The reconciling items in a horizontal model would show cash and account receivable as assets. The cash amount included in the September 30 balance sheet for the company's bank account is $71,520.
A. To prepare the horizontal model for reconciling items for Happ Inc. at September 30, follow these steps:1. Start with the bank statement balance: $63,780
2. Add deposits in transit: +$6,200
3. Subtract bank service charges: -$120
4. Add NSF check (accounts receivable): +$2,850
5. Subtract outstanding checks: -$1,280
6. Add interest credited to the account: +$90
The resulting balance sheet would look like this:
Balance Sheet
Assets Liabilities Stockholders' equity Net income
Cash ($63,780+$6,200-$120+$2,850-$1,280+$90) - - -
Accounts Receivable ($2,850) - - -
B. The amount of cash to be included in the September 30 balance sheet for the company's bank account can be calculated by adding and subtracting the reconciling items to the bank statement balance:
$63,780 (bank statement balance)
+ $6,200 (deposits in transit)
- $120 (bank service charges)
+ $2,850 (NSF check)
- $1,280 (outstanding checks)
+ $90 (interest credited)
= $71,520
So, the amount of cash to be included in the September 30 balance sheet for the company's bank account is $71,520.
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PLS ANSWER FAST, I'LL GIVE BRAINLIEST
In the healthcare field, there are face-to-face types of jobs and behind-the-scenes jobs. What is the difference between the two? PLEASE give an example of each with your answer.
Answer:
The answer is below
Explanation:
Face-to-face types of jobs is usually a clinical job that involves the practice or activities of carrying out the diagnosis, treatment, and actual care. For example Physician, Nurse, Surgical Assistant, Medical lab technician, etc.
On the other hand, Behind-the-scenes jobs in the healthcare fields are usually non-clinical jobs, while it may involve interaction with the patients, it does not involve the practice of medical testing or treatments. For example Medical billers and Coders, Transcriptionists, Hospital executives, Receptionists, etc.
The difference between the two is that some doctors meet with the patient and observe their symptoms. Other doctors diagnose what a patient may have by using the knowledge the other doctors provide them with.
Example of a doctor who interacts with the patient face-to-face:
pediatrician
Example of a doctor who works behind the scenes:
Intensevist
how does having knowledge of marketing and its many applications help an individual?
Option (B). It can make the individual a better consumer; Option (C). It can help the individual be a more informed citizen and Option (D). It can help the individual in career planning are the correct options.
When a person understands marketing and its applications, he or she will be a better consumer, a more informed citizen, and will be able to make better career decisions.
Marketing is the essence of what makes us human. Marketing is more than just selling chewing gum, cars, cellphones, and vacation packages. Every aspect of life involves the attempt to sell something to someone. We advertise ourselves in the mating market.
We advertise ourselves in the labour market. We promote ourselves online through our personal websites and social media platforms. We advertise ourselves to potential new friends. We pitch our ideas to academics, venture capitalists, colleagues, and book publishers. We are born marketers because we are a gregarious species with enormous brains. Marketing is the bedrock of capitalism, the economic system that has lifted millions out of abject poverty and misery. Everything in your daily life bears the unavoidable imprint of marketing.
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The complete question is: "How does having knowledge of marketing and its many applications help an individual? (Select all that apply)
A. It can help the individual understand world events.
B. It can make the individual a better consumer.
C. It can help the individual be a more informed citizen.
D. It can help the individual in career planning."
At January 1, 2024, Café Med leased restaurant equipment from Crescent Corporation under a nine-year lease agreement. The lease agreement specifies annual payments of $25,000 beginning January 1, 2024, the beginning of the lease, and on each December 31 thereafter through 2031. The equipment was acquired recently by Crescent at a cost of $171,000 (its fair value) and was expected to have a useful life of 12 years with no salvage value at the end of its life. Because the lease term is only 9 years, the asset does have an expected residual value at the end of the lease term of $4,666. Crescent seeks a 8% return on its lease investments.Required: 1. What will be the effect of the lease on Cafe Med's earnings for the first year? 2. What will be the balances in the balance sheet accounts related to the lease at the end of the first year for Cafe Med?
The lease is an operating lease since the lease term is less than the useful life of the equipment. Café Med will record the annual lease payment of $25,000 as an operating expense on its income statement for the first year.
Right-of-use asset: The annual amortization expense will be ($171,000 - $4,666) / 9 = $18,519. Therefore, at the end of the first year, the right-of-use asset will be $171,000 - $18,519 = $152,481.
Lease liability: The lease liability will be reduced by the amount of the lease payment made during the year ($25,000). PV of remaining lease payments = $25,000 x [(1 - 1 / (1 + 0.08)^8) / 0.08] = $146,391
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What is misleading about the term “overdraft protection”? please answer will give brainliest to the first
Answer:
"Overdraft protection is a misleading term, because it doesn't protect you from overdrafting," Schliep said, after paying the bank back for the charges. "It allows you to overdraft when you don't have enough money in checking so you're not embarrassed by getting your card denied."
Explanation:
Answer:
it makes it sound beneficial but it will take money from you.
With overdraft protection, if you don't have enough money in your checking account, checks will clear and ATM and debit card transactions will still go through. If you don't have enough overdraft protection to cover a shortfall, transactions won't go through, and fees may be high.
Explanation:
The income tax rate in a state is a flat 10 percent. Based on that rate, who has the higher tax burden?
Annual Income
Alex − $20,000
Beatrice − $190,000
Julio − $80,000
Roberta − $60,000
Answer:
Beatrice − $190,000
Explanation:
she has the most money and when she is taxed the most money will be taken away.
The income tax rate in a state is a flat 10 percent. Based on that rate, Beatrice has a higher tax burden. Thus the correct answer is C.
What is Tax?A tax is referred to a certain amount that is collected by the government of any country from its citizens which is later on used in the development process of the country including building hospitals, roads and maintaining transportation, and so on.
Here we need to tell the name of the person who has a higher tax burden with reference to the rate of tax with a flat ten percent. Beatrice will be considered as the person.
Beatrice owns an annual income of $190,000 which is higher than all available options so with the rate of interest of ten percent he is liable to pay more amount of tax.
Therefore, option C is appropriate.
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When you are communicating with someone from another culture you should _______.
Answer:
maintain etiquette or speak slowly
Does the Federal Reserve pay taxes?
Answer:
Federal Reserve banks are exempt from paying taxes at the federal, state and local levels, except on real estate holdings. This is because of rules on taxation set forth in Section 7(c) of the Federal Reserve Act.
Explanation:
Theo buys 500 shares of a KO for the lofty dividend. If KO pays a dividend of $1.20/share 4 times a year, how much are the dividend payments worth for the year?
Answer:
$2,400.00
Explanation:
The dividends per year will be dividends per share per year multiplied by 500.
Dividend per share per year
=$1.20x 4
=$4.80
Per year dividends will be worth
=$4.80 x 500
=$2,400.00
A 60-year old customer desires an investment that will provide for retirement income when she reaches age 65. The customer is able to invest $1,000 per month over that time period. What recommendations is most suitable?
Answer:
B. The purchase of a variable annuity contract
Explanation:
The variable annuity contract is the contract in which there is no limit in terms of dollars for contributions and the income i.e. earned on the investment should be considered as a tax deferred
Since the invested amount is $1,000 per month so for yearly it is $12,000.
Also the IRA account permits $5,500 contribution for the year 2018 so this not meet the requirement of $12,000
Also the large returns bonds are speculative and thus not considered for the income used in the retirement
Hence, the option is correct
A business receives $5 000 for Rent
Revenue and deposits this amount into its
Bank account. How will this transaction
be recorded?
Answer: Dr Bank $5 000; Cr Rent Revenue $ 5 000
Explanation:
From the information given in the question, we are informed that a business receives $5 000 for Rent
Revenue and deposits this amount into its bank account, this transaction will be recorded thus:
Debit Bank $5000
Credit Rent Revenue $5000
The correct journal entry is written above with regards to the transaction.
Alpha is a multinational company and expects to receive 5,000,000 Japanese yen in 180 days from a Japanese company. You are given the following information: Delta’s 180-day account receivable: JPY5,000,000 Spot rate : JPY107.91 / USD Delta’s best estimate of the expected spot rate in 180 days: JPY112.50 / USD. Deposit rate in USD is 2% Deposit rate in JPY is 9% Calculate the 180 days forward rate.
The 180-day forward rate is JPY99.76 / USD.
To calculate the 180-day forward rate, we can use the interest rate parity formula:
Forward rate = Spot rate * (1 + interest rate in quote currency) / (1 + interest rate in base currency)
Given:
Spot rate: JPY107.91 / USD
Deposit rate in USD: 2%
Deposit rate in JPY: 9%
First, let's calculate the interest rate differentials:
Interest rate differential = Interest rate in quote currency - Interest rate in base currency
= 2% - 9%
= -7%
Next, let's calculate the forward rate:
Forward rate = Spot rate * (1 + interest rate in quote currency) / (1 + interest rate in base currency)
= 107.91 * (1 + (-7%)) / (1 + 2%)
= 107.91 * (1 - 0.07) / (1 + 0.02)
= 107.91 * 0.93 / 1.02
= 99.76
Therefore, the 180-day forward rate is JPY99.76 / USD.
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In our model of aggregate supply and aggregate demand, how does expansionary monetary policy work to increase real GDP and the price level? Sort the following in the order in which they occur. Sorting Aggregate demand increases Inventories begin to fall The aggregate quantity demanded exceeds aggregate quantity supplied The federal funds rate falls Planned investment spending rises as interest rates fall A new equilibrium is reached, GDP is higher and the price level is higher
Expansionary monetary policy works to increase real GDP and the price level through a process that starts with a decrease in the federal funds rate.
This decrease in interest rates leads to an increase in planned investment spending and, consequently, an increase in aggregate demand. As aggregate demand increases, inventories begin to fall as firms struggle to keep up with demand. This creates a situation where the aggregate quantity demanded exceeds the aggregate quantity supplied, putting upward pressure on both prices and output.
Therefore, the correct order in which these events occur is:
The federal funds rate falls
Planned investment spending rises as interest rates fall
Aggregate demand increases
Inventories begin to fall
The aggregate quantity demanded exceeds aggregate quantity supplied
A new equilibrium is reached, GDP is higher and the price level is higher
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the activities involved in​ designing, producing,​ marketing, delivering, and supporting any product is its​ ________.
The activities involved in designing, producing, marketing, delivering, and supporting any product is its "value chain." The value chain refers to the sequence of activities that a company performs in order to create value for its customers.
The explanation of the value chain includes designing the product, producing it, marketing it, delivering it, and supporting it throughout its lifecycle. Each of these activities plays a crucial role in the overall value chain and contributes to the success of the product.
A value chain is a series of activities that companies perform to create, produce, and deliver a valuable product or service to their customers. These activities help to add value to the product, and they include research, design, production, marketing, distribution, and customer support. By understanding and optimizing each step in the value chain, a company can improve its overall competitiveness and profitability.
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A gasoline mini-mart orders 25 copies of a monthly magazine. Depending on the cover story, demand for the magazine varies. The gasoline mini-mart purchases the magazines for $1.50 and sells them for $4.00. Any magazines left over at the end of the month are donated to hospitals and other health-care facilities. Modify the newsvendor example spreadsheet to model this situation on worksheet Minimart. Create a one-way data table to investigate the financial implications of this policy if the demand is expected to vary between 1 and 30 copies each month. How many must be sold to at least break even? 8 1 Newsvendor Model 1 Newsvendor Mode 3 Data 4 5 3 Data 4 Selling price 18.00 Cost $12.00 Discount price 9.00 Selling price 18 Cost 12 Discount price 9 58 10 12 Purchase Quantity 9 Model 10 Demand Demand 41 4 44 12 Purchase Quantity 44 13 13 14 15 Surplus Quantity 14 16 17 Quantity Sold 41 Quantity Sold MIN(B11,812) 3 15 Surplus Quantity MAX(O,B12-B11) 16 17 Profit $ 237.00 Profit B14 B5+B15 B7-B12 B6
To at least break even, the gasoline mini-mart needs to sell 41 copies of the magazine.
By modifying the newsvendor example spreadsheet on the Minimart worksheet, we can analyze the financial implications of this policy for different demand scenarios. The selling price of the magazine is $4.00, and the cost is $1.50. The discount price is not applicable here. The purchase quantity is fixed at 25 copies. The surplus quantity represents the magazines left over at the end of the month and is calculated as the maximum of 0 and the difference between the demand and the purchased quantity. The quantity sold is obtained by subtracting the surplus quantity from the demand. To determine the break-even point, we need to find the quantity sold at which the profit is zero or positive. In this case, that occurs when the quantity sold is at least 41 copies.
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______is a firm’s engagement in social actions because of its obligation to meet certain economic and legal responsibilities.
Obligatory social actions undertaken by a firm to fulfill economic and legal responsibilities.
The term that describes a firm's engagement in social actions due to its obligation to meet certain economic and legal responsibilities is known as "corporate social responsibility" (CSR). CSR refers to a company's commitment to conducting its business in an ethical and responsible manner, considering the impact of its actions on various stakeholders, including employees, customers, communities, and the environment. It encompasses a range of activities, such as adhering to legal regulations, promoting fair business practices, protecting the environment, supporting community development, and ensuring the well-being of employees. By fulfilling economic and legal responsibilities through CSR initiatives, firms aim to maintain their social license to operate, build positive reputations, and contribute to sustainable development.
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Select all that apply The three-step analysis to determine cash provided or used by investing activities includes: Multiple select question. identifying changes in investing-related accounts reporting the cash flow effects explaining the changes using T-accounts and reconstructed entries identifying changes in cash accounts
Answer:
identifying changes in investing-related accounts
reporting the cash flow effects
explaining the changes using T-accounts and reconstructed entries
Explanation:
In analysing cash flows in a business there are 3 types of cash flow: from operating activities, from investing activities, and from financing activities.
Cash flow from investing activities involves cash used for various investments over a particular period.
This can include purchase of property, equipment, acquisition of other businesses, and investment in marketable securities.
The three-step analysis to determine cash for investing activities includes:
- monitoring changes that occurs in investment related accounts
- reporting of cash flow as it relates to investment
- use of T accounts and reconstructed entries to explain changes in cash flow
Imagine getting a bill for $125 billion that did not know you owed. The case involves a realworld situation. That actually happened to the residents, called "burghers," of the town of Ticino, Switzerland. The New York Supreme Court in Brooklyn, New York, ordered Ticino to pay a group of American investors. The investors had sued in the Brooklyn court over a loss they claimed in connection with the failure 27 years earlier of Inter Change Bank, a tiny bank in Ticino. The burghers had known about the suit, but thought the matter was trivial, and were naturally stunned by the bill. Their lead lawyer quipped that "if the judgment was upheld by the higher courts, all of Ticino's citizens would have to spend the rest of their lives flipping real burgers (the kind you eat) at McDonald's and Burger King to pay off the debt." The root of Ticino's problem was a deposit made 28 years ago, one year before the bank failed. The estate of one Sterling Granville Higgins deposited $600 million of options on Venezuelan oil and mineral deposits in the Inter Change Bank. The bank agreed to pay an interest rate of 1% per week. (No wonder the bank failed the next year!) The Brooklyn court ruled that Ticino had to pay 1% interest per week compounded weekly for the 7 years between the date of deposit and the date Ticino had the bank liquidated and interest at the rate of 8.54% APY for the remaining 21 years since the bank's liquidation. Case Questions: 1. The $125 billion reported in the press was rounded, but the original amount was precisely $600 million. Assuming the time periods are exactly seven years at a periodic interest rate of 1% per week and exactly 21 years at 8.54% APY, how much was the bill to the nearest dollar? For simplicity and convenience, please use $125.5 billion as the amount owed (bill) for questions #2 - and exactly 21 years at 8.54% APY, how much was the bill to the nearest dollar? For simplicity and convenience, please use $125.5 billion as the amount owed (bill) for questions #2 #6 below: 2. What is the APY over the entire 28 years as the $600 million grows to the amount owed? 3. Suppose Ticino could pay $5 billion per year. How long would it take to pay off the amount owed assuming interest continued to be charged at 8.54% APY? Assume annual payments begin one year from the date the amount is owed. 4. Suppose Ticino could pay $12 billion per year. How long would it take to pay off the amount owed assuming interest continued to be charged at 8.54% APY? Assume annual payments begin one year from the date the amount is owed. 5. Suppose Ticino decides to pay the amount owed by making 30 annual payments at 8.54% APY. What is the amount of the annual payment if the first payment begins immediately from the date the amount is owed? 6. Suppose Ticino decides to pay the amount owed by making 30 annual payments at 8.54% APY. What is the amount of the annual payment if the first payment begins three months after the date the amount is owed?
Ticino, Switzerland, receives a $125.5 billion bill from American investors for InterChange Bank's failure, raising questions about debt amount, APY, and repayment plan.
To calculate the amount owed to the nearest dollar, we need to determine the total accumulated value of the initial deposit of $600 million over the 28-year period.
The APY over the entire 28 years can be calculated by finding the equivalent interest rate that would yield the final amount owed of $125.5 billion.
Next, assuming Ticino could pay $5 billion per year, we can calculate the time it would take to pay off the debt with interest continuing to be charged at 8.54% APY.
Similarly, we can calculate the time it would take if Ticino could pay $12 billion per year.
If Ticino decides to make 30 annual payments at 8.54% APY, we can calculate the amount of each annual payment, assuming the first payment begins immediately or three months after the date the amount is owed.
These calculations involve complex financial formulas, including compound interest and present value calculations.
Detailed calculations can be performed using financial calculators or spreadsheet software to find accurate results for each question in the case.
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1. The main characteristic of a full-service advertising agency is that it A. does not limit its services to promotion. B. does not provide services to individuals. C. specializes in providing creative services. D. specializes in buying media time and space.
Answer:
A.
Explanation:
Full-service advertising agency is an agency that is meant to handle all aspects of business, that is, advertising, marketing, and promotion. The other services that a full-service advertising agency provides are strategic planning, content marketing, SEO, production, creativity, social media marketing, etc.
The characteristic of a full-service advertising agency listed in the given options is that it is not limited to promotional activities only. As the name suggests, it offers full-fledged marketing service.
Therefore, option A is correct.
Oregon Duck Inc. is considering buying for 12 maart of wireless R700 Marge which is wie fordeling methos The 100 distances and more easily penetas adhere the cost 120200541 million in a challenges portion of the spectrum Ducestea cost of $34074145 milion the next years and new Dung the periode competente 330413643 min by offering Vision and video to mobile phones. Call the represent worth a vivement and determine the capability of the recommend of rulum is 15% per year.
Draw the cash flow diagram to resolve the problem
The PI value is negative, indicating that the investment is not capable of generating a profit. Hence, it is not advisable to invest in the wireless R700 Marge.
Oregon Duck Inc. is evaluating the feasibility of investing in a wireless R700 Marge. The company needs to determine the represent worth and the capability of the recommendation. Given that, The cost of wireless R700 Marge = $120200541 million
The cost for the next year = $34074145 million
The period competent = 3 years
Discount rate (r) = 15% per year
Then, the cash flow diagram is:
Calculation of Present worth: Present worth (PW) of the investment can be calculated by summing the discounted cash flows over the period competent. The equation for the present worth is,
PW = (Cash flow during the period competent) x (Present Worth factor)
The present worth factor can be calculated as:
P = 1/(1+r)^n
Where r is the discount rate, and n is the number of years.
To calculate PW, we need to calculate the cash flow for the 3 years. In this problem, the cash flow is negative, as the Oregon Duck Inc. needs to invest a large amount at the beginning of the investment. Therefore, the cash flow would be: Cash flow for the year 0 = -$120200541 million
Cash flow for the year 1 = -$34074145 million
Cash flow for the year 2 = -$34074145 million
Cash flow for the year 3 = -$330413643 million
Now, we can calculate the present worth as follows:
PW = -120200541 × P0 + (-34074145) × P1 + (-34074145) × P2 + (-330413643) × P3
Where, P0 = 1/(1+r)^0 = 1
P1 = 1/(1+r)^1 = 0.8696
P2 = 1/(1+r)^2 = 0.7561
P3 = 1/(1+r)^3 = 0.6575
Then,
PW = -120200541 + (-34074145 × 0.8696) + (-34074145 × 0.7561) + (-330413643 × 0.6575)
= -$373382232 million
Therefore, the present worth is -$373382232 million.
Recommendation and Capability: The recommended investment is feasible if the present worth is positive. In this case, the present worth is negative, indicating that the investment is not feasible. Therefore, Oregon Duck Inc. should not invest in the wireless R700 Marge. The capability of the recommendation is determined by the profitability index (PI).
The equation for PI is:
PI = Present worth/Investment
Then,
PI = -373382232/120200541
= -3.106
The PI value is negative, indicating that the investment is not capable of generating a profit. Hence, it is not advisable to invest in the wireless R700 Marge.
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Robot Smart Ltd is a leading high-tech company which is incorporated in Surrey, BC. The
company wants to add an additional production line in August 2022. They hired you, a UCW
graduate, to prepare a capital budgeting for the project.
Below is the information that your manager provided:
1. The facility is made up of one piece of land in North Vancouver value at 10%, one non
residential building value at 20% of the total cost 70% of manufacturing equipment. At
the end of project’s life, the equipment will be sold for an estimated $0.2 million; assume
the building’s value will be $0.1 million. Land residual value is unclear.
2. Start-up costs include $1.5 million to build the production facilities, including land,
building and equipment. The project will last for 8 years.
3. The company estimated that it is able to make 2300 of its new products – robots, could be
sold annually over the next eight years at a price of $800 each. Variable costs per robot
are $300 and each year’s fixed costs is 55,000.
4. To handle the new product line, Robot Smart’s net operating working capital would have
to increase by an amount equal to 10% of sales revenues and will be half recovered at the
end of project.
5. However, if Robot introduces its new products, sales of its existing products will fall
$300,000 per year. There will also be $80,000 to hire new workers who are familiar with
the new equipment operation. The market research on the new robots was $350,000. The
company will retool one of its existing manufacturing facilities to produce the new
model. The one-time retooling cost is $170,000. BC government also granted the
company an innovation funding of $10,000 in Jan 2022
6. The manager is complaining the inflation will affect fixed cost, variable cost and the sales
price in current years. The financial division has estimated the company’s WACC is
12%. The company also assume the sales will increase 8% per year.
Requirements
1. Using an Excel spreadsheet:
• Find the NPV of the project by using the pro forma financial statement method to determine cash
flows.
• Set up the necessary equations by referencing to the input variable cells. The spreadsheet must be
formula driven; do not put any numbers in equations, must use cell references.
If the NPV is positive, it indicates that the project is expected to generate more value than the initial investment and may be considered favorable. If the NPV is negative, it suggests that the project's expected cash flows may not be sufficient to recover the initial investment and may be considered unfavorable.
To calculate the NPV of the project using the pro forma financial statement method in Excel, you can follow these steps:
Open a new Excel spreadsheet.
Create a table to input the necessary variables and assumptions. Include the following columns: Year, Sales, Variable Costs, Fixed Costs, Net Operating Working Capital, Depreciation, Income Tax, Cash Flow, Discount Factor, and Discounted Cash Flow.
Input the relevant information based on the given data. For example:
Year: 1 to 8 (representing the project's duration)
Sales: $800 * 2300 * (1 + 8%)^(Year-1)
Variable Costs: $300 * 2300 * (1 + 8%)^(Year-1)
Fixed Costs: $55,000
Net Operating Working Capital: 10% of Sales
Depreciation: ($1.5 million - $0.2 million - $0.1 million) / 8
Income Tax: (Sales - Variable Costs - Fixed Costs - Depreciation) * Tax Rate
Cash Flow: Sales - Variable Costs - Fixed Costs - Depreciation - Income Tax
Discount Factor: 1 / (1 + WACC)^Year
Discounted Cash Flow: Cash Flow * Discount Factor
Note: Adjust the formulas according to the specific cell references and assumptions you make in your spreadsheet.
Calculate the sum of the Discounted Cash Flow column to find the Net Present Value (NPV) of the project.
By comparing the NPV to the initial investment of $1.5 million, you can determine the financial viability of the project. If the NPV is positive, it indicates that the project is expected to generate more value than the initial investment and may be considered favorable. If the NPV is negative, it suggests that the project's expected cash flows may not be sufficient to recover the initial investment and may be considered unfavorable.
Ensure that you use consistent units (e.g., thousands or millions) throughout the calculations to maintain accuracy.
Remember, this is a basic overview, and you may need to consider additional factors or adjust the calculations based on specific requirements or assumptions provided by your manager.
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Think about your shopping habits .Make a list of all businesses to which you are a loyal customer .Now jot down some reasons that you remain loyal to that business .
Pls helpp.
Answer:
I need MILk... Answer 333
Explanation:
Which document determines the number of shares in a company?
a stock prospectus
an annual bill of rights
a corporate charter
an annual report
Answer:
C. a corporate charter
A Corporate Charter is document determines the number of shares in a company.
What is Corporate Charter?
Corporate charter is a legal document which is issued with the Secretary of State or registrar in order to establish a company as a corporation and contain every detailed information about company's share. The corporate charter contain information about governance, structure, objectives, operation, other information about the company and information about that total company shares and how much the company is willing to sell.
Therefore, A Corporate Charter is document determines the number of shares in a company
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Can anyone help me think of an advertisement for a product I’m selling which is a drone.
Regardless of the variety of options available, all forms of advertising share two objectives: to influence customers so that they become leads or customers.
How to Influence Customers?
Consumer behavior is influenced by four psychological factors: attitude or set of beliefs, perception, learning, and motivation. Behaving in a manner that offers others the opportunity to change (their behavior, attitudes, thoughts, and ways) and/or accommodate your own wishes is one aspect of influencing skills. However, it is important to recognize that others may be unable to, unwilling to, or unprepared to respond to our request to be influenced. Human behavior is influenced by a variety of factors and characteristics. These are distinctions that are unique to the person with whom you are collaborating. Personality traits.
These are things that affect how a person interacts with other people. Institutional elements. Factors that affect the community and Public policy.
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does adrian loves marrinatte
YES HE DOES!
You can tell by the way he looks at her
Answer:
yes
Explanation:
suppose that instead of each farmer in an area owning a specific parcel of land, all farmland is pooled together. the profits that remain from all of the pooled farmland is divided among all of the participating farmers equally. which is the most likely consequence of a property right system like this being used?
A property right structure like this would most certainly result in free riding from multiple farmers on the land.
How Do Property Rights Work?The definition of property rights appears to be relatively simple at first. Property rights, whether intangible or physical, are what we refer to as a right to certain property. Property rights are often crystal clear. If you possess a vehicle and have a title in your name, you are the rightful owner of the property rights to drive, sell, lend, lease, or scrap the vehicle.
What makes property rights so crucial?They enable governments to collect property taxes, which are required to finance the provision of infrastructure and services to citizens, and they give individuals and businesses the confidence to invest in land. They also permit private companies to borrow money using land as collateral to create more job opportunities.
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What other ecosystems resemble islands? List at least two and explain why they are similar to islands.
For instance, the Millennium Ecosystem Assessment refers to islands as "land."
What does ecosystems resemble islands?An island is an example of a terrestrial ecosystem, even though it is surrounded by water and contains many inhabitants that engage in marine ecology.
Islands have long piqued the interest of ecologists. Native species are less likely to be replaced by the arrival of foreign flora and animals because of their remoteness from the mainland. As they grow and change through time, they create an ecosystem unique to that island in order to adapt to their surroundings.
An ecological island is a biodiverse microhabitat that is a part of a larger environment. The sky islands serve as an example of an ecological island. A population of land-based species and the interactions between biotic and abiotic components in a particular area make up a terrestrial ecosystem.
Thus, the Millennium Ecosystem Assessment refers to islands as "land."
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johnson company returned damaged merchandise to a supplier. the merchandise was purchased on account. the journal entry that johnson company will make to record this return includes a credit to:
The journal entry to record the return of damaged inventory to the supplier will include a debit to the Inventory and a credit to the Cost of Goods Sold.
A journal entry is to be understood as a concept of recording the occurring financial transactions or events involving goods for monetary exchange. Each journal entry has an equal and opposite debit as well as credit effect. For the provided situation, the journal entry will be as shown,
Inventory Ac Dr. $ XXXX
To, Cost of Goods Sold Ac. $ XXXX
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विरा
HE
QUESTION ONE / 10
Aaron wants to open a savings account. Which account will grow his money the most?
B. Account 2: Interest rate 1%, interest compounded daily.
A. Account 1: Interest rate 2%, Interest compounded daily.
D. Account 4: Interest rato 1%, interest compounded
annually.
C. Account 3: Interest rato 2%, interest compounded
monthly
Answer:
B. Account 2: Interest rate 1%, interest compounded daily
Explanation:
because since he want to be taking money from there regularly , he will need a rate of 2% and a interest compounded daily
a) You are asked to choose between two IT projects using the Net Present Value Model. Project A takes 5 years, it costs 5 Million dollar (whole cost should be paid before the project starts), it creates 10 Million dollar value 2 years after completion. Project B takes 3 years, it costs 1 Million dollar in the beginning and 3 Million dollar at conclusion, it creates 8 Million dollar value 3 years after completion. Assume interest rate at 5%. Write all the calculations. Which project would you choose? Provide justifications.
Project B would be the preferred choice because it has a higher NPV.
To decide which project to pursue using the Net Present Value (NPV) model, we must compute and compare the NPV of each project. The following is the NPV formula:
\(NPV = \frac{Cash Flow}{(1 + Interest Rate)^n} - Initial Investment\)
Where:
Cash Flow ⇒ the expected cash inflow for a specific year.
Interest Rate ⇒ the discount rate used to calculate the present value.
n ⇒ the number of years in the future the cash flow is expected.
Let's calculate the NPV for each project:
For Project A:
Year 0: Initial Investment = -5 million dollars (outflow)
Year 2: Cash Flow = 10 million dollars (inflow)
Year 5: Cash Flow = 0 (no cash flow)
Using an interest rate of 5%:
\(NPV_A =\frac{-5}{(1 + 0.05)^0} + \frac{10 }{(1 + 0.05)^2} + \frac{0}{(1 + 0.05)^5}\)
\(NPV_A\) = = -5 + 8.540 + 0 = 3.540 million dollars
For Project B:
Year 0: Initial Investment = -1 million dollars (outflow)
Year 3: Cash Flow = 8 million dollars (inflow)
Using an interest rate of 5%:
\(NPV_B = \frac{-1}{(1 + 0.05)^0}+\frac{8 }{(1 + 0.05)^3}\)
\(NPV_B\) = -1 + 7.512 = 6.512 million dollars
Comparing the NPV values, we see that \(NPV_B\) (6.512 million dollars) is greater than\(NPV_A\) (3.540 million dollars). Therefore, based on the Net Present Value model, Project B would be the preferred choice.
Justification:
The project with the greater positive NPV, according to the NPV model, should be chosen since it denotes a higher projected return on investment. In this instance, Project B has a greater NPV than Project A, which indicates that it is anticipated to provide more value in relation to its expenses. Therefore, selecting Project B would probably lead to a better financial outcome.
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SAMU BED & BREAKFAST (SBB)
Samu is a successful young entrepreneur who
owns many bread & breakfast businesses in
different areas. Samu gives people equal job opportunities without discriminating them
based on age, race and gender. She also values the differences between people and
encourages diversity in the workplace. Some of the SBB employees have disclosed that
they are HIV positive.
1.4.1
Quote from the scenario above TWO ways in which Samu achieves inclusivity in
the workplace.
(2
1.4.2
Outline any THREE purposes of inclusivity in the workplace.
(3
1.4.3 Advise Samu on the negative impact of HIV/Aids in the workplace.
(5
Explanation:
1. Samu achieves inclusivity by giving people equal opportunity without discrimination at the workplace, she also also encourages diversity in the work place as this helps foster unity amongst the employees.
2. Inclusion produces happier employees, who are more committed to their work because they know they are been appreciated.
Productivity increases.
Improved problem solving.
3. HIV and AIDS has a huge impact on the world of work place as it reduces the supply of labour and available skills, it also increase labour costs, reduces productivity, it’s a threat to the livelihoods of workers and employers, and it also creates an environments which destroys the rights of workers.