The following table contains information of six jobs that are awaiting processing at a work center.
Job Job Processing Time (Days) Job Due Date (Days)
a 12 20
b 4 15
c 15 22
d 8 25
e 7 18
f 9 28
1. [9 marks] Sequence the jobs using (1) SPT, (2) EDD, and (3) CR (please provide the detailed procedure).
2. [11 marks] For each of the methods in part 1, determine (a) the average job áow time; (b) the average tardiness, and (c) the average number of jobs at the work center. Which schedule rule should be used under each of the three measures of e§ectiveness?

Answers

Answer 1

The answers to all the questions are as follows:

1. SPT: Shortest Processing Time
First, jobs are arranged in ascending order of processing time.
Ascending order is:Job b, e, d, f, a, and c.
2. EDD: Earliest Due Date
First, the due date of each job is calculated, and then the jobs are arranged in ascending order of the due date. Ascending order is:Job b, e, a, c, d, and f.
3. CR:Critical Ratio
First, the critical ratio for each job is calculated using the following formula:
Critical Ratio = (Due date - Today's date) / Processing Time
Then, jobs are arranged in descending order of critical ratio.
Descending order is:Job e, f, b, d, c, and a.
2. Schedule Rule
Average job flow time is the amount of time spent by a job at a workstation. It is determined by calculating the sum of the processing times of all jobs divided by the total number of jobs.The average job tardiness is the total tardiness of all jobs divided by the total number of jobs.The average number of jobs at the work center is the total number of jobs divided by the processing time of the last job.
Part 1 Scheduling Method  
Part 2 Scheduling Method  Average job áow time  Average tardiness  Average number of jobs at work center
Schedule rule SPT  a. 9.17  b. 2.50  c. 2.33  The schedule rule for SPT should be used under all three measures of effectiveness.
Schedule rule EDD  a. 11.17  b. 5.67  c. 2.67  The schedule rule for EDD should be used under the average job flow time and the average number of jobs at the work center. The schedule rule for CR should be used under the average tardiness measure of effectiveness.Schedule rule CR  a. 11.67  b. 7.50  c. 2.67  The schedule rule for CR should be used under all three measures of effectiveness.

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Related Questions

MARKING BRAINLIEST IF RIGHT!
1.) When Matt bought a new car, he had to pay $1,000.00 the day the agreement was signed. This payment is called:

A.) a finance charge.

B.) a credit agreement.

C.) a down payment.

D.) a monthly payment.

Answers

Answer:

C.) a down payment.

Explanation:

The correct option is - C.) a down payment.

Reason -

Down payment is a payment which is treated as a deposit to an credit agreement made.

Where is a good place for reviewers to start reviewing a work?

A. with the opinions of famous thinkers
B. with quotations from other reviewers
C. by analyzing the context of a work
D. by noticing their emotional reaction​

Answers

Answer:

C. by analyzing the context of a work

Explanation:

We are asked what is a good place for reviewers to start reviewing a work.

By analyzing the context of a work, the work could be reviewed.

Hence C is the most appropriate option.

What is the name of the type of innovation in which new and useful products are created that change nearly everything, including how new problems are solved and buyer behavior?

Answers

Discontinuous innovation type of innovation in which new and useful products are created that change nearly everything, including how new problems are solved and buyer behavior.

What is Discontinuous innovation?

Discontinuous innovations (also known as "radical," "GameChangerTM," or "disruptive") literally "alter the game" by disrupting existing industries or developing new ones. Successful discontinuous inventions result in large gains for the winners and large losses, perhaps bankruptcy, for the losers. A new product is introduced that is completely different from the prior one, resulting in a dramatic shift in consumption habits. Disposable sanitizing tissues, for example, to be used on the body instead of a shower or bath.

Consumers are presented to products that necessitate a shift in their current way of conduct. For example, Sony launched a new High Definition TV that would be incompatible with today's broadcasting standards, requiring you to seek out alternative television sources.

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Answer for 25 points link to video

Answer for 25 points link to video

Answers

Based on  Coca Cola's most recent yearly report, they offer over 1.9 billion servings of their items each day in more than 200 nations.

What is the Coca-Cola’s Business about?

In terms of question 2,  Coca Cola depends intensely on its bottling accomplices for the conveyance of its items. These bottling accomplices are autonomous firms that have understandings with Coca Cola to make, bundle, and disperse its refreshments.

Lastly, for question 3, Coca Cola's approaches to achieving goals in the immediate and distant future exhibit notable differences. In the immediate future, the company's primary goal is to sustain its market presence and financial viability by implementing measures such as reducing expenses and conducting focused promotional efforts.

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See text below

video transcript

0:00

Coca-Cola’s Business And Distribution Strategy

0:03

According to official statistics,1.9 billion Coca-Cola products are sold around the world

0:09

everyday.

0:11

The Coca-Cola Company is a global business that operates on a local scale.

0:16

The Company is able to create a global reach with local focus because of the strength of

0:20

its system, which comprises the Coca-Cola Company and their more than 250 bottling partners

0:26

worldwide.

0:28

The system has numerous legal and managerial departments and sections, all independent

0:32

of each other, and it does not own or control all of its bottling partners worldwide.

0:38

While it is generally perceived that Coca-Cola runs all its operations globally, this process

0:43

is done through various local channels.

0:47

Coca-Cola typically agrees to refrain from selling or distributing, or from authorized

0:51

third parties to sell or distribute, the Company Trademark Beverages throughout the identified

0:56

territory, to guarantee bottling partner exclusivity under that territory and product.

1:02

However, Coca-Cola typically reserves for itself the right to manufacture and distribute

1:08

its trademarked products and brands.

1:11

In exchange Coca-Cola also participates in the sales and marketing activities of its

1:15

bottling partners.

1:18

For instance, in 2019, Coca-Cola spent $4.4 billion in promotional and marketing programs

1:25

with bottling partners.

1:27

The bottling partners manufacture, package and distribute the final branded beverages

1:32

to customers and vending partners, who then sell products to consumers.

1:37

All bottling partners work closely with suppliers- grocery stores, restaurants, convenience stores,

1:43

amongst many others- to execute localized strategies developed in partnership with Coca-Cola.

1:50

More precisely, although Coca-Cola is a global company, its products never have to travel

1:55

far to reach the final consumer, making the product more local than you may think, the

2:00

product is made local to the market where it is sold.

2:04

Their business is a local business, typically products aren’t shipped more than a few

2:08

hundred miles; it’s all about being responsive to the customers needs and the local tastes

2:13

of the consumers in every market.

after watching the video answer the following questions:

1) How many Coca Cola products are sold around the world?

2) How do their bottling partners assist with their distribution?

3) How does Coca Cola act as a company short-term and long term? What is the difference between the two (Be very detailed)

According to this image :
1- What is the age range of the generation with the highest amount of household debt?

2-Which is the only generation to decrease its average debt from 2019 to 2020?


3-Compare the rate at which Gen Z’s debt increased from 2019 to 2020 compared to other generations.
With an increase of 67.2%, Gen Z’s debt increased at a much higher rate than other generations.


4-Calculate how long it would take for Gen Z’s average debt ($16,000) to reach Gen X’s level of average debt ($140,000) if it continued to increase at its current rate (67.2% per year).

5-Develop a logical argument why Gen Z’s debt is rising at such a high rate when the Silent Generation’s debt is decreasing.

I have to turn this worksheet today, So please ANYONE help me out please ASAP..

According to this image :1- What is the age range of the generation with the highest amount of household

Answers

Answer:

1. Gen X 41-56years

2. Silent Gen reduced debt by 4.6%

3.Baby boomers increased by 0.3% from 2019 to 2020, they had the least increase in debt

Gen X followed with 3.5% increase from 2019 to 2020 while Millenials had 11.5% increase in debt between 2019 and 2022. Even though Gen Z debt increased by 67.2%, they still have the lowest debt overall into two years.

4.Gen Z average debt $16,000

Gen X average debt $ 140,000

In 5years, it will meet up with Gen Xs level of debt

5. The silent Gen are the elderly, mostly retired and no longer taking new loans while Gen Z is the younger generating, newly exploring the world, teenagers and students, young school leavers and new work force taking loans at the slightest offer. The silent age are no longer active, they are most been taken care of and won't be taking loan facilities for any purpose. Student loan, technology etc is available and most suitable for the age range of Gen Z, hence the difference in the loan dimension.

When a doctor schedules you for a surgery and requests that the hospital have specific instruments and supplies for your procedure, who initiates the buying process

Answers

The doctor is responsible for supplying the required instruments for the surgery procedure.

What is the real meaning of a doctor?

A person certified to exercise medicine, as a physician, surgeon, dentist, or veterinarian. someone who has been presented with a doctor's degree can be called as Doctor. He is a Doctor of Philosophy.

The buying process of surgical equipment for the successful operation of a patient is initiated by the doctor and the hospital authorities.

Therefore, The doctor is responsible for supplying the required instruments for the surgery procedure.

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What are the corporation's current HRM objectives,
strategies, policies, and programs?
Are they clearly stated, or merely implied from performance

Answers

The corporation's current HRM objectives, strategies, policies, and programs may vary depending on the specific organization.

1. HRM Objectives: These are the goals that the corporation aims to achieve through its HRM practices. Common objectives include attracting and retaining talented employees, fostering a positive work culture, ensuring compliance with labor laws and regulations, promoting employee development and engagement, and optimizing workforce productivity.

2. HRM Strategies: These are the plans and actions implemented by the corporation to achieve its HRM objectives. For example, if the objective is to attract and retain talented employees, the strategy may involve creating competitive compensation and benefits packages, implementing effective recruitment and selection processes, providing opportunities for career growth, and enhancing employee satisfaction through employee engagement initiatives.

3. HRM Policies: These are guidelines and principles established by the corporation to govern HRM practices and ensure consistency and fairness. HRM policies may cover areas such as employee recruitment, selection, onboarding, performance management, compensation and benefits, training and development, employee relations, and compliance with legal and ethical standards.

4. HRM Programs: These are specific initiatives or activities designed to support the corporation's HRM objectives and strategies. Examples of HRM programs include training and development programs, wellness programs, diversity and inclusion initiatives, performance management systems, employee recognition programs, and employee assistance programs.

Determining whether these objectives, strategies, policies, and programs are clearly stated or merely implied from performance depends on the transparency and communication within the organization. Ideally, these elements should be clearly stated in official documents, such as HR policies and employee handbooks. However, in some cases, they may be implied based on observed practices and outcomes.

In conclusion, the corporation's current HRM objectives, strategies, policies, and programs are important components of its overall HRM approach. They play a crucial role in shaping the organization's HR practices and ensuring alignment with its goals and values.

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Cougar Company is owned equally by Cat Stevens and a partnership that is owned equally by his father and two unrelated individuals. Cat and the partnership each owns 3,000 shares in the company. Cat wants to reduce his ownership in the company, and it is decided that the company will redeem 1,500 of his shares for $25,000 per share. Cat’s tax basis in each share is $5,000. What are the income tax consequences to Cat as a result of the stock redemption, assuming the company has earnings and profits of $10 million? (Enter your answers in dollars not in millions. )

Answers

The income tax consequences to Cat Stevens as a result of the stock redemption are that he will have to pay taxes on the $30,000,000 capital gain, which will be treated as a dividend due to the company's sufficient earnings and profits.

Cougar Company is owned equally by Cat Stevens and is a partnership. Cat and the partnership each own 3,000 shares. The company will redeem 1,500 of Cat's shares for $25,000 per share, and Cat's tax basis in each share is $5,000. Assuming the company has earnings and profits of $10 million, what are the income tax consequences to Cat?

To calculate the income tax consequences, we need to follow these steps:

1. Determine the total redemption amount: 1,500 shares x $25,000 per share = $37,500,000.

2. Calculate the total tax basis for the redeemed shares: 1,500 shares x $5,000 per share = $7,500,000.

3. Calculate the capital gain: Total redemption amount - Total tax basis = $37,500,000 - $7,500,000 = $30,000,000.

Since the company has sufficient earnings and profits ($10 million), the entire capital gain of $30,000,000 will be treated as a dividend. This means that Cat will need to pay taxes on the $30,000,000 dividend received from the stock redemption.

In conclusion, the income tax consequences to Cat Stevens as a result of the stock redemption are that he will have to pay taxes on the $30,000,000 capital gain, which will be treated as a dividend due to the company's sufficient earnings and profits.

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when preparing a flexible budget, variable costs are expressed as a constant amount _____, and fixed costs are expressed as a constant amount _____.

Answers

Answer: per unit; in total

Explanation:

List five organizations where you could volunteer your services. Describe the type of work you might perform for each organization.

Answers

Answer:

animal shelter: feeding the animals giving them baths and walking them maybe

eldery homes: help them clean up a bit and just talk to them

Explanation:

sorry i cant think of more

Points of Light is the world's largest volunteer organization. We envision a society in which it is simple for anyone to affect change in their community and around the world. A volunteer program is a structure that is used to recruit and manage volunteers while also supporting community volunteer activities.

How do I ask for volunteer work?

Explain that you are looking for a volunteer opportunity and that you are particularly enthusiastic about the organization in question. You can even include a sentence explaining why the organization is a good fit for your skills. The first paragraph should pique the reader's interest and make them want to learn more about you.

Volunteering can help you gain confidence by allowing you to try something new and develop a genuine sense of accomplishment. Make an impact. Volunteering can have a significant and positive impact on individuals, communities, and society as a whole. Meet new people. a desire for excellence doing an excellent job requiring a sense of significant accomplishment wanting to change careers/get a job.

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Mandy wants to buy a variety of beverages for her birthday party. She wants to make sure she has enough to drink for all her friends, so she decides to buy 10 liters of beverages. If she buys at least one container of each beverage, what combination of beverages can she buy to equal exactly 10 liters?

Answers

Correct Question:

Beverages at the Store

2,000 milliliters of soda, 2.5 liters of apple juice, 1,500 milliliters of fruit punch, 2 liters of lemonade

Mandy wants to buy a variety of beverages for her birthday party. She wants to make sure she has enough to drink for all her friends, so she decides to buy 10 liters of beverages. If she buys at least one container of each beverage, what combination of beverages can she buy to equal exactly 10 liters?

Explanation:

As we know 1000 millilitres = 1 litre

Now writing them in common units.

soda= 2 litres

apple juice = 2.5 litres

fruit punch = 1.5 litres

lemonade = 2 litres

If she takes one of each it will become

= 2+2.5+1.5+2=8

Remaining are 10-2= 2 liters

Now she can have one more soda or lemondade to make a total of 10

which will be

4 (soda) +2.5+1.5+2=10

2+2.5+1.5+4 (lemonade) = 10

Answer:

zubairpu427 is right

I got my question right thanks to him

Question 5 of 10
One example of a short-term savings strategy is:
A. a free checking account.
B. an employer-sponsored 401(k) plan.
C. a low-interest bank account.
D. a high-risk stock market investment.

SUBMIT

Answers

Answer:

A. a free checking account.

Explanation:

Saving involves putting money aside in a safe place for future use. Banks and financial institutions offer saving accounts as safe and secure platforms for firms and individuals to save.

A checking account is among the types of savings accounts offered by financial institutions. This type of savings account allows customers to save money that they do not wish to spend immediately. A checking account is risk-free and, therefore, a good strategy for short term saving.

Answer:

a low-interest bank account.

Explanation:

i got this right

You click on a job and see that you have a “Connection” at that company. Brainstorm 1-2 steps you might want to take with this connection if you are interested in applying. Explain your reasoning.

Answers

Answer:

make a resume and get an application to apply

Explanation:

If any person are the applying, the job as the scene to the connection of the company as the add-on the reference as the on the resume.  

What is job?

The term "job" refers to employment with a certain company. A job is also known as the amount of money that a corporation pays its employees. The employment has provided the opportunity to pursue a career. A job provides financial assistance as well as experience. There are four types of people: producers, builders, thinkers, and improvers.

A person is the need of the job. To search the job are the seen the connection of the company are with the help of the resume to take to apply as the lastly add-on the reference. The reference was the important in the resume to apply for the job are the easily to grab the opportunities.

As a result, a person is to apply for the job.  

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A coworker asks you for help with something and you're busy finishing up a task, what should you say? A I'm busy right now but I'm happy to help when I'm finished B I'm kind of busy can you ask someone else C I don't have time to help you today

Answers

Answer:

A.

Explanation:

I think I could help him after I'm done with my work.

Please mark brainiest thanks

What system did merchants in early centuries use to make commercial transactions easier

Answers

In the early centuries, merchants made use of the Mercantilism system for commercial transactions.

What is Mercantilism?

In simple terms, it is an economic theory and practice known as "mercantilism," which was prevalent in Europe from the 16th to the 18th century.

Mercantilism advocated governmental regulation of a country's economy with the goal of enhancing state power at the expense of competing for national powers.

According to the theory, a strong nation should have a sizable population because a sizable population would offer a supply of labor, a market, and soldiers.

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The FINRA suitability rule requires all of the following EXCEPT: A Before a product or strategy can be recommended, a reasonable basis suitability determination must be completed, evaluating the investment's features, returns, costs and risks B Before a product or strategy can be recommended to a customer, it must be determined that the investment is suitable, based on that client's new account profile C Before a product or strategy can be recommended to a customer, it must be determined that the customer has the ability to meet the financial commitment required by the recommendation D Before a product or strategy can be recommended, the registered representative must understand and be able protect the client against the product's inherent risks

Answers

Answer: D. Before a product or strategy can be recommended, the registered representative must understand and be able protect the client against the product's inherent risks

Explanation:

There are some reviews with regards to FINRA suitability determinations whihc include:

• Reasonable Basis Suitability: This implies that after there has been a review of the returns, risks and costs of a product, the ones that has the best combination should be recommended.

Also, before a product can be recommended to a customer, the customer must be able to meet the financial commitment. The statement that "Before a product or strategy can be recommended, the registered representative must understand and be able protect the client against the product's inherent risks" is incorrect.

Billy never lets money stay in his pockets, he thinks if it is there he has to spend it. Often he spends it on useless "stuff". Billy works pretty hard at landscaping jobs. He's only in the 8th grade, but has goals to get a car, go to college and buy a big house. What advise do you have for him?

Answers

Answer: See explanation

Explanation:

Based on the information given in the question, the advise for Billy is that he should save his money rather than purchasing things that are useless.

He has goals to get a car, go to college and buy a big house but he's rather spending on useless stuff. This will make his goals harder to achieve but saving the money for future purpose is essential to achieve his dreams and meet other demands.

How can Jordan apply price policy?

Answers

Jordan's Underprices

If you find a lower advertised price on identical merchandise under the same terms and conditions from another store-based retailer within the local Retail Trade Area, within 30 days of purchase, Jordan's Furniture will refund the difference.

Industry: Retail; Furniture

What are the 3 main goals of a stable economy?

Answers

Maximum employment, stable prices, and moderate long-term interest rates are the three major goals of a stable economy.

When the economy is stable, people have access to the resources needed for a healthy lifestyle. Affordable housing, employment that pays a livable salary, elements that support work, such as worker protections, paid sick leave, and child care, as well as accessibility to dependable transportation, are all factors that affect financial stability.

People who endure economic instability are more prone to engage in risky activities, develop chronic illnesses, and die young. People of color are disproportionately affected by these circumstances, which have worse results for those who are facing economic instability during COVID-19.

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How do economic growth, full employment, price stability, and inflation indicate a nation’s economic health?

Answers

Answer:

Kindly check explanation

Explanation:

The state of a nation's economy is usually evaluatwd based on certain metrics which relating to the well being of its citizens, behavior of its market, finances and resources. Those metrics may include ; level or rate of inflation, employment level, level of economic growth or decline and many others. A healthy economy is one In which economic factors are in a positive state and hence its positive effects is left by the citizens in ways including the increased level of production which economically fights inflation and also helps achieve stability in terms of prices of products and commodities. Reduction in level of unemployment and increased full time jobs. Generally, a healthy nation should experience a robust economic growth and improvement.

What types of jobs are most likely to use a pension as compensation?

Answers

The fields of education, law enforcement, government, and healthcare offer some of the best pensions. Similar to the good old days, the primary military forces of India continue to provide pensions to new recruits. So, you do not need to consider choosing the contributory National Pension System.

If you join the military, air force, or navy (NPS). After you retire, the Indian government will pay you a pension. Over a quarter (27%) of employees at slightly smaller companies with 100 to 500 employees participate in a pension plan. In businesses with fewer than 100 employees, just 11% of employees have the opportunity to enroll in a standard pension plan.

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The Architecture and Construction career cluster is a group of careers focused on
O designing, constructing, and maintaining buildings and other structures,
O assembly of buildings and structures.
O designing and planning buildings.
O identifying the safety standards for building regulations.

The Architecture and Construction career cluster is a group of careers focused onO designing, constructing,

Answers

The correct answer is Designing, constructing, and maintaining buildings and other structures.

Explanation:

A career cluster groups different careers related to the same area of knowledge and similar applications. In the case of architecture and construction, this includes careers such as architecture, civil engineering, carpentry, paving operators, etc. Moreover, these careers are all related to creating buildings or structures, which involve designing or planing the structures, then constructing them, and finally, dealing with the maintenance of the building. This includes the creation of houses, bridges, roads, etc.

Answer:

answer is A

designing constructing, and maintaining buildings and other structures.

Explanation:

hope this helps!

Dow Corporaten has 2 11 milion shares of common skoutanding with a book value per share of 758 with a recent of 425 The capital in 200000 ares of 5% preferred stock outstanding with a par value of 100 and the firms debt include 2250 6.5 percent quarterly bonds outstanding with 35 years current trading price of the preferred stack and bonds are 100% of its par value and comomon stock trades for 256 with a constant growth rate of 10% The bets of the the market rak premium is 7% Calculate the after tax Weighted Avergae Cost of Capital of the trm assuming a tax rate of 30% Mat show the steps of cautate)

Answers

The after-tax Weighted Average Cost of Capital (WACC) for the firm is approximately 1.2437 or 124.37%.

To calculate the after-tax weighted average cost of capital (WACC), we need to determine the weights of each component of the firm's capital structure and their respective costs.

Common stock:

Shares outstanding: 11 million

Book value per share: $758

Recent trading price: $425

Constant growth rate: 10%

Preferred stock:

Shares outstanding: 200,000

Par value: $100

Current trading price: 100% of par value

Debt:

Bonds outstanding: $2,250 6.5% quarterly bonds

Current trading price: 100% of par value

Tax rate: 30%

Market risk premium: 7%

Now let's calculate the WACC step by step:

Calculate the weights of each component of the capital structure:

Common stock weight:

Common stock market value = Shares outstanding * Recent trading price

Common stock market value = 11,000,000 * $425 = $4,675,000,000

Preferred stock weight:

Preferred stock market value = Shares outstanding * Par value

Preferred stock market value = 200,000 * $100 = $20,000,000

Debt weight:

Debt market value = Bonds outstanding * Current trading price

Debt market value = $2,250 * $1,000 = $2,250,000

Total market value of the firm:

Total market value = Common stock market value + Preferred stock market value + Debt market value

Total market value = $4,675,000,000 + $20,000,000 + $2,250,000 = $4,697,250,000

Common stock weight = Common stock market value / Total market value

Common stock weight = $4,675,000,000 / $4,697,250,000 ≈ 0.994

Preferred stock weight = Preferred stock market value / Total market value

Preferred stock weight = $20,000,000 / $4,697,250,000 = 0.004

Debt weight = Debt market value / Total market value

Debt weight = $2,250,000 / $4,697,250,000 = 0.00048

Calculate the cost of each component:

Cost of common stock (rs):

rs = (Dividends per share / Market price per share) + Growth rate

Dividends per share = Book value per share * (1 - Tax rate)

Dividends per share = $758 * (1 - 0.30) ≈ $530.6

rs = ($530.6 / $425) + 0.10 ≈ 1.25

Cost of preferred stock (rp):

rp = Dividend per share / Market price per share

Since the preferred stock trades at 100% of par value, the dividend per share equals the preferred dividend rate.

Preferred dividend rate = Par value * Preferred dividend rate

Preferred dividend rate = $100 * 0.05 = $5

rp = $5 / $100 = 0.05

Cost of debt (rd):

Since the bonds are trading at 100% of their par value, the yield to maturity (YTM) is equal to the coupon rate.

rd = Bond coupon rate = 6.5%

Calculate the WACC:

WACC = (Weight of common stock * Cost of common stock) + (Weight of preferred stock * Cost of preferred stock) + (Weight of debt * Cost of debt)

WACC = (0.994 * 1.25) + (0.004 * 0.05) + (0.00048 * 0.065)

WACC = 1.2435 + 0.0002 + 0.0000312 = 1.2437

Therefore, the after-tax Weighted Average Cost of Capital (WACC) for the firm is approximately 1.2437 or 124.37%.

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do it in three column cash book as well as ledgers​

do it in three column cash book as well as ledgers

Answers

Three columns are supplied in a three-column cash book for the sums on each side. Cash receipts and payments are kept in one column, and banking transactions are kept in the other.

Discount received and allowed are noted on opposite sides of the ledger, respectively. The total of the Discount allowed column on the debit side of the cash book is posted to the Discount permitted account's debit side at the end of each month.

Separate accounts are hold back in the general ledger for discount countenanced and gotten.

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All the transaction is clearly mention on image:

do it in three column cash book as well as ledgers


2. Where does Steve Jobs’ power and influence come from?

Answers

Answer:

working with apple and creating the mac

Explanation:

From him being able to realize what it is he wanted to do and do it

a 3.25 percent coupon bond with 12 years left to maturity and has a price quote of 98.75. the bond can be called in 5 years. the call premium is one year of coupon payments. what is the bond's taxable equivalent yield for an investor in the 35 percent marginal tax bracket? (assume semi-annual interest payments and $5,000 pay value)

Answers

The bond's taxable equivalent yield for an investor in the 35 percent marginal tax bracket is 13.28 percent.

To calculate the bond's taxable equivalent yield for an investor in the 35 percent marginal tax bracket, we need to consider the tax implications of the coupon payments.

First, let's calculate the annual coupon payment. The bond has a 3.25 percent coupon rate, so the annual coupon payment can be calculated as (0.0325 * $5,000) = $162.50.

Since the bond makes semi-annual interest payments, each semi-annual payment will be $162.50/2 = $81.25.

The bond has 12 years left to maturity and can be called in 5 years. This means there are 10 semi-annual coupon payments remaining before the call date.

Next, let's calculate the present value of the remaining coupon payments. Using a financial calculator or spreadsheet, we can discount each semi-annual payment at the bond's yield to maturity (YTM) rate. If we assume the YTM is 3.25 percent, which is the same as the coupon rate, the present value of the remaining coupon payments is approximately $795.29.

Now, let's calculate the taxable equivalent yield. The investor is in the 35 percent marginal tax bracket, so they pay a 35 percent tax on the coupon payments.

The annual after-tax coupon payment can be calculated as (1 - 0.35) * $162.50 = $105.63.

The taxable equivalent yield is the yield that would provide the same after-tax return as the tax-exempt bond. To calculate this, we divide the after-tax coupon payment by the present value of the remaining coupon payments:

Taxable Equivalent Yield = ($105.63 / $795.29) * 100% = 13.28%.

Therefore, the bond's taxable equivalent yield for an investor in the 35 percent marginal tax bracket is 13.28 percent.

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The taxable equivalent yield is the yield that a tax-exempt investment would need to provide in order to match the after-tax yield of a taxable investment. The bond's taxable equivalent yield for an investor in the 35 percent marginal tax bracket is 165%.

In this case, we need to calculate the taxable equivalent yield for an investor in the 35 percent marginal tax bracket.

Taxable Equivalent Yield = Tax-Exempt Yield / (1 - Tax Rate)

First, we need to find the tax-exempt yield. Since the bond has a coupon rate of 3.25 percent and pays semi-annual interest, we need to calculate the semi-annual coupon payment.

Coupon Payment = Coupon Rate * Face Value / 2
Coupon Payment = 3.25% * $5,000 / 2
Coupon Payment = $81.25

Next, we can calculate the annual after-tax coupon payment. The bond is in the 35 percent marginal tax bracket, so the investor's tax rate is 35 percent.

Tax Rate = 35%
Annual After-Tax Coupon Payment = (1 - Tax Rate) * 2 * Coupon Payment
Annual After-Tax Coupon Payment = (1 - 0.35) * 2 * $81.25
Annual After-Tax Coupon Payment = 0.65 * 2 * $81.25
Annual After-Tax Coupon Payment = $105.63

Now, we can calculate the tax-exempt yield:

Tax-Exempt Yield = Annual After-Tax Coupon Payment / Bond Price
Tax-Exempt Yield = $105.63 / $98.75
Tax-Exempt Yield = 1.07 or 107%

Finally, we can calculate the taxable equivalent yield:

Taxable Equivalent Yield = Tax-Exempt Yield / (1 - Tax Rate)
Taxable Equivalent Yield = 1.07 / (1 - 0.35)
Taxable Equivalent Yield = 1.07 / 0.65
Taxable Equivalent Yield = 1.65 or 165%

Therefore, the bond's taxable equivalent yield for an investor in the 35 percent marginal tax bracket is 165%. This means that a tax-exempt investment would need to provide a yield of 165% in order to match the after-tax yield of this taxable bond.

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Which of the following statements explains the difference between a lease and a loan?
a. At the end of a loan the car belongs to you, but at the end of a lease, the car still belongs to the
lease company.
b. At the end of a loan, the car still belongs to the lease company, but at the end of a lease the car
belongs to you.
C. A loan requires a large down payment at the beginning while a lease does not.
d. A lease requires a large down payment at the beginning while a loan does not

Answers

Answer:

A. At the end of a loan the car belongs to you, but at the end of a lease, the car still belongs to the

lease company.

Explanation:

The following statement which explains the difference between a lease and a loan, at the end of a loan the car belongs to you, but at the end of a lease, the car still belongs to the lease company. Thus, statement 'A' is the correct statement.

What is the difference between a lease and a loan?

A lease is a long-term leasing arrangement for the use of a certain piece of equipment, whereas a loan is the borrowing of money. Loans and leases both offer advantages as a form of finance. The following are some crucial factors influencing your choice.

Loan: Typically, rates are variable and dependent on the prime rate or another index, like LIBOR. The monthly payout changes in line with changes in the index. This is advantageous when interest rates are down and harmful when they are rising. Banks won't fund machinery they don't understand or that they believe has little value as collateral.

Lease: Payments are typically fixed for the duration of the lease, barring any unusual terms. Budgeting and cash flow management are greatly facilitated by fixed payments. Because of our own financial capacity, we can finance most types of equipment.

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The _______ method of investment appraisal does not seek to measure the profitability of an investment project.
a.
internal rate of return
b.
accounting rate of return
c.
net present value
d.
full costing
e.
payback

Answers

The payback method of investment appraisal does not seek to measure the profitability of an investment project. Instead, it focuses on determining the length of time it takes for an investment to recover its initial cost.

It is a simple method that calculates the payback period, which is the time it takes for the cash inflows from the investment to equal the initial cash outflow. The payback period is often used as a quick indicator of liquidity and risk, but it does not consider the profitability or the time value of money.

The payback method of investment appraisal is a straightforward approach that evaluates how long it takes for an investment to recoup its initial cost. It measures the time it takes for the cash inflows generated by the investment to equal or exceed the initial cash outflow. Essentially, it focuses on determining the break-even point in terms of time.

Unlike other methods such as net present value (NPV) or internal rate of return (IRR), the payback method does not consider the profitability of the investment project. It does not take into account factors like the time value of money or the overall profitability of the investment over its entire lifespan.

The payback method is commonly used as a quick indicator of liquidity and risk. It provides a measure of how long it will take to recover the initial investment, which can be useful in assessing the investment's ability to generate returns in a timely manner. However, it does not provide a comprehensive analysis of the project's profitability or long-term financial viability. Therefore, it should be used in conjunction with other investment appraisal methods to obtain a more complete picture of the investment's potential.

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(b)
Your warehouse manager reports that there were four king-size sheets and three queen-size sheets returned, along with five packages of queen pillow cases. Calculate the revised total due (in $).
$
(c)
The vendor has offered a 8% early payment discount that applies only to the merchandise, not the shipping or insurance. What is the amount of the discount (in $)? (Round your answer to the nearest cent.)
$
(d)
What is the new balance due after the discount (in $)? (Round your answer to the nearest cent.)
$

Answers

The revised overall due is $6,117.60. The early fee bargain amount is $416.88, and the new stability due after the bargain is $5,700.72.

(a) After correcting the mistakes within the itemization, the revised invoice desk must be as follows:

QTY. Ordered QTY. Shipped Description Unit Amount

44 ea. Sheets, king $45.10 $1,984.40

65 ea. Sheets, queen $39.60 $2,574.00

28 pkg. Pillow Cases, queen $17.85 $498.80

55 pkg. Pillow Cases, std. $17.35 $954.25

6 ea. Shams $33.25 $199.50

Invoice Subtotal $5,210.95

Shipping Charges of $131.50

Insurance $23.35

Invoice Total $5,365.80

(b) The variety of king-size sheets back is 4, and the quantity of queen-size sheets returned is three. The total cost of the back sheets may be calculated as follows:

4 * $45.10 (king-length sheet fee) + 3 * $39.60 (queen-length sheet rate) = $180.40 + $118.80 = $299.20

(c) The early fee bargain provided via the vendor is 8% of the product's fee. To calculate the bargain, we need to subtract the value of shipping and insurance from the invoice subtotal and practice the bargain percent:

Discount = 8% * (Invoice Subtotal - Shipping Charges - Insurance)

Discount = 8% * ($5,210.95 - $131.50 - $23.35) = 8% * $5,056.10 = $404.49

(d) The new balance due after making use of the cut price may be calculated by using subtracting the discount quantity from the bill overall:

New Balance Due = Invoice Total - Discount

New Balance Due = $5,365.80 - $404.49 = $4,961.31

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The correct question is:

"INVOICE Hamilton Mills No. 49485 INVOICE DATE July 9, 20xx 115 Rock Creek Road CUSTOMER'S Charlotte, North Carolina 28235 ORDER NO. 49485 SOLD TO: SHIP TO: SAME The Bedding Warehouse 406 Maple Road Franklin, VA 23851 SALESMAN SHIPPED VIA Federal Express TERMS Net 30 Days F.O.B. Charlotte, N.C. QTY. ORDERED QTY. SHIPPED DESCRIPTION UNIT AMOUNT 44 ea. Sheets, king $45.10 $1,984 40 65 ea. Sheets, queen $39.60 $2,57400 28 pkg. Pillow Cases, queen $17.85 $44980 55 pkg. Pillow Cases, std. $17.35 $954 25 6 ea. Shams $33.25 $299 50 $6,261.95 INVOICE SUBTOTAL SHIPPING CHARGES $131.50 Insurance $23.35 INVOICE TOTAL $6,416.80 Invoice Table QTY. Ordered QTY. Shipped Description Unit Amount 44 ea. Sheets, king $45.10 $1,984.40 65 ea. Sheets, queen $39.60 $2,574.00 28 pkg. Pillow Cases, queen $17.85 $449.8 55 pkg. Pillow Cases, std. $17.35 $954.25 6 ea. Shams $33.25 $299.5 Invoice Subtotal $6,261.95 Shipping Charges $131.50 Insurance $23.35 Invoice Total $6,416.80 (a) You notice several errors in the itemization of the invoice. Correct the errors in the itemization ing the fol table $). QTY. Ordered QTY. Shipped Description Unit Amount 44 ea. Sheets, king $45.10 $ 65 ea. Sheets, queen $39.60 $ 28 pkg. Pillow Cases, queen $17.85 $ 55 pkg. Pillow Cases, std. $17.35 $ 6 ea. Shams $33.25 $ $ Invoice Subtotal $ Shipping Charges $131.50 Insurance $23.35 Invoice Total $                                            (b)

Your warehouse manager reports that there were four king-size sheets and three queen-size sheets returned, along with five packages of queen pillow cases. Calculate the revised total due (in $).

$

(c)

The vendor has offered a 8% early payment discount that applies only to the merchandise, not the shipping or insurance. What is the amount of the discount (in $)? (Round your answer to the nearest cent.)

$

(d)

What is the new balance due after the discount (in $)? (Round your answer to the nearest cent.)

$ "

J. D. Power and Associates surveys new automobile owners to learn about the quality of recently purchased vehicles. The following questions were asked in a J. D. Power Initial Quality Survey. Comment on whether each question provides categorical or quantitative data. (a) Did you purchase or lease the vehicle? categorical quantitative (b) What price did you pay? categorical quantitative (c) What is the overall attractiveness of your vehicle's exterior? (Unacceptable, Average, Outstanding, or Truly Exceptional) categorical quantitative (d) What is your average miles per gallon? categorical quantitative (e) What is your overall rating of your new vehicle? (1- to 10-point scale with 1 Unacceptable and 10 Truly Exceptional) categorical quantitative

Answers

Quantitative data can be measured in numbers, for example 20 miles for every gallon. While categorical data alludes to non-numerical responses, for example better caliber, better looks, and is generally obtained by picking one response from a gathering of available answers.

a. CATEGORICAL DATA

b. QUANTITATIVE DATA

c. CATEGORICAL DATA

d. QUANTITATIVE DATA

e. QUANTITATIVE DATA

Quantitative variables are any variables where the data address amounts (for example level, weight, or age).

Categorical variables are any variables where the data address gatherings. This incorporates rankings (for example finishing places in a race), classifications (for example brands of cereal), and binary results (for example coin flips).

Categorical data alludes to a data type that can be stored and distinguished based on the names or labels given to them. Numerical data alludes to the data that is as numbers, and not in any language or descriptive form. Also referred to as qualitative data as it qualifies data before classifying it.

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