Your business is considering purchasingequipment that costs $150,000and has a useful life of 5 years. At the end of 5 years the equipment will be worthless. The equipment is projected to generate cash savings of $40,888 per year over its life. The firm requires a return of 10 percent on the investment. Should they invest in this equipment

Answers

Answer 1

Answer:

The company should buy the equipment since the NPV is positive.

Explanation:

Giving the following information:

Initial investment= $150,00

Annual cash flow= $40,888

Number of periods= 5 years

Discount rate= 10%

To determine whether the company should buy or not the equipment, we need to use the net present value (NPV). If the NPV is positive, the machine increases the value of the company, therefore, it should proceed with the purchase.

NPV= -Io + ∑[Cf/(1+i)^n]

∑[Cf/(1+i)^n]= Cf / (1+i)^n

Cf1= 40,888 / 1.1= 37,170.91

Cf2= 40,888 / 1.1^2= 33,791.74

Cf3= 40,888 / 1.1^3= 30,719.76

Cf4= 40,888 / 1.1^4= 27,927.05

Cf5= 40,888 / 1.1^5= 25,388.23

∑[Cf/(1+i)^n]= $154,997.69

Now, the NPV:

NPV= -150,000 - 154,997.69

NPV= $4,997.69

The company should buy the equipment since the NPV is positive.


Related Questions

You are considering the purchase of a new machine. Your analysis includes the evaluation of two machines that have differing purchase prices, annual maintenance costs, and life spans. Whichever machine is purchased will be replaced at the end of its useful life. You should select the machine that has the: A) longest life. B) highest annual operating cost. C) lowest annual operating cost. D) highest equivalent annual cost. E) lowest equivalent annual cost.

Answers

The best decision is to select the machine that has the lowest equivalent annual cost.

In accounting, the equivalent annual cost means the incurred cost of owning, operating, and maintaining an asset over its entire useful life

Usually, the higher the EAC, the lesser the profit made because the chunk of the revenue will be spent to maintain the asset for continuation of production in such business.

Therefore, the machine with the lowest equivalent annual cost sould be considered,

Therefore, the answer is E because it is the best decision to select the machine that has the lowest equivalent annual cost..

Learn more about this here

brainly.com/question/15284247

Why are single stock so dangerous as investments? Can you provide current market examples that have the potential to destroy portfolios based on single stocks? (name the stock)
Why should you be debt free before you begin long-term investing?
If you could create the perfect mutual fund, what companies would you put in it?

Answers

Answer:

There are two rules to investing. Rule number one, don’t lose money. Rule number two, see rule number one.” Individual stocks are far riskier than a well-diversified basket of stocks. According to Cambridge Associates, during the 10 year period ended June 30, 2013, 55 stocks in the S&P 500 lost at least half of their market value.

Explanation:

If the market supply of labor increases, the total wage income will increase if the
O demand for labor is elastic.
O demand for labor is inelastic.
O supply of labor is elastic.
O supply of labor is inelastic.

Answers

If the market supply of labor increases, the total wage income will increase if the 'demand for labor is elastic'.

What do you mean by Labor?

Labor is physical or mental work or effort done in order to achieve a purpose or result. It is often used to refer to the work done by employees for their employer in exchange for wages or salary. It can also refer to the activity of doing something that requires a lot of effort or energy.

If the market supply of labor increases, it means that there are more workers available to work. If the demand for labor is elastic, it means that employers will be willing to pay more for the additional labor. This will result in an increase in the total wage income for workers.

Hence, option A is correct.

To know more about labor,

https://brainly.com/question/13345754

#SPJ4

If inflation increases in a economy what happens​

Answers

Answer:

The purchasing power of their currency decreases

Aka everything, on average, gets more expensive and each unit of currency is worth less

Explanation:

When making a choice using the blank a household will choose the combination of labor, leisure, and income that provides the most utility

Answers

Answer: hiii lol

Explanation:

is .org a good website?

Answers

Yes they organizations are usually trusted websites

Answer:

If you are talking about reliability-wise, when a ULR ends with .org, it may be a trusted website, it just depends on what the organization is. If you want a more reliable website to use try finding one with .gov at the end of the ULR. These are government moderated websites.

the oriole mills company has just disclosed the following financial information in its annual report sales of 1.47 million, cost of goods sold of $817,100, depreciation expenses of $179,600, and interest expenses of $ 94,000. Assume that the firm has an average tax rate of 29 percent. Compute the cash flows to investors from operating activity.

Answers

The cash flows to investors from operating activities for Oriole Mills Company is $543,973.

To compute the cash flows to investors from operating activities, we need to start with the net income and make adjustments for non-cash expenses and changes in working capital. The formula to calculate cash flows from operating activities is as follows:

Cash Flows from Operating Activities = Net Income + Depreciation Expenses + Non-Cash Interest Expenses - Increase in Current Assets + Increase in Current Liabilities + Decrease in Current Assets - Decrease in Current Liabilities

Given the financial information provided, we can calculate the cash flows to investors from operating activities as follows:

Net Income:

Net Income = Sales - Cost of Goods Sold - Depreciation Expenses - Interest Expenses - Taxes

Net Income = $1,470,000 - $817,100 - $179,600 - $94,000 - ($1,470,000 - $817,100 - $179,600 - $94,000) * 0.29

Net Income = $1,470,000 - $817,100 - $179,600 - $94,000 - ($379,300 * 0.29)

Net Income = $1,470,000 - $817,100 - $179,600 - $94,000 - $109,927

Net Income = $269,373

Depreciation Expenses = $179,600

Non-Cash Interest Expenses = $94,000

Changes in Working Capital:

Increase in Current Assets = 0 (no information provided)

Increase in Current Liabilities = 0 (no information provided)

Decrease in Current Assets = 0 (no information provided)

Decrease in Current Liabilities = 0 (no information provided)

Finally, we can calculate the cash flows to investors from operating activities:

Cash Flows from Operating Activities = $269,373 + $179,600 + $94,000 + 0 + 0 + 0 + 0

Cash Flows from Operating Activities = $543,973

Therefore, the cash flows to investors from operating activities for the Oriole Mills Company is $543,973.

For more question on investors visit:

https://brainly.com/question/31358905

#SPJ8

what are the three element of business equipment and resource?

Answers

Answer:

1.1 Identify and access business equipment or resources required to

complete task under direct instructions

1.2 Estimate quantities and resources correctly to complete the task

1.3 Check equipment for serviceability in accordance with equipment

instructions

2. Operate equipment

2.1 Operate equipment in accordance with manufacturer's specifications

and under direct instructions

2.2 Identify equipment faults accurately and take action to ensure

equipment is repaired in accordance with manufacturer's

specifications

2.3 Report repairs outside area of own responsibility to appropriate

persons

3. Maintain equipment or resources

3.1 Maintain equipment or resources to support completion of tasks under

direct instructions

3.2 Undertake maintenance to ensure equipment meets manufacturer's

specifications

3.3 Maintain records concerning equipment or resources under direct

instructions

3.4 Store equipment and resources under direct instructions

Explanation:

Don is thinking of borrowing $10,000 from Hancock Whitney Bank. He promises Hancock Whitney cash flows of $5,000 every year for the next three years. If Hancock Whitney Bank's cost of capital is 10%, what is the present value of the stream of cash flows?

Answers

The present value of the stream of cash flows is $2,434.26.

What is the present value?

Present value is the sum of discounted cash flows. The cash flows would be discounted using the cost of capital.

Present value = C / (1 + r)^n

Where:

C = cash flow r = cost of capital n = number of years

-10,000 + [5,000 / 1.1] + [5000 / 1.1²] +  [5000 / 1.1³] = $2,434.26

To learn more about present value, please check: https://brainly.com/question/26537392

#SPJ1

Darby Company, operating at full capacity, sold 500,000 units at a price of $94 per unit during the current year. Its income statement is as follows:
Sales $47,000,000
Cost of goods sold 25,000,000
Gross profit $22,000,000
Expenses:
Selling expenses $4,000,000
Administrative expenses 3,000,000
Total expenses 7,000,000
Income from operations $15,000,000
The division of costs between variable and fixed is as follows:
Variable Fixed
Cost of goods sold 70% 30%
Selling expenses 75% 25%
Administrative expenses50% 50%
Management is considering a plant expansion program for the following year that will permit an increase of $3,760,000 in yearly sales. The expansion will increase fixed costs by $1,800,000 but will not affect the relationship between sales and variable costs.
Required:
1. Determine the total variable costs and the total fixed costs for the current year.
Total variable costs $_____
Total fixed costs $_____
2. Determine (a) the unit variable cost and (b) the unit contribution margin for the current year.
Unit variable cost $_____
Unit contribution margin $_____
3. Compute the break-even sales (units) for the current year.
4. Compute the break-even sales (units) under the proposed program for the following year.
5. Determine the amount of sales (units) that would be necessary under the proposed program to realize the $15,000,000 of income from operations that were earned in the current year.
6. Determine the maximum income from operations possible with the expanded plant.
7. If the proposal is accepted and sales remain at the current level, what will the income or loss from operations be for the following year?
8. Based on the data given, would you recommend accepting the proposal?
a. In favor of the proposal because of the reduction in break-even point.
b. In favor of the proposal because of the possibility of increasing income from operations.
c. In favor of the proposal because of the increase in break-even point.
d. Reject the proposal because if future sales remain at the current level, the income from operations will increase.
e. Reject the proposal because the sales necessary to maintain the current income from operations would be below the current year sales.

Answers

Answer:

1. Determine the total variable costs and the total fixed costs for the current year.

Total variable costs = $17,500,000 + $3,000,000 + $1,500,000 = $22,000,000 Total fixed costs = $10,000,000

2. Determine (a) the unit variable cost and (b) the unit contribution margin for the current year.

Unit variable cost = $22,000,000 / 500,000 = $44 Unit contribution margin = $94 - $44 = $50

3. Compute the break-even sales (units) for the current year.

break even point = $10,000,000 / $50 = 200,000 units

4. Compute the break-even sales (units) under the proposed program for the following year.

break even point = $11,800,000 / $50 = 236,000 units

5. Determine the amount of sales (units) that would be necessary under the proposed program to realize the $15,000,000 of income from operations that were earned in the current year.

units = ($11,800,000 + $15,000,000) / $50 = 536,000 units

6. Determine the maximum income from operations possible with the expanded plant.

total units sold 500,000 + 40,000 = 540,000total contribution margin = 540,000 x $50 = $27,000,000operating income = $27,000,000 - $11,800,000 = $15,200,000

7. If the proposal is accepted and sales remain at the current level, what will the income or loss from operations be for the following year?

operating income = (500,000 x $50) - $11,800,000 = $13,200,000represents a decrease of $15,000,000 - $13,200,000 = $1,800,000

8. Based on the data given, would you recommend accepting the proposal?

b. In favor of the proposal because of the possibility of increasing income from operations.

The marks obtained by 50 of 200 level Class of ABU-DLC students in Introduction to Statistics exams are given in a frequency distribution table as below:
Class 30-34 35-39 40 -44 45-49 50-54 55-59
Frequency 12 16 10 6 4 2 Use the information in the table to compute: 1- Mean Mark
2- Median Mark
3- Standard Deviation
4- First Quartile (Q1)
5-Semi-inter-quartile range
6- 6th Decile (D6)
7- 70th percentile (P70)​

Answers

Answer:

1

Explanation:


What is product positioning?

Answers

Answer:

Product positioning is a form of marketing that presents the benefits of your product to a particular target audience.

Explanation:

Robyn was a lawyer for the Department of State who has been disbarred for ethical lapses including dishonesty and interfering with investigations.
After losing his license to practice law, he was fired from the State Department. What MOST likely must Robyn do now?
A. Appeal his case to the American Bar Association.
B. Find a new career outside the legal profession.
C. Wait a year and reapply for his license.
D. Take his case to an appeals court.

Answers

The most likely thing for Robyn to do is B. Find a new career outside the legal profession.

Why does Robyn need to leave the legal profession ?

Since he has lost his license to practice law, he would not be able to continue working as a lawyer or in any other legal capacity. In addition, his firing from the State Department would likely make it difficult for him to find employment in a related government agency.

Therefore, the most realistic option for Robyn would be to seek employment in a different field or industry. Appealing his case to the American Bar Association or taking his case to an appeals court would likely not be fruitful options, as his disbarment and firing from the State Department suggest that his ethical lapses were significant and serious.

Find out more on license at https://brainly.com/question/17197957

#SPJ1

ABC Company has elected to adopt the dollar-value LIFO inventory method when the inventory is valued at $125,000. The adoption takes place as of January 1, 20X1 when the entire inventory represents a single pool. ABC Company determined that the inventory at December 31, 20X1 was $144,375 at current year cost and $131,250 at base year cost using a relevant price index of 1.10. The inventory at December 31, 20X1 under dollar value LIFO is

Answers

Answer:

Explanation:

K

Your dishwasher can handle 100 plates per hour. Your stove can handle 30 meals (each on single plate) per hour. All of your meals require plates but only 60% of meals need something prepared on the stove. Which is more likely to cause a bottleneck, the dishwasher or the stove?

Answers

Based on the capacities of the dishwasher and the stove, the likely source of a bottleneck is the stove.

A bottleneck refers to:

A point in the production process that slows down production A point in the production process that is being overloaded with workloads

The dishwasher can wash 100 plates per hour. Assuming 60 meals were to be made in an hour, the dishwasher would be able to wash enough dishes but the stove would only handle 30 meals yet it is to handle:

= 60 x 60%

= 36 meals

In conclusion, the stove is therefore the source of the bottleneck.

Find out more on bottlenecks at https://brainly.com/question/24499211.

Which of the following statements about the relationship between an institution and the institution's irb(s) is correct?

a. Institutional priorities take precedence over all IRB determinations.
b. Department chairs can overturn an IRB disapproval.
c. Officials of the institution may overturn an IRB disapproval.
d. Officials of the institution may overrule an IRB approval.

Answers

The correct answer is D) officials of the institution may overrule an IRB approval.

The International Review Board (IRB) reviews all the human participant's research. It needs to confirm and check that an individual’s life is not at any risk. The IRB protects the privacy of the people who participated in the research activities and human rights. The Institute protects the human rights and privacy of the participants. The statement about the relationship between an institution and the institution's IRB(s) that is correct is: officials of the institution may overrule an IRB approval.

The IRB protects the rights, welfare, and privacy of human subjects. It has the authority to monitor, approve, and disapprove and it requires modifications in all kinds of research activities that fall in its jurisdiction as mentioned by both the institutional policy and federal regulations.

To learn more about IRB visit here:

brainly.in/question/2240136

#SPJ4

What is compounding? What would the future of $500 be after 5 years at 10% compound interest rate?

Answers

Compounding is the interaction where the worth of a speculation increments on the grounds that the income on a venture, both capital gains and premium, acquire interest over the long haul.

Elaborating:

The formula of compound interest rate is,

A=P(1+r/n)nt

Putting all values of P,r,n,t we get,

A=500(1+.10/1)5=500 ×1.61 = 805.255= 805.26

So, the future value is $805.26

What is the significance of compound interest?

Your wealth grows at a faster rate thanks to compound interest. Because you will earn returns on the money you invest and on returns at the end of each compounding period, it grows a sum of money faster than simple interest.

What is compounding and its job?

When reinvested interest is used, compounding is a method for determining the total interest on the principal. It leads to an exponential increase in assets or capital for investors. Similarly, debtors face a significant burden when compound interest is applied to liabilities like debt.

Learn more about compounding:

brainly.com/question/20595589

#SPJ1

You are a newspaper publisher. You are in the middle of a one-year factory rental contract that requires you to pay $500,000 per month, and you have contractual salary obligations of $1,000,000 per month that you can’t get out of. You also have a marginal printing cost of $0.35 per paper as well as a marginal delivery cost of $0.10 per paper. Instructions: Enter your answers rounded to two decimal places.
a. If sales fall by 20 percent from 1,000,000 newspapers per month to 800,000 newspapers per month, what happens to the AFC per newspaper?
AFC per newspaper rises from $____ to $_____.
b. What happens to the MC per newspaper?
MC per newspaper does not change
c. What happens to the minimum amount that you must charge to break even?
it rises from $____ to $_____.

You are a newspaper publisher. You are in the middle of a one-year factory rental contract that requires

Answers

a. The AFC increases from $1.50 to $1.88 after the decrease in sales.

b. The Marginal Costs (MC) do not change.

C. It rises. The company needed to charge $1.85 per paper

How does one arrive these answers?

The analysis of the answers go thus:

a. The average fixed cost (AFC) was $1.50, which equate the total fixed cost ($1.5 million) divide it by number of papers sold (1 million). By extension,

= $1,500,000/1,000,000).

Assume sales fall by 20% to 800,000 papers sold, the new AFC is $1.88.

= the total fixed cost divided by the new number of papers sold, = $1,500,000/800,000).

Thus, the AFC increases from $1.50 to $1.88 after the decrease in sales.

b. The marginal printing and marginal delivery costs are alike; as a result, marginal costs remains same.

c. To break even before the decline in sales, the company needed to charge enough to cover the AFC, $1.50, and the AVC, $0.35, which is the sum of the printing cost and delivery cost per paper. Thus, the company needed to charge $1.85 per paper. To break even after the decline in sales, the company needs to charge enough to cover the AFC, $1.88, and the AVC, $0.35, which is the sum of the printing cost and delivery cost per paper (note this does not change because the cost is per paper). Thus, the company needs to charge $2.23 per paper.

Therefore, the correct answer is as given above.

learn more about Marginal Costs: https://brainly.com/question/12231343

#SPJ4

(5 points)
Willie's Hot Dogs had sales last year of $250,300 and a guest count of 76,079.
Sales this year were $280,750 with a guest count of 83,556.
What was Willie's guest count percentage variance?

Answers

Willie's guest count percentage variance is 9.82%.

How to calculate guest count percentage

To calculate the guest count percentage variance

Use the following formula:

Guest count percentage variance = [(current year guest count - prior year guest count) / prior year guest count] x 100%

Guest count percentage variance = [(83,556 - 76,079) / 76,079] x 100%

Guest count percentage variance = (7,477 / 76,079) x 100%

Guest count percentage variance = 0.0982 x 100%

Guest count percentage variance = 9.82%

Therefore, Willie's guest count percentage variance is 9.82%.

L learn more on Variance on https://brainly.com/question/9304306

#SPJ1

US REFERENCE: SO 9
5. Given an organisation in a different province or country, describe the way in which performance
would be adapted.

Answers

Answer:

Adapting performance in an organization in a different province or country would require an understanding of the local culture, customs, laws, and regulations. The organization would need to take into account the linguistic and communication barriers that may exist, and may need to provide additional training. Performance metrics would also need to be reviewed and adjusted to reflect the unique challenges and opportunities of the specific geographic location. Additionally, the organization would need to build relationships with local stakeholders, such as customers, suppliers, and government officials, to ensure and maintain its success in the new market. A comprehensive market analysis and strategy development would need to be undertaken to ensure that the organization is positioning itself for success and anticipating local challenges. Finally, the organization may need to adjust its policies and procedures to align with local laws and regulations and to refreflect on theect the cultural norms of the new market. Overall, it is important for the organization to remain adaptable and flexible to maintain success in a new market.

Explanation:

Compound interest is usually better than simple interest because it pays
interest on the principal and the interest earned in each period.
interest on the entire principal rather than the interest in each period.
more, as it is matched by an employer's 401k contribution.
more often throughout the year rather than once a year.​

Answers

Answer: interest on the principal and the interest earned in each period.

Explanation:that’s what i got lmk if it’s wrong sorry if it is

The compound interest is usually greater than simple interest because it pays interest on the principal and the interest earned in each period.

What is compound interest?

Compound interest is the interest payment that increases on the first sum of money and any earned interest over time. It is usually calculated on the accumulated amount of money.

Compound interest is greater than simple interest because the simple interest is always calculated on the principal amount, which means if the principal is 100 and the rate of interest is 10%, then the simple interest for every year is $10.

Compound interest is always greater than the simple interest because it is calculated o the accumulated sum of money, which means if the principal is $100 and the interest rate is 10%, then the compound interest for the first year is 10,

But for the next year, it is calculated on $110($100+10) i.e., in the second year the compound interest is $11.

Therefore, option A is correct.

Learn more about the compound interest, refer to:

https://brainly.com/question/25857212

Imagine the products are in decline and recommend an extension strategy for each one. Make sure you explain your
A Galaxy chocolate bar
Candy Crush mobile app.
Evian water
Ferrari world.

Answers

All of these products should use a rebranding extension strategy.
Once a product reaches maturity and the market is saturated, it gradually starts to decline.

Because of this, one approach to lengthen the life of a product strategy is to always seek out ways to make it better, different, and even stand out from similar products that have already hit the market.

Rebranding, offering discounts, and looking for new markets are all examples of extension strategy methods. Rebranding is the process of giving an existing product a fresh look and feel in order to set it apart from the competition. For instance, a cosmetics company might provide additional brushes, blenders, or sponges.

To learn more about product, click here.

https://brainly.com/question/22852400

#SPJ1

what can prevent dollar general robbery prevention?

Answers

Additionally, the business employs loss prevention personnel who "will advise on security measures, investigate instances of theft, and coordinate with Dollar General management and government agencies to ensure that all loss prevention tactics are appropriate and legal," according to the website of a consumer advocacy group.

What is the company's strategy?

The long history of profitable growth at Dollar General is based on a dedication to a comparatively straightforward business model: meeting a wide range of customers' basic daily and household needs, supplemented with a variety of general merchandise items at consistently low prices in conveniently located, small-box stores.

Customers are visually assured of their protection by security officers, and they act as a deterrent to bank robbers. 3) Using security cameras both inside and outside the bank to catch potential criminals and try to identify them.

To know more about general robbery prevention, refer to:

https://brainly.com/question/14289515

#SPJ1

Suppose that in your first year of college you spend $21,800.00 more than you earn. In your second year, your expenses increase a bit, leading you to spend $22,200.00 more than you earn. This gap goes to $22,480.00 in your third year of college, then falls a bit to $22,480.00 in your fourth and final year.
1. What is your deficit in your third year of college?
2. How much debt do you have that year?

Answers

Answer:

$483,000.987

you are RICHHHHHHHHHH

Explanation:

Acquisition of Land and Building
On February 1, 2016, Edwards Corporation purchased a parcel of land as a factory site for $100,000. It demolished an old building on the property and began construction on a new building that was completed on October 2, 2016. Costs incurred during this period are:
Demolition of old building $8,000
Architect’s fees 25,000
Legal fees for title investigation and purchase contract 4,000
Construction costs 650,000
Edwards sold salvaged materials resulting from the demolition for $2,000.
Required:
At what amount should Edwards record the cost of the land and the new building, respectively?
If an input box should be blank, enter a zero.
Land Building
Purchase price of land $ $
Demolition of old building
Architect's fees
Legal fees
Construction costs
Salvaged materials
Total

Answers

Answer: The total cost of land will be $110,00 while the total cost of building will be $675,000.

Explanation:

The total cost of land will be $110,00 while the total cost of building will be $675,000. Total cost of land is gotten by ($100,000 + $8,000 + $4,000 - $2,000) = $110,000

Total cost of building is gotten by adding $25,000 + $650,000 = $675,000.

Further explanation has been attached

Acquisition of Land and BuildingOn February 1, 2016, Edwards Corporation purchased a parcel of land as

Which of the following reasons for writing a formal business document would
lead you to write a proposal?
A. To convince your manager to use a new meeting organization tool
O B. To summarize what happened during a meeting
о C. To tell your manager a project is on budget and on schedule
O D. To describe what tasks you completed during the week

Answers

The reason that would lead someone to write a proposal would be option A - to convince your manager to use a new meeting organization tool.  Option A

A proposal is a formal business document that is used to suggest a solution to a problem or to propose a new idea. It is used to convince someone to take action or make a decision that will benefit the company. In this case, the proposal is being used to convince the manager to adopt a new meeting organization tool.

The proposal would outline the benefits of the new tool, the cost of implementation, and how it would improve efficiency within the company. It would also include any research that has been conducted to support the proposal, as well as potential challenges and solutions. A proposal is a persuasive document that needs to be well-written and thought out.

Options B, C, and D do not require a proposal. Summarizing what happened during a meeting can be done through meeting minutes or a brief report. Telling your manager that a project is on budget and on schedule can be done through a progress report.

Describing what tasks you completed during the week can be done through a weekly status report. These types of reports are not intended to persuade or convince, but rather to inform. In conclusion, if you need to persuade someone to take action or make a decision, then a proposal would be the appropriate formal business document to use. Option A.

For more such questions on organization visit;

https://brainly.com/question/25922351

#SPJ11

A new municipal bond issue had a dated date of January 1, 2018. The first coupon was due on August 1, 2018. The customer bought for settlement on September 1, 2018. How many months of accrued interest must he pay at settlement

Answers

Answer:

1 month

Explanation:

The last coupon paid by this bond was made on August 1, 2018, and the transaction is made on September 1, 2018, therefore, only 1 month has passed since the last coupon was paid. Therefore, accrued interests will be charged for only 1 month.

When bonds are sold including accrued interests, they are said to be sold at their dirty price.

Damon Industries manufactures 20,000 components per year. The manufacturing cost of the components was determined as follows:

Direct materials $100,000
Direct labor 160,000
Variable manufacturing overhead 60,000
Fixed manufacturing overhead 80,000

An outside supplier has offered to sell the component for $17. If Damon purchases the component from the outside supplier, the manufacturing facilities would be unused and could be rented out for $10,000. If Damon purchases the component from the supplier instead of manufacturing it, the effect on income would be:

a. a $30,000 increase.
b. a $50,000 decrease.
c. a $70,000 increase.
d. a $10,000 decrease.

Answers

Answer:

d. a $10,000 decrease.

Explanation:

The computation of the impact on the income is given below:

In case of making the product

= Direct material + direct labor + variable manufacturing overhead  + rented

= $100,000 + $160,000 + $60,000 + $10,000

= $330,000

And, in case of buying the product

= 20,000 × $17

= $340,000

So there is a decrease of $10,000

in the short run, which of the following firms should attempt to produce where average costs are at a minimum in order to maximize profits or minimize losses?

a. perfectly competitive firm
b. a monopolistically competitive firm
c. an oligopoly
d. a monopoly
e. none of the above

Answers

Answer: A perfectly competitive firm

Explanation:

Critique the case: How did Karin originally approach the project? Comment specifically about Karin’s project management skills and approach? 2. While assessing the case, draw a project organigram, identifying the role-players/ stakeholders and whether they were all in original agreement of the project?​

Answers

The project organigram should identify the role-players and stakeholders involved in the project and determine if they were all in original agreement.

Who are the role-players and stakeholders involved in the project?

The project organigram outlines the key individuals and entities involved in the project including project managers, team members, clients, executives and any other relevant stakeholders.

It also highlights their roles, responsibilities, and relationships within the project structure. Assessing whether they were all in original agreement requires examining the project's initiation phase and the documented agreements such as contracts, memorandums of understanding or project charters.

Read more about project organigram

brainly.com/question/31255959

#SPJ1

Other Questions
We are asked to model the progression of an epidemic for a population of 5 million. Contact tracing at the beginning of an outbreak shows that each infected person is on average infectious for 7 days and causes on average 4.5 new infections. (a) Find the parameter 3 for an SIR model when the time unit is one day. (b) How many infections can we expect before the epidemic peaks? (c) Give an approximate value of how many people will have avoided an infection by the end of the outbreak. How did the 1918 flu pandemic affect the women's suffrage movement?(A)It caused soldiers to support women's right to vote.(B)It made people realize that women were just as capable as men.(C)It convinced the Supreme Court to make a change to its ruling.(D)It motivated people in Tennessee to confirm the 19th Amendment. Original Source MaterialStudent VersionThere is a design methodology called rapid prototyping, which has been used successfully in software engineering. Given similarities between software design and instructional design, we argue that rapid prototyping is a viable method for instructional design, especially for computer-based instruction.Which of the following is true for the Student Version above?A. Word-for-Word plagiarismB. Paraphrasing plagiarismC. This is not plagiarism I need help please!!!! QUESTION 1 Digital Chaos Sdn. Bhd. is planning to cope with the latest technology by changing its equipment with the latest model. The cost of new equipment is RM500,000. Employees need to be trained to handle the equipment and the cost of training is RM30,000. Other costs related to the new equipment are RM15,000 and RM5,000 for the installation and delivery cost respectively. The new equipment is expected to have a useful life of five years and at the end of the year, the expected salvage value is RM50,000. The new equipment is expected to increase the production and sales of the company by RM300,000 and reduce the operating cost by RM100,000 annually. In addition, cost of defects can also be reduced by RM50,000 every year. However, the maintenance cost is expected to increase by RM80,000 every year. With the new purchased equipment, the net working capital will increase by RM90,000. Currently, the company is using an equipment which is bought five years ago at the price of RM200,000. The old equipment has a remaining useful life of five years and after five years, the equipment is expected to have a salvage value of RM40,000. If it is sold immediately, the equipment is worth RM80,000. The company adopts straight-line method (SLM) for its depreciation policy. The company is subject to corporate tax and capital gain tax at the rate of 25% and 20% respectively. The cost of capital is 10%.Based on the above information, determine: a) The net initial outlay (9 marks) b) The differential cash flow (after tax) (8 marks) c) The terminal cash flow (3 marks) Generator What does RPM stand for? What four things can you adjust to get the highest maximum voltage? Defining the problem is an iterative processRecall that the DentMerc marketing VP Arun is in the midst of a necessarily quick review of his team's marketing research proposal for their CEO. After a brief discussion, the team agrees that they are setting out to answer the following question:Should DentMerc enter the well-established Southeast Asian toothbrush market with a new product, the Click*Brush?take a moment to draft an improved version of DentMerc's problem question. Then, write two to three sentences explaining why your improved version is better, making sure to reference SMART criteria (Specific, Measurable, Actionable, Relevant, and Time-bound) in your answer. que aspectos han impedido que se cumpla la utopia que bolivar plantea en la carta de jamaica To what extent, and for whom, was the West a land of opportunity? help me on this someone Yale University uses _____________ to correct discrimination that has occurred in the past. They have prevented Asian-American and Caucasian students from attending the university while favoring African-American and Hispanic students.a. benefitsb. performance reviewsc. affirmative actiond. wages FILL IN THE BLANK. the major source(s) of chlorofluorocarbons (cfcs) in the atmosphere was/were ________. Two different species live in the same area and eat the same type of food. What is present betweenthese organisms? you have an idea for making a new type of backpack that is more comfortable to wear. describe how you would use the design cycle to turn your idea into a practical solution Is this a CLAUSE? Albin gave me the money. For questions 5-8, consider the following code:def mystery(a = 2, b = 1, c = 3): return 2 * a + b + 3 * cWhat is the output for mystery(4, 3, 7)? The Richter scale measures the magnitude, M, of an earthquake as a functionof its intensity, I, and the intensity of a reference earthquake, Io.M = log()What is the approximate intensity of an earthquake with a Richter scalemagnitude of 4.8? Use a reference intensity of 1.A. 0.681B. 63,096C. 660,057D. 6,492,506 ,!!! :1) -5/12=02) 5,4(+6,3)=03) (-3)(+4)=04) 23,5 ||=0(6 ) find the 11th term of the series 8,14,20,26....... A box is a cuboid with dimesions 26cm by 15cm by 20 cm all measured to ht nearest centimetre.disc cases are cuboids which measure 1.6cm by 14.2cm by 19.3cm all measured to the nearest millimetre.if the discs are stacked as shown, show thatit may not bepossible for 16cases to fit in the box