)n

r = 8%

Net Present Value = - $50,000/(1.08)1 + - $50,000/(1.08)2 + - $50,000/(1.08)3 + - $40,000/(1.08)4 + $40,000/(1.08)5 + $40,000/(1.08)6 + $40,000/(1.08)7 + $40,000/(1.08)7

= -$344.31.

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To what degree did Reagan and conservative policies reshape American society and politics, and to what degree did the legacy of 1960s reform continue despite these efforts? What were the greatest foreign policy successes and failures of the Reagan administration? Did Reagan's foreign policies alter Soviet behavior, or were other factors responsible for winding down the Cold War?

Answers

Ronald Reagan was elected president in 1980 on a platform of conservative reform. He promised to reduce the size of government, cut taxes, and strengthen the military.

Reagan's policies had a significant impact on American society and politics. Reagan's economic policies, known as Reaganomics, were based on the belief that lower taxes and less government regulation would stimulate the economy. Reagan cut taxes by 25% across the board and reduced government spending by 10%. These policies led to a period of economic growth, but they also widened the gap between the rich and the poor. Reagan also appointed conservative judges to the Supreme Court, who shifted the court's balance to the right.

Reagan's foreign policies were successful in some respects. The Soviet Union collapsed in 1991, and the Cold War came to an end. However, Reagan's policies also led to increased tensions with the Soviet Union and a number of costly military interventions.

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Based on the question below, what process would you use for selecting a strategy?

(Question for reference - you do not need to answer this question): "What are the major elements of a negotiation strategy?"

Answers

The process of selecting a negotiation strategy requires a thorough and careful analysis of all relevant factors, including both objective and subjective considerations, in order to arrive at the most effective approach.

To select a strategy, one should use a process that involves identifying, evaluating and selecting alternatives. To do this, there are a number of factors that must be considered including the goals and objectives of the negotiation, the constraints and opportunities that exist, the power dynamics between the parties, and the underlying interests and motivations of each side. It is also important to have a clear understanding of the potential outcomes of each alternative and to weigh the costs and benefits of each.

In conclusion, the process of selecting a negotiation strategy requires a thorough and careful analysis of all relevant factors, including both objective and subjective considerations, in order to arrive at the most effective approach.

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