Answer:
The numbers are missing, so I looked for similar questions to fill in the blanks:
You need a $300,000 loan. Option 1: a 30-year loan at an APR of 6%. Option 2: a 15-year loan at an APR of 4.5%.
We can use the present value of an annuity formula to calculate monthly payments.
present value = monthly payment x PV annuity factor
monthly payment = present value / PV annuity factor
present value = $300,000
option 1: PV annuity factor, 0.5%, 360 periods = 166.79161
option 2: PV annuity factor, 0.375%, 180 periods = 130.7201
monthly payment option 1 = $300,000 / 166.79161 = $1,798.65
monthly payment option 2 = $300,000 / 130.7201 = $2,294.98
What is market environment
Answer:
The market environment is the combination of external and internal factors that affect a company's ability to establish a relationship with and serve its consumers.
Explanation:
The internal factors relate to the company itself, such as owners, workers, materials, components, etc.
The external factors are divided into macro and micro components. The macro component is the broad environment which includes societal forces that affect society as a whole. The micro component is task-related, which includes factors that influence the production, manufacturing and distribution of a product or service.
Which of the following is the most accurate statement about the globalization of markets?
Answer:
many U.S. companies with famous brands are now controlled by global enterprises. U.S. businesses and those of other countries are seeking to expand around the world for many reasons.
HELP
Durring WWII, the British asked a statistician where they should add extra armor to their bombers to prevent them from being shot down.
Because fighting between planes is so chaotic, he reasonably assumed the bullets hit a random location on the bombers. But where are the
vunerable places Allies can armor to minimize the danger of an enemy's lucky shot? The statistician poured over their damage reports, which
indicated where each bomber was hit by gun fire after it returned from a bomber run According to his data, some areas of the plane were hit
regularly, some areas of the plane were hit occassionally, and some areas of the plane were never hit. Where you do put armor on the plane?
(HINT think about the accuracy of this sample)
The British sought statistician Abraham Wald to assist them in determining where to put armour on their bombers during World War II. He suggested increasing the armour in the areas with no damage after reviewing the records!
Where you do put armor on the plane?
At first glance, this looks backward, but Wald understood his data came from bombers that made it. In other words, the British could only examine the bombers that had made it back to England; those that had been shot down over hostile territory were not included in their sample. Where these bombers could afford to be hit is evident by their injuries. Or, to put it another way, because the planes that were attacked in those locations did not make it back from their missions, the undamaged areas on the survivors demonstrated where the lost planes must have been hit.
Wald thought that everyone was firing shots at random and that nobody could accurately aim for a specific area of the bomber. Instead, they attempted to hit the plane's general area and occasionally were successful. Wald, for instance, did not draw the conclusion that Nazis preferred to aim for the centre of wings when he noticed that more bombers in his sample had bullet wounds there. He reasoned that there must have been roughly the same number of bombers with holes in every other area of the aircraft, but that those bombers with holes in other locations were not included in his sample since they had been shot down.
To learn more on World War II from the link:
https://brainly.com/question/651584
#SPJ1
Distinguish between economic and accounting profit
Answer:
The main difference between accounting and economic Profit is that accounting profit refers to monetary revenue minus monetary costs which includes any type of cost in the organization in the form of rents, salaries, material costs etc. Economic profit refers to the monetary revenue minus total cost.
Explanation:
The differences between economic and accounting profits exist in their definitions, despite their similarities.
What is economic profit?Economic profit has the following characteristics:
It includes both explicit and implicit costs.It is determined by economic principles, especially the economic concept of opportunity cost.In summary, economic profit is the total revenue minus both implicit (opportunity cost) and explicit costs.What is accounting profit?Accounting profit has the following characteristics:
It includes only explicit costs.It is determined by accounting principles (U.S. GAAP or IFRS).It is equal to net income or revenue minus explicit expenses.Thus, there are differences between accounting and economic profits.
Learn more about economic and accounting profit at https://brainly.com/question/25742185
You want to determine the control lines for a p-chart for quality control purposes. If the total number of defects from all samples is 2,500, the number of samples is 100, and the sample size is 500, which of the following would be the standard deviation used in developing the control lines?
You want to determine the control lines for a p-chart for quality control purposes. The standard deviation used in developing the control lines is
stdev = 0.0707
What is the standard deviation?Generally, A measure of how distributed the data is in reference to the mean is referred to as the standard deviation, abbreviated as.
A standard deviation that is low implies that the data are concentrated close to the mean, while a standard deviation that is large shows that the data are widely dispersed.
\(\bar p\) = total number of defects / (sample size * number of samples)
stdev = sqrt((\(\bar p\) * (1 - \(\bar p\) )) / sample size
Where
stdev= standard deviation
\(\bar p\)=population mean
\(\bar P = \frac{2500 }{ (100 * 50) }\)
\(\bar P\)= 0.5
stdev = \(\frac{\sqrt{(0.5 (1 - 0.5)} }{100 }\)
stdev = 0.0707
Read more about standard deviation
https://brainly.com/question/16555520
#SPJ1
od techniques for dealing with intergroup problems include . third-party consultation organization mirror intergroup team building all of the above none of the above
Organizational development techniques for dealing with intergroup problems include all of the options like team building, third-party consultation etc.
Organizational development (OD) aims to assist organizations in increasing their effectiveness and achieving their objectives. Third-party consultation entails using an outside mediator to help groups within an organization communicate and solve problems. This can be useful when there are persistent disputes or misunderstandings among groups that are challenging to settle on one's own. Organization mirror is a procedure where a group of consultants work with a company to find and fix problems that might be preventing it from being effective.
Analyzing organizational structures and procedures as well as fostering interaction and cooperation between various sections within the organization can be part of this. Intergroup team building involves bringing together representatives from different groups within an organization to work together on a specific project or task. This can help to build trust and understanding between groups and can be an effective way to address intergroup conflicts or misunderstandings.
Read more about organizational development on:
https://brainly.com/question/16611782
#SPJ4
explain the topic 'market structure' in economics
Answer:
Market structure, in economics, refers to how different industries are classified and differentiated based on their degree and nature of competition for goods and services. It is based on the characteristics that influence the behavior and outcomes of companies working in a specific market.
Explanation:
I hope this helps, correct me if I am wrong :) DO NOT CLICK ON RANDOM LINKS AS THEY CONTAIN VIRUSES!
Answer:
Market structure refers to characteristics or properties of marketing economy.
They are mainly represented by curves such as monopolistic characteristics which comprises of perfect and imperfect Monopoly.
And oligopolistic factor.
ill give brainlest
What are three influences that led to the development of amusement parks and theme parks? Evaluate and describe some of the ways that these influences helped shape modern amusement and theme parks.
Answer:
Three influences that led to the development of amusement parks and theme parks are the Medieval European pleasure gardens, industrialization and world fairs.
Explanation:
Three influences that led to the development of amusement parks and theme parks are the Medieval European pleasure gardens, industrialization and world fairs. They helped shape modern amusement parks and theme parks by bringing in ideas of pleasure and advances in technology allowing for mechanical rides
European fairs, pleasure gardens and large picnic area
QUESTION TWO HEEKS Associates Co. Ltd is considering investing in one of two proposed short-term portfolios of four short-term financial investments. The correlation between the returns of the individual investments is believed to be negligible in both options proposed. The market return is estimated to be 15%, and the risk-free rate 5%. Portfolio 1 Investment A B C D Portfolio 2 Investment A B C D Amounts invested (TZS) 10,000,000 40,000,000 30,000,000 20,000,000 Amounts invested (TZS) 20,000,000 40,000,000 20,000,000 20,000,000 Expected Total return risk 20% 8 22% 24% 26% Expected return 18% 20% 22% 16% 10 11 9 Total risk 7 9 12 13 Beta 0.7 1.2 1.3 1.4 Beta 0.8 1.1 1.2 1.4 Required: a) Calculate the risk and return of the two portfolios using the principles of both portfolio theory and the CAPM. b) Which portfolio appears to be more efficient?
Portfolio 1: Expected Return 1: 19.6% , Total Risk (σ1): 5.5%
CAPM Expected Return 1: 51%, CAPM Total Risk (σ1): 49.5
Portfolio 2: Expected Return 2: 19.2%, Total Risk (σ2): 4.7%
CAPM Expected Return (E(R2)): 50%, CAPM Total Risk (σ2): 48.1
a) Portfolio Risk and Return Calculation:
Using Portfolio Theory:
For Portfolio 1: Expected Return 1 = (Weight A * Return A) + (Weight B * Return B) + (Weight C * Return C) + (Weight D * Return D) Expected Return (E(R1)) = (0.1 * 18%) + (0.4 * 20%) + (0.3 * 22%) + (0.2 * 16%)
= 1.8% + 8% + 6.6% + 3.2%
Expected Return 1 = 19.6%
Total Risk (σ1) = √[(Weight A^2 * Risk A^2) + (Weight B^2 * Risk B^2) + (Weight C^2 * Risk C^2) + (Weight D^2 * Risk D^2)] Total Risk (σ1) = √[(0.1^2 * 7^2) + (0.4^2 * 9^2) + (0.3^2 * 12^2) + (0.2^2 * 13^2)]
= √[0.49 + 12.96 + 10.08 + 6.76] Total Risk (σ1) = √30.29
Total Risk (σ1) = 5.5%
For Portfolio 2: Expected Return 2 = (0.2 * 18%) + (0.4 * 20%) + (0.2 * 22%) + (0.2 * 16%)
= 3.6% + 8% + 4.4% + 3.2%
Expected Return 2 = 19.2%
Total Risk (σ2) = √[(0.2^2 * 7^2) + (0.4^2 * 9^2) + (0.2^2 * 12^2) + (0.2^2 * 13^2)]
= √[0.98 + 12.96 + 2.88 + 5.32] = √22.14
Total Risk (σ2) = 4.7%
Using CAPM:
For Portfolio 1: Expected Return 1 = Risk-Free Rate + (Beta A * Market Risk Premium) + (Beta B * Market Risk Premium) + (Beta C * Market Risk Premium) + (Beta D * Market Risk Premium) Expected Return (E(R1))
= 5% + (0.7 * (15% - 5%)) + (1.2 * (15% - 5%)) + (1.3 * (15% - 5%)) + (1.4 * (15% - 5%))
= 5% + (0.7 * 10%) + (1.2 * 10%) + (1.3 * 10%) + (1.4 * 10%)
= 5% + 7% + 12% + 13% + 14%
Expected Return 1 = 51%
Total Risk (σ1) = Beta-Weighted Standard Deviation = (Beta A * Risk A) + (Beta B * Risk B) + (Beta C * Risk C) + (Beta D * Risk D)
= (0.7 * 7) + (1.2 * 9) + (1.3 * 12) + (1.4 * 13)
= 4.9 + 10.8 + 15.6 + 18.2
Total Risk (σ1) = 49.5
For Portfolio 2: Expected Return 2 = 5% + (0.8 * (15% - 5%)) + (1.1 * (15% - 5%)) + (1.2 * (15% - 5%)) + (1.4 * (15% - 5%))
= 5% + (0.8 * 10%) + (1.1 * 10%) + (1.2 * 10%) + (1.4 * 10%)
= 5% + 8% + 11% + 12% + 14%
Expected Return 2 = 50%
Total Risk (σ2) = (0.8 * 7) + (1.1 * 9) + (1.2 * 12) + (1.4 * 13)
= 5.6 + 9.9 + 14.4 + 18.2
Total Risk (σ2) = 48.1
Based on these metrics, Portfolio 2 appears to be more efficient since it has a slightly lower total risk while still offering a high expected return.
Learn more about Portfolio efficiency here:
https://brainly.com/question/22817506
#SPJ1
A company produces kitchen appliances for several different brands. Each year, there are new designs with new features and new production challenges. You need an organizational structure that allows your purchasing department to keep a lean inventory without disrupting production. You need the flexibility of assigning engineers to a number of different products and diverting resources quickly from one line to another. Which type of organizational structure would work best?
shared services
product
functional
matrix
PLEASE ANSWER QUICKLY 20 points
i know the answer
but this answer is contains 10 marks but u said 20 points
shared services or matrix
Answer:
Matrix
Explanation:
In the sales comparison approach, the appropriateness of the various comparable sales in relationship to the subject is considered in a process known as ______, where certain factors may be given more weight.
O Averaging
O Bracketing
O Conformity
O Correlation
Answer:
In the sales comparison approach, the appropriateness of the various comparable sales in relationship to the subject is considered in a process known as "bracketing," where certain factors may be given more weight.
In the sales comparison approach, the appropriateness of the various comparable sales in relationship to the subject is considered in a process known as correlation, where certain factors may be given more weight.
What is Comparable sales ?
Comparable sales, also known as "comps," are the prices of recently sold comparable properties in the same area. Comparable sales are used by real estate agents, appraisers, and investors to estimate the value and price of a piece of property. A more accurate assessment of a property's market value can be obtained by comparing recent sales of similar properties.
What does Market Value mean?
The market value of an asset is an estimate of the price at which it would be purchased or sold in a competitive market between a willing buyer and a willing seller. It is the price at which a potential buyer and seller are willing to make a deal. The current supply and demand for an asset, as well as any other factors that may affect the asset's value, determine its market value.
Therefore the correct option is D. Correlation.
To know more about Market Value,
https://brainly.com/question/1350233
#SPJ4
mark kemp, a student, asks your help in understanding the following characteristics of a corporation: (a) separate legal existence, (b) limited liability of stockholders, and (c) transferable ownership rights. explain these characteristics to mark.
Mark Kemp, a student, asked for help in understanding the following characteristics of a corporation: (a) separate legal existence, (b) limited liability of stockholders, and (c) transferable ownership rights.
The explanation of these characteristics to Mark is as follows:
Separate Legal Existence: It is a characteristic of a corporation that it is a legal entity created under state law. It has a distinct legal personality and can own assets, engage in business, sue, and be sued under its name. In short, it can be called as a separate legal entity.
Limited Liability of Stockholders: Another characteristic of a corporation is limited liability. It means that the shareholders are only liable for the amount they have invested in the business. They cannot be held responsible for any debts or obligations incurred by the corporation. This means that the personal assets of the shareholders are not at risk in case the corporation is unable to pay off its debts.
Transferable Ownership Rights: The ownership of a corporation is represented by shares of stock, which can be easily bought or sold by the shareholders. The shares of stock are the proof of ownership in the corporation. It is a characteristic of a corporation that ownership rights can be transferred from one person to another without disrupting the continuity of the business.
In conclusion, the characteristics of a corporation include a separate legal existence, limited liability of stockholders, and transferable ownership rights. A corporation is a legal entity that can own assets, engage in business, sue, and be sued under its name. The shareholders are only liable for the amount they have invested in the business and not responsible for any debts or obligations incurred by the corporation. The ownership of a corporation is represented by shares of stock, which can be easily bought or sold by the shareholders.
For more such questions on Characteristics of Corporation
https://brainly.com/question/1349057
#SPJ11
A clothing eCommerce comapny has an Average Order Value of $65. It costs the company $35 to produce the clothes in the average order and $15 to ship it to the customer. What is the Average Order's Gross Profit? * $65 $50 $30 $15
Previous question
The average order's gross profit for the ecommerce company is $15. The Option D is correct.
What is the calculation for the gross profit?To calculate the average order's gross profit, we will subtract the total cost of producing and shipping the clothes from the revenue generated by the order.
Revenue generated by the order is $65.
The total cost of producing and shipping the clothes is:
= $35 + $15
= $50.
The gross profit of the average order is:
= $65 - $50
= $15.
Read more about Gross profit
brainly.com/question/942181
#SPJ1
In a communist economy all economic activities are controlled by?
Answer:
benefits of quality management
What is a periodic adjustment cap?
O A. A limit on how many times the rate can be adjusted
B. A limit on how much an ARM's interest rate can change at each
adjustment period
O C. A limit on a loan's initial interest rate
OD. A limit on how many years a loan can be for
Answer: B. A limit on how much an ARM’s interest rate can be changed at each adjustment period
Explanation:
Which of the following would NOT increase demand for sushi, a normal good?
A) An increase in the price of raw tuna, a substitute for sushi
B) A decrease in the price of wasabi, a complementary good for sushi
C) An increase in consumers’ income
D) A decrease in the price of sushi
E) An increase in consumers’ tastes and preference for sushi
Answer:
A
Explanation:
Question 8 of 10
Financial statements are prepared near the end of the accounting cycle.
Which of the following is true?
A. A balance sheet shows the total assets, liabilities, and owner's
equity at the end of the period
B. An income statement shows the total assetsliabilities, and
owner's equity at the end of the period.
C. An income statement shows the changes in stockholder's capital
for the period
D. A balance sheer shows the changes in stockholder's capital for the
period
SUSMIT
Answer:
A. A balance sheet shows the total assets, liabilities, and owner's
equity at the end of the period
Explanation:
As we know that
The income statement recognized only the income earned and expenses incurred of an organization
While on the other hand the balance sheet shows the financial position, profitability of the company. It involves assets, liabilities and stockholder equity
So according to the given options, the option A is correct
hence, the rest of the options would be incorrect
Answer:
A. A balance sheet shows the total assets, liabilities, and owner's
equity at the end of the period
Explanation:
a p exz
designated research staff, bill stop staff, and claims processing staff use the coverage analysis to:
In order to assure institutional billing compliance, a coverage analysis is a thorough examination of all the procedures described in the research protocol. It identifies how each service and/or operation at each visit time point should be paid.
Items or services required for reasonable and necessary care, including for the diagnosis or treatment of problems resulting from the supply of an experimental item or service "A research study in which one or more human subjects are prospectively assigned to one or more interventions4 (which may include a placebo or other control) to evaluate the effects of those interventions on health-related biomedical or behavioural outcomes," according to the definition given by the National Institutes of Health. Coverage describes the continual effort analysts do to evaluate and report on a company's operations and provide recommendations, such as "buy" or "sell." An rise in trading activity and investor interest typically occur at the same time as the start of coverage on a stock.
To learn more about protocol click the link below:
brainly.com/question/27581708
#SPJ4
Designated research staff, bill stop staff, and claims processing staff use the coverage analysis to identifies in the protocol
And on the study calendar the research-only services that are eligible for reimbursement and validates the routine services.
Option B is correct.
Coverage analysis:A Coverage Analysis is a systematic review of all study protocol procedures to determine how each service and/or procedure should be billed at each visit time point to ensure institutional compliance. During this process of making a decision, references to Medicare billing guidelines are made.
To guarantee accurate billing, it is essential to conduct a coverage analysis. A coverage analysis is a review to determine whether a research study is eligible for Medicare coverage and to outline the items and services that should be billed to Medicare as part of the study. The coverage analysis is an essential step in the process of activating the study and has the potential to save sites time, money, and their reputation in the long run.
Question is incomplete . Missing option are:
Designated research staff, bill stop staff, and claims processing staff use the coverage analysis to:
A. proper budget development
B.Validates the routine services and determines research only services in the protocol and on the study calendar for coverage in reimbursement.
C. Quickly review the first few patients' protocol visits after they have started the study.
Learn more about coverage analysis:
brainly.com/question/30143546
#SPJ4
Suppose the CPI was 110 last year and is 121 this year.
Instructions: In part a, enter your answer as a whole number. In part b, round your answer to 1 decimal place. If you are entering any negative numbers be sure to include a negative sign (-) in front of those numbers.
a. What is this year’s inflation rate?
____ %
b. In contrast, suppose that the CPI was 110 last year and is 108 this year. What is this year’s inflation rate?
____ %
c. What term do economists use to describe this second outcome?
Inflation or Deflation
The inflation rate is 10%, which can be computed the second answer is -1.8%. third outcome called deflation.
How to calculate CPI?a) The formula to CPI is
\(CPI= \frac{current CPI-past CPI}{past CPI}\)
\(CPI= \frac{121-110}{110}\)
CPI= 0.1 or 10%
b) \(CPI= \frac{current CPI-past CPI}{past CPI}\)
\(CPI= \frac{108-110}{110}\)
CPI= -0.18%
A decrease in the economy's overall price level is referred to as deflation, whereas a temporary slowdown in price inflation is known as disinflation. A decrease in the money supply, reductions in government and consumer expenditure, and reductions in corporate investment can all contribute to deflation, which is bad for an economy.
A progressive drop in consumer prices for products and services is known as price deflation. This is frequently brought on by the deflationary gap, also referred to as the demand gap, which is characterized by high supply and low demand. Consumers and businesses hold on to their money rather than spending it because they anticipate a decrease in pricing.
To know about consumer price index visit:
brainly.com/question/3870930
#SPJ1
In most business environments, who is responsible for coordinating, controlling, and managing the database
Answer:
The database administrator
Explanation:
DATABASE ADMINISTRATOR is a person who sole responsibility is to help manage, control and coordinate everything that has to do with a business, company or an organization database by backing up data and ensuring that all the data are often made available when needed which is why in most business environments DATABASE ADMINISTRATOR are mostly an important role because they help to plan, manage , Create backup as well as monitor and optimized the database’s performance.
Therefore in most business environments the person who is responsible for coordinating, controlling, and managing the database is called
DATABASE ADMINISTRATOR
Sheridan Company uses a periodic inventory system. For April, when the company sold 450 units, the following information is available. Units Unit Cost Total Cost April 1 inventory 280 $ 17 $ 4,760 April 15 purchase 420 20 8,400 April 23 purchase 300 22 6,600 1,000 $ 19,760 Calculate weighted average cost per unit.
Answer:
Closing inventory - $10,160
Costs of goods sold - $9,600
Explanation:
Under the LIFO Method, the cost of good sold equals to
= April 23 units × cost per unit + Remaining units × cost per unit
= 300 units × $22 + 150 units × $20
= $6,600 + $3,000
= $9,600
Since the firm has sold 450 units, so out of which 300 units sold at a price of $22 and the remaining 150 units sold at a price of $20
The ending inventory equals to
= Remaining units × cost per unit + April 1 × cost per unit
= 270 units × $20 + 280 units × $17
= $5,400 + $4,760
= $10,160
Since on April 23, the 420 units were purchase, out of which 150 units are transferred to the cost of good sold and the remaining units 270 units at $20 is transferred to the ending inventory
The perceived demand for a monopolistic competitor
2017 2016 (a) Accounts receivable $ 175,000 $ 140,000 (b) Retained earnings 30,000 (14,000 ) (c) Sales revenue 855,000 750,000 (d) Operating expenses 170,000 200,000 (e) Income taxes payable 11,000 10,000 Using horizontal analysis, show the percentage change from 2016 to 2017 with 2016 as the base year
Answer:
Percentage Change = (Amount in 2017 - Amount in 2016) / Amount in 2016
a. Accounts Receivable
= (175,000 - 140,000) /140,000
= 25%
b. Retained earnings
= (30,000 - (-14,000)) / 14,000
= 314%
c. Sales revenue
= (855,000 - 750,000) / 750,000
= 14%
d. Operating expenses
= (170,000 - 200,000) / 200,000
= -15%
e. Income taxes payable
= (11,000 - 10,000) / 10,000
= 10%
Five Card Draw manufactures and sells 23,000 units of Diamonds, which retails for $180, and 26,000 units of Clubs, which retails for $210. The direct materials cost is $25 per unit of Diamonds and $30 per unit of Clubs. The labor rate is $25 per hour, and Five Card Draw estimated 222,000 direct labor hours. It takes 4 direct labor hours to manufacture Diamonds and 5 hours for Clubs. The total estimated overhead is $666,000. Five Card Draw uses the traditional allocation method based on direct labor hours.
A. What is the gross profit per unit for Diamonds and Clubs?
B. What is the total gross profit for the year?
1. The computation of the gross profit per unit for Five Card Draw is as follows:
Diamonds Clubs
Gross profit per unit $43 $40
Total gross profit $989,000 $1,040,000
2. The total gross profit for Five Card Draw for the year is $2,029,000.
What is the gross profit?The gross profit is the difference between the sales revenue and the cost of goods sold.
The cost of goods sold by a manufacturing company is made up of direct costs (materials and labor) and some overhead costs.
Diamonds Clubs
Production and Sales Units = 23,000 units 26,000 units
Retail price per unit = $180 $210
Direct materials cost per unit $25 $30
Labor rate per hour $25 $25
Direct labor hours 4 5
Direct labor costs per unit $100 $125
Total estimated overhead = $666,000
Total estimated direct labor hours = 222,000
Overhead rate per DLH = $3 ($666,000/222,000)
Overhead cost per unit $12 $15 (5 x $3)
Total unit costs:
Direct materials cost per unit $25 $30
Direct labor costs per unit $100 $125
Overhead cost per unit $12 $15
Total unit costs $137 $170
Retail price per unit $180 $210
Gross profit per unit $43 $40 ($210 - $170)
Total gross profit $989,000 $1,040,000
= $2,029,000 ($43 x 23,000 + $40 x 26,000)
Thus, for the year, Five Card Draw will record a total gross profit of $2,029,000.
Learn more about gross profit at https://brainly.com/question/21637154
#SPJ1
Objectives of pep stores
Answer:
The answer is below
Explanation:
PEP is a big store that is located in South Africa and other African countries.
Based on the PEP mission and vision and according to the company's website, the Objectives of PEP stores are:
1. To be the friendliest and most trusted retailer for this market.
2. To offer wanted products and services at the lowest possible prices
3. To meet changing consumer needs.
Can anyone help??? pls
Why do production possibilities curves slope down from left to right?
Answer:The downward sloping nature of the PPC is due to the law of increasing opportunity cost. According to this law, with the fuller utilisation of the given resources, in order to produce an additional unit of one good, some of the resources are to be withdrawn from the production of another good.
Explanation:
(Table) Germany has a comparative advantage in producing
Sweaters
Germany 6
Greece
4
Skirts
12
20
sweaters and skirts.
skirts only.
sweaters only.
neither good.
Answer:
sweaters only.
Explanation:
Comparative advantage is the ability of a firm or country to produce products using fewer resources than others. An institution or nation with a comparative advantage in producing certain goods or services will sell them at a lower price compared to others.
Given the same quantity of inputs, a country or company with a comparative advantage will produce more output units than the rivals. Germany has a comparative advantage over Greece in making sweaters. With the same inputs, Germany will produce six sweaters while Greece will produce four. However, Greece has a comparative advantage over Germany in making skirts.
Following is information on two alternative investments being considered by Jolee Company. The company requires an 8% return from its investments. (PV of $1, FV of $1, PVA of $1, and FVA of $1) (Use appropriate factor(s) from the tables provided.)
Project A Project B
Initial investment $ (179,325 ) $ (152,960 )
Expected net cash flows in year:
1 41,000 33,000
2 41,000 43,000
3 86,295 54,000
4 81,400 77,000
5 54,000 36,000
For each alternative project compute the net present value.
Answer:
$349,182.47 and $257,636.71
Explanation:
The computation of net present value for each project is shown below:
For project A
($) ($)
Year Cash flows Discount factor at 8% Present value (A)
0 -179325 1.0000 -179325.00
1 41000 0.9259 37962.96
2 41000 0.8573 35150.89
3 86295 0.7938 68503.75
4 81400 0.7350 141617.61
5 54000 0.6806 245272.25
Sum of present value 528507.47 (B)
Net present value 349182.47 (A - B)
For project B
($) ($)
Year Cash flows Discount factor at 8% Present value
0 -152960 1.0000 -152960.00 (A)
1 33000 0.9259 30555.56
2 43000 0.8573 36865.57
3 54000 0.7938 42866.94
4 77000 0.7350 110288.07
5 36000 0.6806 190020.58
Sum of present value 410596.71 (B)
Net present value 257636.71 (A - B)
Refer to the discount factor table
Based on this the project A should be accepted as it generates high net present value
attitude is an overall favourable or unfavorable evaluation of a product or service.
Answer:
rat
Explanation: