Ferris Wheeler Co. issued $10,000 of bonds on January 1, 2021. The bonds pay interest semi-annually. This is a partial bond amortization schedule for the bonds. Payment Cash Effective interest Decrease in balance Outstanding balance 9,080 1 400 409 9 9,089 2 400 409 9 9,098 3 400 409 9 9,107 4 400 What is the interest expense on the bonds for the year ended December 31, 2022? A. $800. B. $819. C. $818. D. $809

Answers

Answer 1

The interest expense on the bonds for the year ended December 31, 2022, is $36. The correct answer is not among the options provided.

Based on the given partial bond amortization schedule, we can see that the bonds were issued on January 1, 2021, and pay interest semi-annually. The interest payments are $400, and the effective interest (decrease in balance) is $409 for each payment period. We can use this information to calculate the interest expense for the year ended December 31, 2022.

Since the bonds pay interest semi-annually, there are four interest payments in 2022: two on June 30, 2022, and two on December 31, 2022. The total interest payments for the year are:

2×400+2×400=1600

To calculate the effective interest for the year, we need to sum up the effective interest for each payment period. From the given partial bond amortization schedule, we can see that the decrease in balance for each payment period is $409, so the total decrease in balance for the year is:

4×409=1636

Since the bonds were issued for $10,000, the effective interest rate for the year is:

1636/10000=0.1636

Therefore, the interest expense for the year ended December 31, 2022, is:

10000×0.1636=1636

However, we need to adjust this amount for the interest payments made during the year. The interest payments reduce the outstanding balance of the bonds, which in turn reduces the effective interest rate. The adjusted interest expense is:

1636−1600=36

Therefore, the interest expense on the bonds for the year ended December 31, 2022, is $36. The correct answer is not among the options provided.

learn more about Interest expense here:

https://brainly.com/question/33177136

#SPJ11


Related Questions

Your sole proprietorship makes $90,000 per year in profits. Your average federal tax rate is 24% and your state tax rate is 6%. How much of your profits do you get to keep?

Answers

Answer:

$63,000

Explanation:

Given that the total profit is $90,000 per year.

The average federal tax rate is 24% and the state tax rate is 6%.

So, total tax rate = 24% +6% =30%

Total taxable amount = 30% of $90,000

=(30/100)x 90,000=$27,000

The remaining amount = $90,000 - $27,000 = $63,000

Hence, I will keep $63,000 of my profit.

Answer:

$63,000

Explanation:

What can a boosted post help an advertiser achieve?

Answers

A boosted post helps an adviser to connect with the audience and gain trust.

Boosted post is a kind of post that is used on social media platforms in order to enhance the page of the platform and to attract audience to the page. Boosted post can help better communication with the audience along with the increase in a greater number of messages, calls and texts. Boosted posts help for better advertisements of the product. For example, A Chocolate brand may use Boosted posts to gain audience as well as consumers. Boosted posts helps an adviser to be discovered among people, to establish a benchmark in the market and to gain more and more customers. It's a kind of marketing strategy used for publicity purpose.

Learn more about Communication at:

brainly.com/question/25645043

#SPJ4

99. agency is the act of representing someone in the purchase, sale, or lease of a property. subagency is the act of representing:

Answers

Agency is the act of representing someone in the purchase, sale, or lease of a property. Subagency is the act of representing a principal who is represented by an agent

The connection that arises when one person or party hires another to perform an action on his behalf, such as performing his work, selling his goods, or managing his business, is defined by the agency. When a real estate agent, for example, acts on behalf of a principal such as a property owner in the acquisition, sale, or lease of a property, that connection is referred to as an agency.

Whereas, when one agent employs another agent to help with the principal's representation, this is known as a subagency. The primary agent in this situation is the original agent, while the subagent represents the same principal but helps with the transaction.

Read more about the agency on:

https://brainly.com/question/26253714

#SPJ4

Figure: Price Discrimination 1
Firm _____ will have a higher profit because demand for its
product is _____.
B; less elastic
B; more elastic
A; more elastic
A; less elastic

Answers

The  Firm B will have a higher profit because demand for its product is less elastic. The correct option is A.

The firm B will have a higher profit because the demand for its product is less elastic. This means that when the firm B changes its price of the product, the demand for the product will remain the same. Therefore, Firm B can increase its prices and not see a major fall in sales, which means it will have a higher profit. However, in contrast, firm A will have a lower profit because demand for its product is more elastic.

This means that if the firm A changes its price of the product, the demand for the product will change, as well. Therefore, if firm A increases the prices of the product, then it will see a fall in sales, which means it will have a lower profit. The price elasticity of demand refers to the responsiveness of the quantity demanded of a product due to a change in its price. If the price elasticity of demand is high, then demand will change more significantly with a change in price.

If the price elasticity of demand is low, then the demand will change less significantly with a change in price.

The correct option is A.

Know more about the price elasticity of demand

https://brainly.com/question/29615048

#SPJ11

Question 2(Multiple Choice Worth 5 points)
(02.06 MC)
In general, what kind of people earn the most money?
O People with skills that are in high demand and high in supply
O People with skills that are in high demand but low in supply
O People with skills that are in low demand and low in supply
People with skills that are in low demand but high in supply

Answers

Ans: people with skills that are high in demand but low in supply

They earn the most money since skills also follow the law of supply and demand, so consumers are willing to pay more due to low supply

How long after your tax refund is approved will it be sent?.

Answers

Answer:

I think it's less than 21 day

breilfy explain the differenc between discentionary and mandatory government spending

Answers

Answer:

The difference between discentionary and mandatory government spending is whether spending is dictated by prior law or voted on in the annual appropriations process.

Explanation:

Discentionary spending is money formally approved by the government during the appropriations process each year.

Mandatory spending is based on laws previously enacted that dictate the money budgeted for spending each year.

Discretionary government spending refers to a type of spending where the spending budget is subject to change yearly as determined by Congress, while mandatory government spending refers to the portion of the federal budget that is required by law and does not require annual congressional approval.

What is government spending?

The term government spending refers to the use of public funds by a government to pay for various goods, services, and programs that are intended to benefit society.

There are basically two type types of government spending:

discretionarymandatory

For example, spending on things like defense, education, and transportation constitutes discretionary spending as the amount to be spent each year can change based on the discretion of Congress. While spending on things like social security and medicare constitutes mandatory spending as they require no congressional approval.

You can learn more about discretionary and mandatory government spending here https://brainly.com/question/12602941

#SPJ1

Gross Domestic Product or GDP can be

a)Value of output of goods and services during one year

b) National Income

c)National Output

d)Aggregate Demand

e)All the stuff made by one country in one year

f)All of the above or any of the above

Answers

Answer:

f)All of the above or any of the above

Explanation:

GDP or gross domestic product is the aggregate of the values of goods and services produced within a country's boundaries. In calculating the value of GDP, economists consider the value of finished goods only.

GDP is calculated using the expenditure approach and the income approach. With the expenditure approach, GDP is the sum of all consumers, government, incomes, and net imports. The result is GDP and also the aggregate demand.

In the income approach, the GDP is the sum of all national incomes . In other words, GDP is equal to Sales Taxes plus Depreciation and Net Foreign Factor Income.

Which is an example of a small business showing social responsibility to individuals within the company?
A. starting an office recycling program
B. developing sustainable business practice
C. donating money to local organizations
D. allowing employees to work from home

Answers

Starting an office recycling program, developing sustainable business practice and donating money to local organizations are examples of a small business showing social responsibility to individuals within the company.

Company have a social responsibility to the communities in which they operate. This includes ensuring that they are good corporate citizens, providing support for local causes and charities, and protecting the environment.

Sustainable business is a term that is often used to describe businesses that are environmentally friendly or that have a positive social impact.

Hence, the correct options are "A, B & C".

To know more about social responsibility, click here.

https://brainly.com/question/24176816

#SPJ1

Why is it important to be flexible and patient when exhibiting sensitivity?​

Answers

it is important to be flexible and patient when exhibiting sensitivity because we define ethnocentrism as an attitude or view that analyzes the world according to the parameters of our own culture.

What is Ethnocentrism?Ethnocentrism in social technological know-how and anthropology—in addition to in colloquial English discourse—way to use one's personal way of life or ethnicity as a body of connection with deciding different cultures, practices, behaviors, beliefs, and humans, rather than the use of the requirements of the specific way of life involved. Since this judgment is frequently bad, a few humans additionally use the time period to consult the perception that one's way of life is advanced to, or extra accurate or ordinary than, all others—mainly concerning the differences that outline every ethnicity's cultural identity, along with language, behavior, customs, and religion.[1] In not unusual place usage, it is able to additionally truly suggest any culturally biased judgment. For example, ethnocentrism may be visible withinside the not unusual place portrayals of the Global South and the Global North.Ethnocentrism is now and again associated with racism, stereotyping, discrimination, or xenophobia. However, the time period of "ethnocentrism" does now no longer always contain a bad view of others' race or implies a bad connotation.[3] The contrary of ethnocentrism is cultural relativism, a guiding philosophy declaring the satisfactory manner to recognize a distinct way of life is thru their angle as opposed to judging them from the subjective viewpoints formed through one's personal cultural requirements.

Thus,  It often includes the belief that one's ethnic group is most important, or that some or all aspects of our culture are superior to those of others.

learn more about ethnocentrism

https://brainly.com/question/4458198

#SPJ1

process
of dividing a large market into smaller groups ​

Answers

Answer:

Market segmentation

Explanation:

Market segmentation, the process of dividing a larger market into smaller pieces based on one or more meaningful, shared characteristics, is a way of life for almost all marketers in both consumer and business-to-business markets.

can you please mark me 'Brainliest'? thanks

how do banks benefit of giving people loans

Answers

Answer: It all ties back to the fundamental way banks make money: Banks use depositors' money to make loans. The amount of interest the banks collect on the loans is greater than the amount of interest they pay to customers with savings accounts—and the difference is the banks' profit.

Explanation: Hopefully this helped!

Search Results
Featured snippet from the web
It all ties back to the fundamental way banks make money: Banks use depositors' money to make loans. The amount of interest the banks collect on the loans is greater than the amount of interest they pay to customers with savings accounts—and the difference is the banks' profit. I agree with the other person it was on the internet. Hope this helped :)

Hockley Brewing has produced a new craft lager beer that will be branded Hockley Classic Lager. The market for craft beer is about $20 million retail per year and the average retail price across all craft beer producers is $2. 50. The following information applies to Hockley’s new craft lager beer.

Factory production costs $1. 05 / can (Variable Cost)
Beer ingredients $0. 35 / can (Variable Cost)
Packaging $0. 20 / can (Variable Cost)
Advertising and promotion $60,000 (Fixed Cost)
Channel listing fees $30,000 (Fixed Cost)
Hockley’s wholesale price to retailers $2. 40 / can (Variable Cost)
(Hockley’s) manufacturer’s suggested retail price $2. 55 / can (Variable Cost)


a. What is Hockley’s unit contribution (measured in $ per can) and contribution margin (measured in percentage)?

b. What is the break-even point in cans? in dollars?

c. What is the necessary sales volume in cans to achieve a $150,000 (target) profit?

d. What will Hockley’s net profit be if 100,000 cans of the new lager are sold?

e. What will Hockley’s market share of craft beer be if they sell 100,000 cans?

f. Their largest competitor is Mill Street Brewery whose Original Organic Lager has 2. 5% market share of the craft beer market. Given Hockley’s market share calculated in part (e), what will Hockley’s relative market share (RMS) be for their Classic Lager?

g. The craft beer market is growing at 10% annually, higher than any other type of beer. With the RMS for Hockley Classic Lager calculated in part

(f), at the end of their first year, where in Hockley’s portfolio will Classic Lager be positioned and what recommendation would follow?

h. Calculate the price elasticity of demand if they raise the MSRP from $2. 55 to $2. 75 and demand falls from 100,000 cans to 95,000 cans. Is demand for this product price elastic or inelastic?

Answers

Hockley's unit contribution is $0.50 per can with a contribution margin of 19.6%. The break-even point is 180,000 cans or $432,000, and a sales volume of 480,000 cans is needed to achieve a target profit of $150,000.

a. Hockley's unit contribution is $0.50 per can ($2.55 - $2.05), and the contribution margin is 19.6% (($0.50 / $2.55) x 100).

b. The break-even point in cans can be calculated by dividing the total fixed costs ($60,000 + $30,000) by the contribution per can ($0.50). The break-even point is 180,000 cans. In dollars, the break-even point is $432,000 (180,000 cans x $2.40).

c. To achieve a target profit of $150,000, we need to calculate the necessary sales volume in cans. The formula is (Total Fixed Costs + Target Profit) / Contribution per can. Using the given numbers, the necessary sales volume is 480,000 cans.

d. If 100,000 cans of the new lager are sold, the net profit can be calculated as (Unit contribution x Sales volume) - Total Fixed Costs. With the given numbers, the net profit would be $10,000.

e. If Hockley sells 100,000 cans, their market share of craft beer can be calculated as (Sales volume / Total market size) x 100%. With a $20 million market size, their market share would be 0.5%.

f. Hockley's relative market share (RMS) for their Classic Lager can be calculated by dividing their market share by Mill Street Brewery's market share and multiplying by 100. With Hockley's market share of 0.5% and Mill Street Brewery's market share of 2.5%, Hockley's RMS would be 20%.

g. With an RMS of 20% for their Classic Lager, Hockley would be positioned as a significant player in the craft beer market. The recommendation would be to continue investing in and promoting the Classic Lager to further increase its market share.

h. The price elasticity of demand can be calculated using the formula: Percentage change in quantity demanded / Percentage change in price. In this case, the percentage change in quantity demanded is ((100,000 - 95,000) / 100,000) x 100% = 5%, and the percentage change in price is (($2.75 - $2.55) / $2.55) x 100% = 7.8%. Therefore, the price elasticity of demand is 0.64 (5% / 7.8%). With a price elasticity of less than 1, demand for this product is price inelastic, meaning that a price increase led to a proportionally smaller decrease in quantity demanded.

To know more about contribution margin click here: brainly.com/question/32772728

#SPJ11

cookiesamichael12345678

Answers

Answer: ?

Explanation:

Girl what does that mean, either you can count right or thats a username

The formula for the cross elasticity of demand is written as the percentage change in the quantity demanded of one product ______ by the percentage change in the price of another product.

Answers

The formula for the cross elasticity of demand is written as the percentage change in the quantity demanded of one product divided by the percentage change in the price of another product.

The cross elasticity of demand is a measure used to determine the relationship between two products and how changes in the price of one product affect the quantity demanded of another product. The formula for cross elasticity of demand compares the percentage change in the quantity demanded of one product to the percentage change in the price of another product.

Mathematically, the formula for cross elasticity of demand can be expressed as:

Cross elasticity of demand = (% change in quantity demanded of Product A) / (% change in price of Product B)

By using this formula, we can analyze the responsiveness of consumers to changes in the price of one product with respect to the quantity demanded of another product. A positive cross elasticity of demand indicates that the two products are substitutes, meaning that an increase in the price of one product leads to an increase in the demand for the other product. On the other hand, a negative cross elasticity of demand suggests that the two products are complements, indicating that an increase in the price of one product results in a decrease in the demand for the other product.

Learn more about cross elasticity here:

https://brainly.com/question/15557388

#SPJ11


give 4 examples to explain whether FinTech can mitigate
manipulation of the financial records.

Answers

The four examples are, Blockchain technology, AI algorithms, Digital identity verification, Real-time auditing.

Blockchain technology is a decentralized and transparent system where transactions are recorded in blocks and linked together in a chain. Once recorded, the information is difficult to alter, providing a robust solution against manipulation of financial records.

AI algorithms can analyze vast amounts of financial data, identifying patterns and abnormalities that could indicate manipulation attempts. By continuously monitoring and analyzing data, FinTech platforms can quickly detect and prevent fraudulent activities.

Digital identity verification methods, such as biometrics or multi-factor authentication, add an extra layer of security to financial transactions. By ensuring the authenticity of individuals involved, FinTech can reduce the risk of unauthorized access and manipulation of financial records.

Real-time auditing capabilities allow for immediate detection of discrepancies or manipulation attempts in financial records. By continuously monitoring transactions and records, FinTech platforms can intervene promptly, minimizing the impact and preventing further manipulation. This proactive approach enhances the integrity and accuracy of financial records.

To know more about financial records, here

https://brainly.com/question/30902509

#SPJ4

Click this link to view O*NET’s Work Context section for Financial Analysts. Note that common contexts are listed toward the top, and less common contexts are listed toward the bottom. According to O*NET, what are some common work contexts for Financial Analysts? Check all that apply.

a. indoors, environmentally controlled
b. face-to-face discussions
c. electronic mail
d. extremely bright lighting
e. cramped work space
f. spend time bending or twisting the body

Answers

The work context for financial analysts includes indoors, environmentally controlled, face-to-face discussions, and electronic mail.

Financial analysts are involved in the duties to provide businesses with guidance regarding their fund management, the performance of financial instruments, and financial market assessment.  

According to O*NET, financial analyst performs their activities in indoor premises that have a controlling work environment in terms of work ethics and culture.

Another task of financial analysts is to have face-to-face discussions while meetings or presentations with investors and clients of the business regarding business financial goals and profitability.

Electronic mail is also used by analysts to coordinate with other departments and gather financial information.

Learn more about Financial analysts here:

https://brainly.com/question/8344696

Answer:A,B,F

Explanation:Trust

People with a strong global mindset Question 18 options: can judge the competence of others by their national or ethnic origins. have a more parochial frame of reference about their business and its environment. are able to process and analyze large volumes of information in new and diverse situations. tend to rely on stereotypes to gain better knowledge about individuals.

Answers

Answer: are able to process and analyze large volumes of information in new and diverse situations

Explanation:

Global mindset includes refers to the openness, and the respect for the opinions and the practices of other people in other parts of the world.

It is the ability to be able to act across different cultures effectively. People that has a strong global mindset can process and analyze large volumes of information in new and diverse situations.

A country's currency is backed by a gold standard. However, gold production has declined and will not recover. Which action would protect the value of the country's currency in the long run?

1.) Borrow more gold
2.) Print more currency
3.) Move to fiat currency
4.) Take no action

Answers

3 is the correct answer

The action taken to protect the value of the currency of the country in the longer periods by shifting towards creating fiat money.

The Third option is correct.

What is gold standard?

Gold standard is a kind of standard commenced in the US country where the value of currency decided in respect of gold.

When the production of gold has minimized and there is no chance for being it to be recovered, then the country should move its focus on creating fiat money. A fiat money is the one of a kind which does not requires any physical property for deciding its worth.

Therefore, the third option is correct.

Learn more about the fiat money in the related link:

https://brainly.com/question/2415692

#SPJ2

Choose the preferred sentence from each pair and justify your choice. a. (1) Lindsay's request to telecommute was denied, but she will begin a flextime schedule in two weeks. (2) Although her request to telecommute was denied, Lindsay will begin a flextime schedule in two weeks.

Answers

Answer:

(2). Although her request to telecommute was denied, Lindsay will begin a flextime schedule in two weeks.

Explanation:

The second choice would be the most preferred as it conveys the idea in a formal and precise manner. The complex sentence beginning with the subordinate clause already hints the listener that the key message is yet to come. It helps him/her in understanding the intended message without any confusion. The first sentence fails to create that specificity as it connects two independent ideas which remove the listener's focus from the main idea i.e. 'she will begin a flextime schedule in two weeks.' Thus, option (2) adopts the correct format and sentence structure to deliver the message effectively, efficiently, and precisely.

An investment producing cash flows in the amount of $1,445 per month is undertaken for a period of 28 months. The investor pays $28,200 for the investment and the contract stipulates that investment returns must be reported on a basis equivalent with annual compounding. Required: a. Given that the investment is sold after 28 months, what would be the equivalent annual compound rate of interest reported to the investor? b. What would be the annual rate compounded monthly for this investment? Note: For all requirements, do not round intermediate calculations and round your answers to 2 decimal places.

Answers

The equivalent annual compound rate of interest reported to the investor can be calculated using the formula:

r = (Future Value / Present Value)^(1/n) - 1 Where:Future Value = $28,200 (the selling price after 28 months) Present Value = $1,445 per month * 28 months = $40,460 n = the number of periods (in this case, 28 months) Substituting the values into the formula: r = ($28,200 / $40,460)^(1/28) - 1 Evaluating this expression gives the equivalent annual compound rate of interest reported to the investor. b. The annual rate compounded monthly for this investment can be calculated using the formula: r = ( (Future Value / Present Value)^(1/(n*t)) - 1 ) * n Where:Future Value = $28,200 (the selling price after 28 months) Present Value = $40,460 (as calculated above) n = the number of compounding periods per year (12 for monthly compounding) t = the number of years (28 months / 12 months per year = 2.33 years)  Substituting the values into the formula: r = ( ($28,200 / $40,460)^(1/(12*2.33)) - 1 ) * 12 Evaluating this expression gives the annual rate compounded monthly for this investment.

learn more about months here:

https://brainly.com/question/29180072

#SPJ11

you have deposited $10,800 into an account that will earn an interest rate of 12% compounded semiannually. how much will you have in this account at the end of 14 years?

Answers

At the end of 14 years, you will have $46,761.60 in your account.

Compound interest is an important concept in finance that can help you understand how your money can grow over time. It's important to understand how compound interest works because it can have a significant impact on your savings and investments.

Now, let's take a look at your specific scenario. You have deposited $10,800 into an account that will earn an interest rate of 12% compounded semiannually. This means that the interest on your deposit will be calculated twice a year and added to your account balance.

To calculate the future value of your deposit, we can use the compound interest formula:

FV = PV x (1 + r/n)\(^{n\times t}\)

Where FV is the future value, PV is the present value (in this case, $10,800), r is the interest rate (12% or 0.12), n is the number of times the interest is compounded per year (2 for semiannual), and t is the number of years.

Plugging in the numbers, we get:

FV = $10,800 x (1 + 0.12/2)⁽²ˣ¹⁴⁾

FV = $10,800 x 1.06²⁸

FV = $10,800 x 4.322

FV = $46,761.60

To know more about compound interest here

https://brainly.com/question/14295570

#SPJ4

Tracking a website you visit and compiling information could be an example of _____.

Answers

Answer:

ISP

Explanation:

Internet Service Providers (ISPs) can see everything you do online. They can track things like which websites you visit, how long you spend on them, the content you watch, the device you're using, and your geographic location.

prices in a market economy perform a rationing function because they reflect

Answers

Prices in a market economy perform a rationing function by reflecting the interaction of supply and demand, allocating goods and services based on willingness and ability to pay.

In a market economy, prices play a crucial role in determining the allocation of goods and services. They perform a rationing function by reflecting the interaction of supply and demand.

When prices are determined by market forces, they reflect the scarcity of a particular product or service and the preferences of consumers. As a result, prices act as signals that guide producers and consumers in their economic decision-making.

For example, if the demand for a certain product exceeds its supply, prices will tend to rise. This increase in price signals to consumers that the product is scarce, and they may need to prioritize their purchases or seek alternatives.

Learn more about market economy here:

https://brainly.com/question/30714952

#SPJ11

The complete question is:

prices in a market economy perform a rationing function because they reflect: choose one answer First come first served

Political power

Physical force

Random assignment

Coupons

Greg works at a local college and organizes activities for college students to do while living in the dorms. What is Greg’s career?

A.Social Service Assistant
B.Residential Advisor
C.Sociologist
D.Health Counselor

Answers

Answer:

B. RA (residential Advisor)

Explanation:

Watch way too much tv lol

Answer:

The answer is B; Residential Advisor

Explanation:

I am taking the test right now, this is the answer I am selecting.

All of the following are key organizational data in the fulfillment process except Purchasing organization Distribution Channel Storage location Sales organization

Answers

All of the following are key organizational data in the fulfillment process except Storage location. Thus option (C) is correct.

What is a Organizational data?

Organizational data describes an institution's key traits, internal structures and procedures and corporate players' actions in various socio-economic circumstances.

Data organization is the act of sorting relevant data into several categories and structuring them. The samples of the categories are part of this raw data. One example of data structuring is the arrangement of student grades across several disciplines.

Learn more about Organizational data here:

https://brainly.com/question/13777668

#SPJ1

Dunder Miflin Technologies (DMT) produces trendy tablets. Two of its models are the market leaders: Supercool and Ubercool. Supercool has a profit margin of $200 and Ubercool brings in a profit of $250. Producing Supercool requires 1 processor and 2 standard memory chips whereas Ubercool needs 2 processors and 3 premium memory chips. DMT has 150 processors, 120 standard memory chips and 150 premium memory chips. Variable definitions for the linear programming problem, the profit maximization problem and the sensitivity analysis are provided below. You are required to answer the questions which follow using this information.
Let, S = number of Supercool models produced
U = number of Ubercool models produced
Max. 200 S+ 250U
Subject to:
S + 2U < 150 (Processor Constraint)
2S < 120 (Standard Chip Constraint)
3U < 150 (Premium Chip Constraint)
S, U > 0
Final Reduced Objective Allowable Allowable Cell Name Value Cost Coefficient Increase Decrease $A$2 Supercool 600 200 1 E+30 75
$B$2 Ubercool 450 250 150 XXX Final Shadow Constraint Allowable Allowable Cell Name Value Price R.H. Side Increase Decrease $A$9 Processor 150 XXX 150 10 $A$10 Standard Chip 120 37.5 120 180 $A$11 Premium Chip 135 XXX 150 1E+30
1. What is the shadow (dual) price of the constraint "Premium Chip"?
2. In the above sensitivity analysis, what is the allowable decrease for the "Ubercool" model objective coefficient?
3. What is the shadow (dual) price for the "Processor" constraint in the sensitivity analysis?
4. Suppose Sabre, a chip manufacturer, offers to sell 200 Standard Chips to DMT. At which of the following prices would DMT definitely be willing to purchase these 200 Standard Chips?
I. $6,000
II. $6,500
III. $7,000
5. Suppose that due to a delay at their premium chip supplier, Dunder Miflin obtains 20 fewer premium chips than expected. How will this, if any, affect the optimal solution and the profit?
6. If the objective function coefficient of "Supercool" is reduced by more than $100, which of the following could be the new optimal solution for "Ubercool"?

Answers

The new constraint would be 3U < 150 - 20, which simplifies to 3U < 130.

To answer the questions, let's refer to the given information and the linear programming problem provided.

1. The shadow (dual) price of the "Premium Chip" constraint is not provided in the given information. It is indicated as XXX in the sensitivity analysis table, suggesting that the shadow price is not available or relevant for this constraint.

2. In the sensitivity analysis, the allowable decrease for the "Ubercool" model's objective coefficient is not provided. It is indicated as XXX in the table, suggesting that the allowable decrease is not available or relevant for this objective coefficient.

3. The shadow (dual) price for the "Processor" constraint is given as 10 in the sensitivity analysis table.

4. To determine at which price DMT would be willing to purchase the 200 Standard Chips, we need to consider the standard chip constraint and the reduced objective coefficient for Supercool.

The standard chip constraint is 2S < 120, indicating that each Supercool model requires 2 standard chips. Since DMT has 120 standard memory chips available, it can produce a maximum of 60 Supercool models (2 * 60 = 120).

The reduced objective coefficient for Supercool is 200, indicating that for each Supercool model produced, the profit increases by $200.

Considering the maximum production of 60 Supercool models, the maximum additional profit from producing Supercool is $200 * 60 = $12,000.

Among the given prices, DMT would be willing to purchase the 200 Standard Chips if the cost is less than or equal to the maximum additional profit. Therefore, DMT would be willing to purchase the 200 Standard Chips at a price of $6,000 (option I).

5. If Dunder Miflin obtains 20 fewer premium chips than expected, it would affect the premium chip constraint. The premium chip constraint initially allows for 3U < 150, indicating that each Ubercool model requires 3 premium chips.

If Dunder Miflin receives 20 fewer premium chips, the new constraint would be 3U < 150 - 20, which simplifies to 3U < 130.

The effect on the optimal solution and profit would depend on the revised constraints and the impact on the objective function. It is necessary to re-optimize the linear programming problem with the revised constraint to determine the new optimal solution and profit.

6. If the objective function coefficient of "Supercool" is reduced by more than $100, the new optimal solution for "Ubercool" could vary depending on the specific reduction amount, the revised objective coefficients, and the constraints.

Without knowing the exact reduction amount or the changes in other coefficients and constraints, it is not possible to determine the new optimal solution for "Ubercool" from the given options.

To identify the new optimal solution, a revised linear programming problem would need to be solved, considering the changes in the objective function coefficient and examining the effects on the constraints and other variables.

It is important to note that the given information does not provide the specific details required to determine the new optimal solution for "Ubercool" with a reduced objective function coefficient.

For more such question on constraint visit

https://brainly.com/question/30591474

#SPJ11

question workspace ebook break-even point schweser satellites inc. produces satellite earth stations that sell for $105,000 each. the firm's fixed costs, f, are $3 million, 50 earth stations are produced and sold each year, profits total $600,000, and the firm's assets (all equity financed) are $6 million. the firm estimates that it can change its production process, adding $5 million to assets and $300,000 to fixed operating costs. this change will reduce variable costs per unit by $9,000 and increase output by 20 units. however, the sales price on all units must be lowered to $95,000 to permit sales of the additional output. the firm has tax loss carryforwards that render its tax rate zero, its cost of equity is 13%, and it uses no debt. what is the incremental profit? enter your answer in dollars. for example, an answer of $4 million should be entered as 4,000,000, not 4. round your answer to the nearest dollar. $ to get a rough idea of the project's profitability, what is the project's expected rate of return for the next year (defined as the incremental profit divided by the investment)? round your answer to two decimal places. % should the firm make the investment? -select- would the firm's break-even point increase or decrease if it made the change? the change would -select- the break-even point. would the new situation expose the firm to more or less business risk than the old one? i. the new situation would obviously have more business risk than the old one. ii. the new situation would obviously have less business risk than the old one. iii. it is impossible to state unequivocally whether the new situation would have more or less business risk than the old one. -select-

Answers

The new situation would expose the firm to more business risk than the old one. This is because the firm would have to sell a larger number of units to break even, and any decrease in sales volume or increase in costs could have a greater impact on the firm's profitability.

To calculate the incremental profit, we need to determine the additional costs and revenues associated with the proposed change in the production process.

First, let's calculate the additional fixed costs:
Additional fixed operating costs = $300,000

Next, let's calculate the change in variable costs per unit:
Change in variable costs per unit = $9,000 reduction

Since the change in production process will increase output by 20 units, the total reduction in variable costs would be:
Total reduction in variable costs = Change in variable costs per unit * Additional output
Total reduction in variable costs = $9,000 * 20 = $180,000

Now, let's calculate the change in revenues due to the lower sales price on all units:
Change in revenues = Price reduction per unit * Additional output
Change in revenues = ($105,000 - $95,000) * 20 = $200,000

To calculate the incremental profit, we subtract the additional costs from the additional revenues:
Incremental profit = Change in revenues - Additional fixed costs - Total reduction in variable costs
Incremental profit = $200,000 - $300,000 - $180,000 = -$280,000

Therefore, the incremental profit is -$280,000.

To calculate the project's expected rate of return, we divide the incremental profit by the investment:
Investment = Additional assets
Investment = $5,000,000

Expected rate of return = Incremental profit / Investment
Expected rate of return = -$280,000 / $5,000,000 = -0.056 or -5.6%

Based on the negative incremental profit and negative expected rate of return, it does not seem advisable for the firm to make the investment.

If the firm made the change in the production process, the break-even point would likely increase. This is because the reduction in the sales price per unit and the additional fixed costs would require the firm to sell more units to cover its costs.

The new situation would expose the firm to more business risk than the old one. This is because the firm would have to sell a larger number of units to break even, and any decrease in sales volume or increase in costs could have a greater impact on the firm's profitability.

To know more about business visit-

https://brainly.com/question/15826771

#SPJ11

How does marketing help your product or service

Answers

Answer:

Marketing informs your customers about the products or services you're offering them. Through marketing, the customers get to know about the value of the products, their usage and additional info that might be helpful to the customers. It creates brand awareness and makes the business stand out.

Explanation:

7. Jannah is reviewing a report that a new marketing manager put together after assessing her small business. If Jannah wants to learn how familiar a custo
what section of the marketing report should she review?

Answers

To learn how familiar a customer is to the company, Jannah must look at the leads section of the marketing report.

What is a marketing report?

It consists of a document through which an organization can visualize its performance over a period of time, through the analysis of data and information about the company's actions and strategies to achieve objectives and goals in the market.

Through qualitative and quantitative reports related to communication and sales, for example, the company is able to make more significant decisions about its strategy, with evaluations and corrections that will contribute to continuous improvement and positioning in the market.

So leads could be the section that Jannah would review to identify a potential customer, as this data significantly demonstrates an individual who engages with the company's business and can be turned into a customer.

Find out more about marketing strategy on:

https://brainly.com/question/25640993

#SPJ1

Other Questions
Find the value(s) of k such that the function is continuous at x=-1. (Enter your answers as a comma-separated list. If an answer does not exist, enter DNE.) {In(2x+5) x < -1F(x) = {8x - k x -1 The area of a square floor on a scale drawing is 36 square centimeters, and the scale drawing is 1 centimeter:3 ft. What is the area of the actual floor? What is the ratio of the area in the drawing to the actual area? B deletion of chromosomesC translocation of chromosomesCommon Chromosomal Abnormalities and their FrequenciesD insertion of chromosomesName of AbnormalityTrisomy 21 (Down Syndrome)Trisomy 18 (Edwards Syndrome)Trisomy 13 (Patau Syndrome)Monosomy X (Turner Syndrome)Kinefeter's SyndromeThe table above shows five different types of chromosomal abnormalities that can occur during meiosis. They result in either an individual having too many or too few chromosomes in their genome. What is themost likely cause of these chromosomal abnormalities?4xAnondo junction of chromosomesOChromosomal Abnormalityextra copy of chromosome 21extra copy of chromosome 18extra copy of chromosome 131/16000only one sex chromosome, only the X chromosome 1/2500extra X sex chromosome1/750OUFrequencyCo31/8001/5000B33Sign outJan 202:59 O which scenario will most likely result in a change to the nitrogen cycle that negatively affects plant growth? The store owner gave a 15% discount, yet Ty still had to pay $153 for the chess set. What was the original price of the chess set Why were countries competing to get to outer space? Shakespeare opens the play with a (1) _________________, which tells the reader exactly what is going to happen in the story. The story takes place in (2) _________________, Italy. The nth term of a sequence is 25n-3 what are the first three terms? What are the 6 principles of American public budgeting andfinance? Please be specific in your answer. When the expedition finally emerged from the mountains, they met and stayed with the Nez Perce Indians. can someone please help me which element always appears to start on a new line in the browser windowa. class type b. ID c. method d. block level help please !!!!!!!!!!!!! What type of number is the square root of 40? The young man spoke softly.1. fragment2. simple sentence Which phrase best describes reproduction?Responsesallows the offspring's parents to expend less energy during mating and birthingallows the offspring's parents to expend less energy during mating and birthingcan either be sexual or asexualcan either be sexual or asexual,allows for the continuation of a species and creates variety in a populationallows for the continuation of a species and creates variety in a population,produces an exact copy of the parent cell if you multiply an odd number and an odd number, what type of number do you get? explain why your answer is always correct Mr. Rich invested $ 250,000 on an account that earns him 5. 12% APR compounded continuouslyHow much interest does he collect after 7 years? Pls helpp Among all nucleated body cells, only B and T cells lose DNA during their development and maturation. In a short essay (100-150 words), discuss the relationship between this loss and DNA as heritable biological information, focusing on similarities between cellular and organismal generations. traditionally, medications like depo-provera have been used for paraphilias to ________.