The exchange rate, the demand for Canadian goods abroad, interest rates in Canada and other nations, and the anticipated future exchange rate are all factors affecting the demand for Canadian dollars in the foreign currency market.
What factors affect the availability of Canadian dollars on the currency exchange market? The demand for Canadian dollars in the foreign exchange market is influenced by a number of factors, including the exchange rate, the demand for Canadian goods abroad, interest rates in Canada and other nations, and the anticipated future exchange rate.Exports To Other Countries Are More Affordable.Countries that send goods to Canada benefit from a decline in the value of the Canadian dollar.They will pay less than they did previously because of the decreased exchange rates.A soft peg is the name for a currency strategy in which the government typically lets the market determine the exchange rate, but in some circumstances, particularly if the rate appears to be going quickly in one way, the central bank will intervene in the market.To learn more about foreign currency market refer
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)A stock is expected to pay a dividend of $1 per share in two months and in five months. The stock price is $50, and the risk-free rate of interest is 8% per annum with continuous compounding for all maturities. An investor has just taken a short position in a six-month forward contract on the stock. The forward contract is initiated today.
(1) the forward price of the forward contract is $_____ (保留四位小数)
(2) the initial value of the forward contract is $_____ (保留四位小数)
(3) Three months later, the forward price of the stock is 47.9699 for the same forward contract and the risk-free rate of interest is still 8% per annum. The value of the short position in the forward contract is $_____(保留四位小数)
Which element of a contract specifies when and how the project will be completed?
The construction *blank*
specifies to the *blank*
when and how the project will be completed.
The element of a contract that specifies when and how the project will be completed is the construction timeline or schedule.
The construction timeline outlines the specific dates, milestones, and deadlines associated with the project. It provides a clear roadmap for the completion of various tasks and stages of the construction project.
The timeline typically includes important details such as start and end dates, key milestones, deliverables, and any interim deadlines. It sets expectations regarding the duration of the project and the sequence of activities to be followed.
By specifying the when and how of the project completion, the construction timeline helps ensure that all parties involved have a common understanding of the project's timeline and can plan their activities accordingly. It serves as a crucial reference point for monitoring progress, managing resources, and identifying any potential delays or deviations from the agreed-upon schedule.
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Bud exchanges land with an adjusted basis of $ 22,000 and a fair market value of $ 30,000 for another parcel of land with a fair market value of $ 28,000 and $2,000 cash. What is Bud's recognized gain or loss?
a. $0
b. $2,000
c. $6,000
d. $8,000
e. None of the above
Given :
Bud exchanges land with an adjusted basis of $ 22,000 and a fair market value of $ 30,000 for another parcel of land with a fair market value of $ 28,000 and $2,000 cash.
To Find :
What is Bud's recognized gain or loss.
Solution :
This is a transaction of like kind exchange.
So, gain or loss to be recognized is :
\(= ( 28000+2000) - 28000\\\\=\$ 2000\)
Therefore, option B) is correct.
4. These are goods that are non-rival and nor excludable in consumption A. public goods B. export goods C.private goods D. consumption goods
Public goods are goods that are non-rival and non-excludable in consumption. This means that the consumption of the good by one individual does not reduce the availability of the good for consumption by others, and that it is not possible to prevent individuals from consuming the good. The correct answer to the question is A.
Examples of public goods include street lighting, national defense, and public parks. These goods are typically provided by the government because they are considered to be important for the well-being of society as a whole, but it is difficult for private companies to provide them because they cannot charge individuals for their use. The provision of public goods can be challenging because of the free-rider problem. This occurs when individuals are able to benefit from the provision of the public good without contributing to its production or maintenance.
This can lead to under-provision of public goods because there is little incentive for individuals to contribute to their provision. Overall, public goods are an important concept in economics because they represent goods that are not well-suited to provision by the market, and require government intervention to ensure their provision for the benefit of society as a whole. The correct answer to the question is A.
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When is the advisable time to start building or adding to your own professional network?
Question 5 options:
a)
Upon graduation
b)
When you need a job
c)
Whenever you have time
d)
Right now
Answer:
A. Upon Graduation
One billion hours of labor are available for making products in Mandovia, and 2 billion hours of labor are available for making products in Ducennia. In a no-trade world, let’s assume that half the labor in each country gets used to make each product. Calculate the output of rotids and taurons, rounding to one decimal place.
Answer:
Mandovia
Rotid
Mandovia total labor hours is 1 billion which is to be divided equally to make one product so 500 million hours per product. It takes 50 hours to make one rotid so with 500 million;
= 500,000,000/50
= 10,000,000 rotids
Taurons
= 500,000,000/100
= 5,000,000 taurons
Ducennia
Rotids
Ducennia total labor hours is 2 billion which is to be divided equally to make one product so 1 billion hours per product. It takes 150 hours to make one rotid so with 1 billion hours will be;
= 1,000,000,000/150
= 6,666,666.7
= 6.7 million rotids
Taurons
= 1,000,000,000/20
= 50,000,000 taurons
Rise Against Corporation is comparing two different capital structures: an all equity plan (Plan A) and a levered plan (Plan B). Under Plan A, the company would have 210,000 shares of stock outstanding. Under Plan B, there would be 150,000 shares of stock outstanding and $2.28 million in debt outstanding. The interest rate on the debt is 8%, and there are no taxes.
a. If EBIT is $500,000, what is the EPS for each plan? (Round your answers to 2 decimal places.(e.g., 32.16))
EPS
Plan I $
Plan II $
b. If EBIT is $750,000, what is the EPS for each plan? (Round your answers to 2 decimal places.(e.g., 32.16))
EPS
Plan I $
Plan II $
c. What is the break-even EBIT? (Enter your answer in dollars, not millions of dollars, i.e. 1,234,567.)
Break-even EBIT $
Answer:A)Plan I = $2.38; Plan II,= $2.12
B) Plan I = $3.57; Plan II = $3.78
C)The Break-even EBIT IS $638,400
Explanation:
earning per share is given as
Earning per share = (Net income - interest ) ÷ (Number of shares)
and
a. if EBIT is $500,000
For Plan I when there is no interest on debt, we have that
EPS = ($500,000) / (210,000 shares) = $2.38
For Plan II, when interest rate on debt is 8%, We have that interest becomes
$2.28 million in debt outstanding x interest rate on debt of 8%
= $182,400
So thta the EPS on Plan II becomes
= ($500,000 - $182,400) / (150,000 shares) = $2.12
From the computation above we can see that Plan I has higher EPS
b.if EBIT is $750,000
For Plan I
EPS = ($750,000) /(210,000 shares) = $3.57
For Plan II, Using the interest as obtained from the solving above
EPS = ($750,000 - $182,400) / (150,000 shares) = $3.78
Here, Plan II has higher EPS
c. Break-even EBIT
This occurs when EPS (Plan 1) = EPS (Plan II)
(EBIT) /(Number of shares) = (EBIT - Interest) / Number of shares
(EBIT) /(210,000) = (EBIT - $182,400) /$150,000
(EBIT) = (EBIT - $182,400) /$150,000 X 210,000)
(EBIT) = (EBIT - $182,400) 1.4
(EBIT) = 1.4 EBIT-2553360
255360= 1.4 EBIT - EBIT
2553360= 0.4 EBIT
EBIT =2553360/0.4
EBIT =$638,400
The Break-even EBIT IS $638,400
What benefits does target receive from its store brand?
Imagine that in 2019 the economy is in long run equilibrium. Then, stock prices rise more than expected and stay high for some time. Refer to scenario 33-2. In the long run, what happens to the expected price level and what impact does this have on wage bargaining?
graph: y= price level. 2 lines going up parallel to each other SRAS1 and SRAS2
x= Quantity Output. 2 lines going down parallel AD1 and AD2......
There is a line that goes in center from x (straight up) LRAS
SRAS1 and SRAS2 intersect with AD1 and AD2 at points A,B,C,D LRAS intersects at its A and C
In the long run, The expected price level rises. New wage contracts are negotiated at higher wages.
What are wages?Wages are payments made typically in cash in exchange for labor or services, typically on an hourly, daily, or piecework basis and in accordance with a contract.
The compensation or reward for labor is called a wage. Real wages and nominal wages are the two primary categories of earnings. Money earnings are referred to as "nominal wages." However, "real wages" refers to the goods and services that may be obtained with money earnings.
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Wilma's Winery uses the indirect method to determine net cash provided by operating activities. During 2017, Wilma experienced a
decrease in Accounts Receivable of $8,000, an increase in Accounts Payable of $1,000, and an increase in Inventory of $4,000. What
should be reported as the net cash provided by operating activities if net income was reported at $23,000?
O $34,000
O $26,000
O $28,000
O $20,000
Answer: $23,000+ $8000+ $1000 - $4000= 28,000
$28,000 should be reported as the net cash provided by operating activities if net income was reported at $23,000. Hence, option C is correct.
What is operating activities?All the actions a company takes to constantly promote its products and services are referred to as operating activities. Non-operating activities are one-time occurrences that are unconnected to the normal, primary business activity of the company but may have an impact on sales, costs, or cash flow.
Cash flow from operating activities refers to the earnings a company makes through ongoing, regular business activities like creating and selling things or providing clients with services. It appears as the first section of a corporation's cash flow statement.
Operating activities generate the majority of the organization's cash flows because they are intimately tied to its core business operations, including sales, distribution, production, and so forth.
Thus, option C is correct.
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Accumulated depreciation
A.) Increase Liabilities
B.) Increase assets
C.) Decreases assets
D.) decreases liabilities
Determine the missing amount:
Assets=Liabilities+owners Equity x 272000 573000
Based on the given amounts of assets and liabilities, the missing amount of Owner's equity is $301,000
How to find the equity?The Owners equity is one of the parts of the Accounting equation which is:
Assets = Liabilities + Owners Equity
The Assets in this instance is $573,000 and the Liabilities are $272,000.
The Owner's equity is the missing amount and it can be found as:
573,000 = 272,000 + Owners Equity
Owners Equity = 573,000 - 272,000
Owners Equity = $301,000
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In attempting this merger between Comcast and Time Warner, their executives were trying to fulfill their overriding goal as managers. Which of the following best describes that goal?
The goal of the executives who were trying to fulfill their overriding goal as managers by attempting this merger between Comcast and Time Warner is to maximize the value of a company for its shareholders.
What is a merger?This refers to the agreement that unites two existing companies into one new company.
In attempting this merger between Comcast and Time Warner, their executives were trying to fulfill their overriding goal as managers in order to maximize the value of a company for its shareholders.
Therefore, the Option C is correct.
Missing options "a. advancing the technology of the industry helps all industry participants
b. the overriding goal of managers is to maximize the value of a company for its shareholders
c. managers are tasked the performing value-chain functional activities at the lowest possible cost.
d. ultimately, a company looks to expand its business activities beyond one market or industry."
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PLS HELP ASAP WILL MARK BRAINLIEST 100 POINTS ASAP
Submit your 600-word business proposal and plan.
To write a business proposal and business plan, you need to know the following about both forms of writing:
A business plan is meant to showcase the objectives and goals of the business.A business proposal states the prices that are required for a new business deal. What is the difference between a business plan and a proposal?A business plan is a piece of document that is meant to highlight the goals and objectives of a business. It also shows ways to reach those goals. A business proposal, on the other hand, showcases the exact prices that are required to reach some business objectives.
The following pieces of information are meant to be included in a business plan: the structure of the business, the products and services to be offered, strategies to use in accomplishing objectives, and the financial framework te will guide the processes.
When writing a business proposal, include the following: title page, the table of contents, executive summary, the business problems to solve and the solutions to them, the prices for the pre-planned actions and the conclusion of the proposal.
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What are the five steps in the marketing research approach?
Answer: define the problem or opportunity, develop your marketing research plan, collect relevant data and information, analyze data and report findings, and put your research into action
Explanation: Just trust me this is a great way for marketing approaches
Solutions for lack of accurate and timely information?
Solutions for information overload?
Information overload is a rising issue for organisations all over the world, and improving employee experience is a top concern for the majority of them. The problem is that, despite the fact that information overload is a well-known issue, it appears that most firms have yet to find effective methods to address it, which is rather concerning.
Information overload in the workplace refers to the large volume of irrelevant information that circulates among employees. In today's job, it is difficult to prevent information overload. Most businesses, from start-ups to huge corporations, are experiencing information overload.
It is also critical to deliver correct and timely information. People and organizations will make poor judgements in the absence of accurate, reliable, and timely information.
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Part One—Identifying Accounting Terms
Directions: Select the one term in Column I that best fits each definition in Column II. Print the
letter identifying your choice in the Answers column.
Answers
Column
Column II
1. An accounting device used to analyze transactions. (p. 29)
1.
A. chart of accounts
2.
B. credit
2. An amount recorded on the left side of a T account. (p. 29)
3.
C. debit
3. An amount recorded on the right side of a T account. (p. 29)
4.
D. normal balance
4. The side of the account that is increased. (p. 29)
5.
E. T account
5. A list of accounts used by a business. (p. 32)
1. Chart of accounts is used to analyze transactions
2. Debit is recorded on the left side of a T account
3. Credit is recorded on the right side of a T account
4. Normal balance is the side of the account that is increased
5. A list of accounts used by a business is T account
1. Chart of accounts
A. Chart of accounts are details of an organization transaction which an accountant makes use of when posting the company account transaction into the company ledger account.
2. Debit side
Debit side represent amount received or money that comes into a person account.
3. Credit side
Credit side means to give or represent the money that goes out of a person account.
4. The side of the account that is increased is normal balance
Normal balance means that an account will have a debit balance (Positive balance) or credit balance (Negative balance) based on the double entry principle.
5. T account
T-account is the way in which accounting transaction is written in a T format in which the right side of the account will represent the Debit side while the left side will represent the Credit side.
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Juniper Design Limited of Manchester, England, is a company specializing in providing design services to residential developers. Last year the company had net operating income of $420,000 on sales of $1,500,000. The company’s average operating assets for the year were $1,700,000 and its minimum required rate of return was 15%.
Required:
Compute the company’s residual income for the year.
Answer: 165,000
Explanation:
To compute the company’s residual income for the year, we can use the formula:
Residual Income = Net Operating Income – (Minimum Required Rate of Return x Average Operating Assets)
Given: Net Operating Income = $420,000 sales = $1,500,000
Average Operating Assets = $1,700,000
Minimum Required Rate of Return = 15% = 0.15
Residual Income = Net Operating Income – (Minimum Required Rate of Return x Average Operating Assets)
Residual Income = $420,000 – (0.15 x $1,700,000)
Residual Income = $420,000 – $255,000
Residual Income = $165,000
Therefore, the company’s residual income for the year was $165,000.
What is one advantage of starting to invest
What is a disadvantage of digital payments
Answer:In conclusion, virtual payments offer many advantages, including convenience, security, and reduced costs. However, there are several disadvantages to consider, such as technical issues, security risks, and limited consumer protection.
Explanation:
Define Market failure
Answer:
MARKET FAILURE is defined as the economic situation in which there is inefficient distribution of goods and services.
hope it helps
have a nice day
Answer:
Market failure is the economic situation defined by an inefficient distribution of goods and services in the free market.
Explanation:
•| jess bregoli |•#keep learning!!
At the end of 2011, the XYZ city deferred Br. 40,000 in property taxes, and that
amount is reflected in the beginning balance sheet is recognized as revenue for
2012.
At the end of 2011, the XYZ city deferred Br. 40,000 in property taxes, which means that the city did not recognize this amount as revenue in the 2011 financial statements. Instead, it carried it forward as a liability on the beginning balance sheet for 2012.
In 2012, the Br. 40,000 deferred property taxes are recognized as revenue, reflecting an increase in the city's financial resources. This recognition follows the accrual accounting principle, where revenue is recognized when it is earned, regardless of when the cash is received. By recognizing the deferred property taxes as revenue in 2012, the city accurately reflects its financial position and performance for that year.
The recognition of the deferred property taxes as revenue in 2012 will impact the city's income statement, increasing its revenue figure, and potentially affecting its net income or surplus. It also signifies the city's ability to generate resources from property taxes, which can contribute to funding public services and projects within the XYZ city.
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Question 26
You purchase 50 shares of stock for $50 each. You receive dividends each year for
years of $2 per share. After 5 years, you sell the stock for $52.50 per share. What is
your return on investment in dollars?
Your return on investment in dollars, based on the amount of dividends received, and the selling price per share, is $625
How to find the return on investment?Your return on investment in dollar terms can be found by the formula:
= Dividends received + Capital gains
The Dividends received per year from each share was:
= Number of shares x Dividends per share per year
= 50 shares x 2 per share
= $100
The Dividends received in five years of holding the shares are:
= Number of years x Dividends received in total per year
= 5 x 100
= $500
The capital gains per share are:
= Selling price per share - Buying price per share
= 52.50 - 50
= $2.50
The capital gains on all the shares is:
= Capital gain per share x Number of shares
= 2.50 x 50
= $125
The total return on investment in dollars is:
= 500 + 125
= $625
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All three of the $5000 billion GDP figures (Production, Income and Spending) are in ____________ dollars.
Answer: D inflation adjusted, real
Explanation:
The GDP calculation acquired in the flow chart of $5,000 billion were all done after adjusting for inflation which means that they were in real dollars.
Inflation adjusted GDP enables more effective comparison between different periods as inflation tends to inflate the prices of goods and services and can make one think that the economy has grown more than it actually has.
When the value of GDP is inflation adjusted, it can then be seen just how much the economy improved or shrank.
Occupational hygiene focuses specifically on three types of exposures. Explain any Two of these
Occupational hygiene focuses specifically on three types of exposures are:
chemical physical biologicalWhat is Occupational hygiene?Occupational hygiene can be described as the process that is been used in the work placer so that it can focus on the monitoring as well as preservation of the people of the workplace from any hazards.
chemical exposure can be described as one that focus on any hazards that can come from the use of toxic substance in the workplace. physical exposure can be described as the one tat focus on any hazards as a result of any physical injury in the workplace.
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in a survey of companies, it was found that 45 were in the mining sector, 72 were in
the financial sector, 32 were in the IT sector and 101 were in the production sector,
Answer:
0.288
0.308
Explanation:
Given :
Mining sector = 45
Financial sector = 72
IT sector = 32
Production sector = 101
Total number of companies :
(45 + 72 + 32 + 101) = 250
A.)
Probability that a randomly selected company is in the financial sector
Recall :
Probability = required outcome / Total possible outcomes
P(company = financial) = (number of companies in financial sector / total number of companies)
P(company = financial) = 72 / 250 = 0.288
B.)
Company is either a mining or IT company :
P(company = Mining or IT) = (number of mining + number of IT Companies) / total number of companies
P(company = Mining or IT) = (45 + 32) / 250 = 77 / 250 = 0.308
Best practice standards are
Best practice standards means principles of care that reflect the type and implementation of service recommended by research, professional literature, and professional experience.
It involves keeping up to date with the ways that successful businesses operate in your sector and others, and includes measuring your ways of working against those used by the market leaders.
Areas where best practice standard can be applied1 - Communication
2 - Leading by Example
3 - Setting and Demanding Realistic Goals
4 - Open Management Style
5 - Strategic Planning
Strict best practice guidelines may be set by a governing body or may be internal to an organisation.
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What are LinkedIn Groups?
Answer:
A LinkedIn group is like a dedicated place or hub where like-minded professionals who belong to the same niches and have the same interests build meaningful relationships and share their expertise to help each other gain particular business objectives.
These groups provide an opportunity to build a professional community and build your brand on this platform. These are considered the most valuable resources for career networking, brand awareness, engagement, and lead generation.
Select the correct answer.
Some social workers work in hospitals.
A. True
B. False
Answer:
A
Explanation:
Precision Systems manufactures CD burners and currently sells 18,500 units annually to producers of laptop computers. Jay Wilson, president of the company, anticipates a 15 percent increase in the cost per unit of direct labor on January 1 of next year. He expects all other costs and expenses to remain unchanged. Wilson has asked you to assist him in developing the information he needs to formulate a reasonable product strategy for next year.
You are satisfied that volume is the primary factor affecting costs and expenses and have separated the semivariable costs into their fixed and variable segments. Beginning and ending inventories remain at a level of 1,000 units. Current plant capacity is 20,000 units. The following are the current-year data assembled for your analysis.
Sales price per unit $100
Variable costs per unit:
Direct materials $10
Direct labor $20
Manufacturing overhead and selling and administrative expenses 30 60
Contribution margin per unit (40%) $40
Fixed costs $390,000
Required:
a. What increase in the selling price is necessary to cover the 15 percent increase in direct labor cost and still maintain the current contribution margin ratio of 40 percent?
b. How many units must be sold to maintain the current operating income of $350,000 if the sales price remains at $100 and the 15 percent wage increase goes into effect?
c. Wilson believes that an additional $700,000 of machinery (to be depreciated at 20 percent annually) will increase present capacity (20,000 units) by 25 percent. If all units produced can be sold at the present price of $100 per unit and the wage increase goes into effect, how would the estimated operating income before capacity is increased compare with the estimated operating income after capacity is increased? Prepare schedules of estimated operating income at full capacity before and after the expansion.
a. An increase of $20 per unit is necessary to cover the 15 percent increase in direct labor cost and maintain the desired contribution margin ratio.
b.The fixed costs and desired operating income remain the same, so the contribution margin per unit of $40 is used. The required sales volume is 18,500 units.
c. The estimated operating income after capacity expansion can be determined by increasing the production and sales volume by 25 percent, i.e., 23,125 units
a. To maintain the current contribution margin ratio of 40 percent, the selling price per unit needs to be increased by 20 percent [(15 percent wage increase) / (current contribution margin ratio)].
Therefore, an increase of $20 per unit is necessary to cover the 15 percent increase in direct labor cost and maintain the desired contribution margin ratio.
b. To maintain the current operating income of $350,000, the number of units that must be sold can be calculated using the contribution margin ratio.
The fixed costs and desired operating income remain the same, so the contribution margin per unit of $40 is used. The formula for calculating the required sales volume is:
(Number of units) = (Fixed costs + Desired operating income) / Contribution margin per unit
Plugging in the values, we have:
(Number of units) = ($390,000 + $350,000) / $40 = 18,500 units
c. Before the capacity expansion, the estimated operating income can be calculated using the current production and sales volume of 18,500 units.
The estimated operating income after capacity expansion can be determined by increasing the production and sales volume by 25 percent, i.e., 23,125 units.
The schedules of estimated operating income at full capacity before and after the expansion can be prepared by multiplying the respective sales volumes with the contribution margin per unit and subtracting the fixed costs and the wage increase.
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