Which of the following statements is true?
The largest investors in corporate bonds are institutional investors such as life insurance companies and pension funds.
The market for corporate bonds is thin compared to the market for corporate stocks.
Prices in the corporate bond market tend to be more volatile than prices of securities sold in markets with greater trading volumes.
All of the above are true.

Answers

Answer 1

Regarding the query, each of the aforementioned statements is accurate.

What exactly are corporate bonds?

Debt instruments known as corporate bonds are issued by both commercial and public corporations. Businesses sell corporate bonds to generate funds for a range of projects, including the construction of new facilities, the acquisition of equipment, and business expansion. A corporation bond is an obligation that a corporation issues to obtain money for a number of purposes, such as continued operations, mergers and acquisitions, or business expansion. The phrase is typically used to describe longer-term debt instruments with a minimum one-year maturity.

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Related Questions

Which is NOT a component of the free enterprise system?
private property
the right to choose
competition
the pursuit of profit
freedom from all government involvement

Answers

The Answer NOT a component of the free enterprise system the right to choose.

What elements make up the free-market system?

The majority of free enterprise systems are made up of four elements: governments, markets, firms, and households. Households, not the government, own the majority of the nation's economic resources and make decisions about how to employ them in a free enterprise system. Economic resources are gathered by businesses to produce a good or service.

What five characteristics define free enterprise?

The right to private property, competition, profit as an incentive, and consumer sovereignty are the five guiding principles of the U.S. economic system of free enterprise.

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an increase in the equilibrium nominal interest rate could be caused by which of the following changes?

Answers

The money demand curve moves to the right when prices rise, which raises the nominal interest rate. Ostensible financing costs and bond costs move in inverse headings.

How can the nominal interest rate at equilibrium rise?

By making more money available for borrowing, an increase in the money supply—the amount of money in circulation—can raise the equilibrium nominal interest rate. The nominal interest rate rises as a result of the increased demand for loans caused by this additional cash.

The equilibrium nominal interest rate can also rise as a result of an increase in real income, which is measured in terms of purchasing power. The nominal interest rate rises as a result of people borrowing more money as they become wealthier.

Last but not least, a rise in the equilibrium nominal interest rate may result from a decrease in the amount of cash that the general public wants to hold (the demand for money). This is because people are less willing to lend money when there is less demand for it, which raises the nominal interest rate.

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You are fortunate to have an experienced team that has worked together for more than a year and is familiar with the project work. What action can you take to provide the most help to this team?

Answers

Answer:

Remove obstacles so they can do their work.

Explanation:


Answer:

If I were a project manager leading this experienced team, here are some actions I could take to provide the most help:

1. Recognize their accomplishments: As the team has worked together for more than a year, they have likely achieved several milestones and made significant contributions to the project. Recognizing their accomplishments publicly and expressing gratitude can help to boost morale and motivation within the team.

2. Empower them to make decisions: Given their experience and familiarity with the project, the team likely has a deep understanding of the project's goals and objectives. Providing them with the autonomy to make decisions can help to foster a sense of ownership and accountability, which can further motivate and engage the team.

3. Provide opportunities for growth and development: While the team is experienced, there may still be opportunities for growth and development. Providing training or development opportunities can help to keep the team's skills and knowledge up-to-date, and can demonstrate the organization's commitment to their ongoing professional development.

4. Foster a collaborative and supportive team culture: Encouraging open communication, collaboration, and mutual support within the team can help to build a positive and cohesive team culture. This can further enhance the team's productivity, motivation, and satisfaction.

Which of the following are examples of production that is not exchanged in the market, and not included in GDP? Select the two correct answers below. Select all that apply: hiring a lawn service to mow your lawn o cleaning your own house O taking care of your children O hiring a nanny to care for your children

Answers

Cleaning your own house and taking care of your children are examples of production that are not exchanged in the market and not included in GDP.

What is GDP?

In macroeconomics, gross domestic product (GDP) is a measure of the total value of goods and services produced within a country during a specific period of time. However, not all economic activities are included in GDP.

One example is non-market production, which refers to the production of goods and services that are not exchanged in the market, and therefore, not captured in GDP.

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exists when the link between a company's resources and its competitive advantage is poorly understood.

Answers

When the link between a company's resources and its competitive advantage is poorly understood, a resource curse exists. The resource curse is also known as the Paradox of Plenty or the Dutch Disease.

The resource curse, also known as the Paradox of Plenty or the Dutch Disease, is a condition in which countries with an abundance of natural resources, such as minerals and oil, have less economic growth and more poverty than countries with fewer natural resources.

It is a paradox because possessing abundant natural resources should make a country wealthy, but instead, it appears to have the reverse impact. The resource curse may also result in economic instability and corruption.

The resource curse occurs when the country's economic structure is heavily reliant on the natural resource sector. The resource curse may also result from poor governance, inadequate institutional frameworks, and a lack of economic diversity.

Furthermore, countries with abundant natural resources may experience an appreciation in their currency's value, making it more difficult for their non-resource sectors to compete globally. Finally, countries that are rich in natural resources may be more susceptible to conflict, either internal or external.

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recall the required components of figuring present value by matching the formula symbol on the left with its definition on the right.

Answers

Present value of required component can be calculated using the formula. [tex]p = f / (1 + i)^n[/tex] Where n is Number of periods, f is Future value, i is Per period, rate of interest, p is Present value.

To figure out the present value, you will need to understand the different components of the formula and match the formula symbols with their respective definitions.

The present value (PV) formula is as follows:

Where:

- PV (Present Value): The current value of a future sum of money or cash flow.

- FV (Future Value): The value of an asset or cash at a specific date in the future.

- r (Interest Rate): The rate at which the value of money or an asset increases over time, expressed as a decimal.

- n (Number of Periods): The total number of periods, typically years, over which the asset or cash flow is expected to grow.

The present value can be calculated using the formula:

[tex]p = f / (1 + i)^n[/tex]

This formula takes into consideration the time value of money, which states that because of things like inflation and the opportunity cost of holding onto money today, money is worth more in the present than it will be in the future. You can decide whether to invest or borrow based on your financial objectives and risk tolerance by calculating the present value of a loan or investment.

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Complete Question

Recall the required components of figuring present value by matching the formula symbol on the left with its definition on the right.

n: Number of periods

f: Future value

i: Per period, rate of interest

p: Present value

Is business administration and marketing and buying in sesame course

Answers

No, business administration and marketing and buying are not part of a sesame course.

What is administration?

Administration is the process of managing, organizing, and controlling resources and activities to achieve goals. It involves making decisions and plans, coordinating activities and resources, and monitoring progress. Administration is essential for the effective functioning of any organization, whether it is a business, government, or non-profit.

Administrative tasks include setting goals and objectives, developing policies and procedures, managing budgets, communicating with stakeholders, and evaluating performance. This comprehensive process requires a variety of skills, such as problem-solving, communication, and organizational ability. Administration is essential to the success of an organization and can help to ensure that resources are used efficiently and that goals and objectives are achieved.

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roger assaulted jim in a tavern, causing medical expenses and lost wages. which of the following is true?

Answers

It is not acceptable for anyone to assault another person, and Roger should be held responsible for his actions.

What is assault?

Assault is a criminal offense that involves intentionally or recklessly causing someone to fear that they will be physically harmed. It can also involve actual physical harm, but the threat or fear of harm is enough to constitute assault. The act can be committed through various means, including physical violence, verbal threats, or gestures that make the victim feel threatened. Assault can result in both criminal and civil liability, and the severity of the offense can vary depending on the circumstances, such as the degree of harm caused, the level of intent, and the relationship between the victim and the perpetrator. Penalties for assault can range from fines to imprisonment, depending on the jurisdiction and the severity of the offense.

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if the sample estimates fall randomly within the and control limits, then the production process is deemed in control

Answers

This statement is referring to Statistical Process Control (SPC), which is a method used to monitor and control production process.

What is control production?

Control production refers to the process of managing and optimizing the production of goods and services within a company. The goal of control production is to ensure that the production process runs efficiently and effectively, delivering high-quality products at the lowest possible cost. This involves monitoring and managing the entire production process, from the acquisition of raw materials to the delivery of finished products to customers. Control production typically involves using various tools and techniques to measure and improve production efficiency, including statistical process control, lean manufacturing, and Six Sigma. Effective control production can result in increased productivity, reduced waste, and improved customer satisfaction, ultimately leading to greater profitability for the company.

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Presented here are the components in Cullumber Company's income statement. Determine the missing amounts. Sales Revenue Cost of Goods Sold Gross Profit Operating Expenses Net Income Year 1 $ 71,000 $ $ 30,000 $ $10,810 Year 2 $108,100 $70,100 $ (c) $ $29,510 Year 3 $ $71,900 $109.610 $46,210 $

Answers

To calculate Cullumber Company's income statement and to determine the missing amounts are as follows-

Year 1:

Production cost = Sales - Gross/Total profit

Cost of Goods Sold = $71,000 - $30,000

Cost of sales = $41,000 (b)

Operating Expenses = Gross/Total Profit - Net Profit

Running cost = $30,000 - $10,810

Running cost = $19,190 (d)

Year 2:

Gross/total profit = sales - cost of goods sold

Gross Profit = $108,100 - $70,100

Gross Profit = $38,000 (c)

Operating Expenses = Gross/total Profit - Net Profit

Running cost = $38,000 - $29,510

Running cost = $8,490 (e)

Third year:

Sales = gross/total profit + production cost

Sale Proceeds = $109,610 + $71,900

Sale Proceeds = $181,510 (a)

Net Profit = Gross/total Profit - Operating Expenses

Net Income = $109,610 - $46,210

Net profit = $63,400 (f)

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Complete question:

The following selected accounts from the Blue Door Corporation's general ledger are presented below for the year ended December 31, 2017 $ 30,000 67,000 24,000 535,000 675,000 8,500 70,000 Sales returns and allowances1,000 2,400,000 55,000 Interest revenue Advertising expense Common stock Cost of goods sold Depreciation expense Dividends 250,000 Inventory 1,085,000 Rent revenue 125,000 Retained earnings 150,000 Salaries and wages expense 25,000 Sales discounts Income tax expense Insurance expense Interest expense 15,000 Sales revenue 70,000 Prepare a multiple-step income statement. BLUE DOOR CORPORATION Income

Answers

The multiple-step income statement for the Blue Door Corporation for the year ended December 31, 2017 is as follows: Net Sales of $2,470,000, Cost of Goods Sold of $1,620,000, Gross Profit of $850,000, Operating Expenses of $209,500, and Net Income of $640,500.

The multiple-step income statement for the Blue Door Corporation is presented below:

Net Sales: $70,000 + 2,400,000 = $2,470,000
Cost of Goods Sold: 535,000 + 1,085,000 = $1,620,000
Gross Profit: $2,470,000 - $1,620,000 = $850,000
Operating Expenses: Advertising Expense 67,000 + Salaries and Wages Expense 25,000 + Depreciation Expense 24,000 + Insurance Expense 8,500 + Interest Expense 15,000 + Income Tax Expense 70,000 = $209,500
Net Income: $850,000 - $209,500 = $640,500

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T/F One positive outcome of conflict managed by compromise is that both parties leave feeling fully satisfied.

Answers

It is False that one positive outcome of conflict managed by compromise is that both parties leave feeling fully satisfied.

A person who often adopts a compromise conflict style encourages all parties to concede on at least some points in order to balance the requirements of both or all sides in a disagreement. Compared to other methods of conflict resolution, this one can take longer and involve more "people skills." Nonetheless, it is frequently thought to be less harmful in a professional setting than avoidance, accommodation, or aggressive competition.

A good listener is typically a compromiser. They truly desire to learn about different viewpoints in order to best negotiate a solution that at least partially satisfies everyone's requirements. When an acceptable compromise is on the table, parties to a quarrel frequently feel that, even if they do not accept it, they have at least been heard and taken seriously.

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Required information (The following information applies to the questions displayed below.) The equity sections for Atticus Group at the beginning of the year (January 1) and end of the year (December 31) follow. Stockholders' Equity (January 1) Common stock-$6 par value, 100,000 shares authorized, 30,000 shares issued and outstanding Paid-in capital in excess of par value, common stock Retained earnings Total stockholders' equity $ 180,000 140,000 340,000 $ 660,000 Stockholders' Equity (December 31) Common stock-$6 par value, 100,000 shares authorized, 35,200 shares issued, 4,000 shares in treasury Paid-in capital in excess of par value, common stock Retained earnings ($50,000 restricted by treasury stock) $ 211,200 181,600 400,000 792,800 (50,000) $ 742,800 Less cost of treasury stock Total stockholders' equity The following transactions and events affected its equity during the year. January 5 Declared a $0.50 per share cash dividend, date of record January 10. March 20 Purchased treasury stock for cash. April 5 Declared a $0.50 per share cash dividend, date of record April 10. July 5 Declared a $0.50 per share cash dividend, date of record July 10. July 31 Declared a 20% stock dividend when the stock's market value was $14 per share. August 14 Issued the stock dividend that was declared on July 31. October 5 Declared a $0.50 per share cash dividend, date of record October 10.

Answers

At the beginning of the year (January 1), Atticus Group had total stockholders' equity of $660,000, made up of $180,000 in common stock, $140,000 in paid-in capital in excess of par value, and $340,000 in retained earnings. During the year, the following transactions and events affected its equity:

January 5: Declared a $0.50 per share cash dividend, date of record January 10.

March 20: Purchased treasury stock for cash.

April 5: Declared a $0.50 per share cash dividend, date of record April 10.

July 5: Declared a $0.50 per share cash dividend, date of record July 10.

July 31: Declared a 20% stock dividend when the stock's market value was $14 per share.

August 14: Issued the stock dividend that was declared on July 31.

October 5: Declared a $0.50 per share cash dividend, date of record October 1
At the end of the year (December 31), Atticus Group's total stockholders' equity was $742,800. This was made up of $211,200 in common stock, $181,600 in paid-in capital in excess of par value, $400,000 in retained earnings, and $50,000 in treasury stock.

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since the margaret thatcher era of the 1970s, many countries have sold off vast numbers of government-owned firms to .

Answers

Since the Margaret Thatcher era of the 1970s, many countries have sold off vast numbers of government-owned firms to private companies.

Privatization is the process of transferring public ownership and control of assets and functions from the government to private actors. This term is frequently used in relation to services provided by governments, such as healthcare, public transport, and utilities.

During the Thatcher era, privatization was a significant political and economic policy shift in the UK. Thatcher believed that private enterprise was more efficient and innovative than the public sector. She was convinced that the government's role in the economy should be restricted, and that economic growth could only be achieved through private enterprise.

In the UK, Thatcher's administration privatized several nationalized industries, including British Airways, British Telecom, and British Steel. Privatization has been used in other countries as well.

Many countries have sold off vast numbers of government-owned firms to private companies since the Margaret Thatcher era of the 1970s. These sales have brought in significant revenue for the governments involved.

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A close-out report is primarily used to _____.

Answers

Answer:

A close-out report is primarily used to document the completion of a project and summarize the project's outcomes, including its successes, challenges, and lessons learned.

Furthermore explanation:

It is an important document that helps stakeholders understand the project's results and evaluate its effectiveness. The close-out report typically includes information such as project objectives, deliverables, budget, timeline, risks, and issues. It also provides recommendations for future projects and can be used to improve project management practices

← C
Walmart
MOST
vjt-az.modemhire.com/vjta/#/situational-judgementCs/standard/sjCsVi
Retail Associate Assessment
Your shift's productivity is slow because one person isn't doing his share. The rest of the team is getting upset
What would you be most and least likely to do?
PICK ONE OF EACH
Recognize that everyone can have a bad day. Focus on your own work, not someone else's
Ask your struggling coworker if there's any way you can help because he seems slower today
Talk about the problem with another team member to see what they think
Tell your struggling teammate to work faster because he's holding back the team.
3/6
sam's club
LEAST
*** what is the most and the least likely to do?

Answers

Most likely, I would approach the troubled coworker in a respectful and encouraging manner and provide assistance if necessary.

What would you be most and least likely to do?

It's crucial to keep in mind that anyone may experience a bad day and that there might be underlying issues causing the slow work. By demonstrating empathy and support, it can make the workplace more positive and possibly reveal any problems that need to be fixed. I would probably advise the struggling employee to work more quickly, but this can backfire and increase friction on the team. Addressing the problem is crucial, but it must be done in a supportive and constructive manner that avoids sounding aggressive or accusatory. To increase productivity and resolve any challenges within a team, open dialog and collaborative effort are essential.

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which of the following drivers of demand for esg regulation is most relevant and related to worthing capital's operatoin

Answers

Greenwashing is the driver of demand for ESG regulation and is most relevant and related to worthing capital's operation. Thus, the option C is correct.

A framework called environmental, social, and governance (ESG) is used to evaluate an organization's operations and performance on many ethical and sustainable concerns. It also offers a tool to gauge the potential and hazards for businesses in certain fields. ESG investing is a technique used by certain investors in capital markets to assess businesses and inform their investment decisions.

The purpose of an ESG program is to ensure accountability and the execution of systems and processes to manage an organization's impact, such as its carbon footprint and how it addresses employees, suppliers, and other stakeholders. Sustainability, ethics, and corporate governance are typically considered to be non-financial performance indicators.

Therefore, option C is the ideal selection.

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Your question seems to be incomplete, but most probably the complete question was:

which of the following drivers of demand for ESG regulation is most relevant and related to worthing capital's operation:

ESG funds describing their investments.

post-pandemic economics.

Greenwashing.

Asymmetric information.

find the present value of the following cash flow stream at a discount rate of 8% assuming annual compounding.
year 1, 100
year 2, 100
year 3, 200
year 4, 200
year 5, 200
year 6, 300
year 7, 300
year 8, 300

Answers

The present value of this cash flow stream at a discount rate of 8% with annual compounding is $200.

The present value of a cash flow stream is the total current value of the future cash flow stream given a discount rate. To calculate the present value of this cash flow stream, the formula is:
[tex]PV = FV / (1 + r)^n[/tex]

Where PV is the present value, FV is the future value, r is the discount rate, and n is the number of periods.
For this problem, the FV is $300, the r is 8%, and n is 8 years. Plugging this into the formula, we get:
[tex]PV = 300 / (1 + 0.08)^8[/tex]
PV = $200
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As part of strategic choice, there are three key levels of strategy to consider. This excludes the following:
Where to compete.
How to compete.
Who the competitors are
.Which investment vehicle to use.

Answers

As part of strategic choice, there are three key levels of strategy to consider and this excludes: Who the competitors are.

What are the factors to consider?

Being strategic in business requires thinking ahead in order to know the right tools and policies to implement in the bid to sell more of one's products.

To be effective at strategizing, there is a need to think about the right place to compete, the tools and measures to take while strategizing, and the investment vehicle to use. Who the competitors are does not really matter in the choice of strategy.

Complete Question;

As part of strategic choice, there are three key levels of strategy to consider. This excludes the following: 0 Where to compete. 0 HOW to compete. 0 Who the competitors are. 0 Which investment vehicle to use.

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Calculate net income and balance sheet.
Account Name
Debit
Cash
Accounts Receivable
Inventory
Prepaid Expenses
$1,000
Property, Plant and Equipment
Accumulated Depreciation
Accounts Payable
Wages Payable
Notes Payable
Capital Stock
Retained Earnings
Sales Revenue
Operating Expenses
Total
$15,000
$5,000
$20,000
$209,000
Credit
$100,000
$10,000
$12,500
$2,500
$20,000
$50,000
$10,000
$75,000
$20,000
$209,000

Answers

The liabilities are Accοunts Payable, Wages Payable, Nοtes Payable, Capital Stοck, and Retained Earnings, which add up tο $209,000. The difference between the assets and liabilities is zerο, meaning that the cοmpany has a balanced balance sheet.

What is incοme?

Incοme is mοney earned by individuals οr businesses frοm their activities such as salaries, wages, investments, and prοfits. It is the financial gain received frοm perfοrming wοrk οr prοviding a service, and it is taxed by the gοvernment. Incοme is a key factοr in determining an individual's οr business's ability tο live cοmfοrtably, pay bills, and save fοr the future. Incοme can cοme frοm a variety οf sοurces including, but nοt limited tο, emplοyment, investments, inheritance, and gοvernment benefits.

Tο calculate the net incοme and balance sheet, we need tο take the tοtal debits and subtract them frοm the tοtal credits. The difference between the debits and credits is the net incοme.

In this case, the tοtal debits are $209,000, and the tοtal credits are $209,000, sο the net incοme is zerο.

The balance sheet is a summary οf a cοmpany's assets and liabilities at a particular mοment in time. In this example, the assets are Cash, Accοunts Receivable, Inventοry, Prepaid Expenses, Prοperty, Plant and Equipment, and Accumulated Depreciatiοn, which add up tο $209,000. The liabilities are Accοunts Payable, Wages Payable, Nοtes Payable, Capital Stοck, and Retained Earnings, which add up tο $209,000. The difference between the assets and liabilities is zerο, meaning that the cοmpany has a balanced balance sheet.

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A Consumers exposure to an external stimulus (such as blisters) generally does not trigger need recognition. is this true or false?

Answers

This statement is false. Consumers' exposure to an external stimulus, such as blisters, can trigger need recognition.

Need recognition occurs when consumers become aware of an unsatisfied need, either through their own thoughts or through an external source. For example, when a consumer sees a product that offers a solution to a need they have, they may recognize their need and decide to purchase the product. Therefore, while it is not always the case, consumers' exposure to an external stimulus, such as blisters, can trigger need recognition.

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he total revenue of a purely competitive firm from 8 units of output is $48. Based on tis information, total revenue for 9 units of output must be: A. $52 B. $54 C. $58 D. $60

Answers

To determine the total revenue for 9 units of output, we can use the concept of marginal revenue, which is the additional revenue earned by producing one more unit of output.

In a purely competitive market, the marginal revenue is equal to the price of the product, which remains constant regardless of the level of output. Therefore, if the total revenue from 8 units of output is $48, we can calculate the price of the product as follows:

Total revenue = Price x Quantity

$48 = Price x 8

Price = $6

Now, we can use this price to calculate the total revenue from 9 units of output:

Total revenue from 9 units of output = Price x Quantity

Total revenue from 9 units of output = $6 x 9

Total revenue from 9 units of output = $54

Therefore, the answer is B. $54.

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Uhura is in her mid-20s and wants to open an IRA account at a broker-dealer. She has $5,000 to invest. Her investment objective is growth and her risk tolerance is moderate. She has no previous investing experience and no short-term cash needs. She asks her RR how she should invest these funds. Which of the following asset allocations would be most suitable for Uhura?

Answers

A portfolio allocation of 60% equity and 40% fixed income would be most acceptable for Uhura based on her age, investment objective, risk tolerance, and lack of investing expertise.

Which type of income qualifies as a typical IRA contribution that was earned?

You and/or your spouse, if you file a joint tax return, must receive taxable remuneration, such as wages, salaries, commissions, tips, bonuses, or net income from self-employment, in order to make contributions to a conventional IRA.

How old must you be to withdraw funds from a regular or Roth IRA without incurring penalties?

To prevent a potential 10% early withdrawal penalty, bear the following advice in mind before making a Roth IRA withdrawal. After a five-year holding period, withdrawals are required.

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Union America Corporation (UAC) is planning to bid on a project to supply 150,000 cartons of machine screws per year for 5 years to the US Navy. In order to produce the machine screws UAC would have to buy some new equipment. The new equipment would cost $780,000 to purchase and install. This equipment would be depreciated straight line to zero over the five years of the contract. However, UAC thinks it could sell the equipment for $50,000 at the end of year 5. Fixed production costs will be $240,000 per year, and variable costs of production are $8.50 per carton. UAC would also need an initial investment in Net Working Capital of $75,000 at the beginning of this project. UAC has a cost of capital of 16% and a tax rate of 35%.

Answers

The project is predictive to produce a return that exceeds the cost of capital, the NPV is favorable, and UAC ought to submit a bid.

Which project-related statement is accurate?

A project is a significant, practical unit of work with educational value that is intended to achieve one or more specific learning goals. It involves problem-solving and investigation.

Initial investment = $780,000 + $75,000 = $855,000

Annual cash flow = (Revenue - Variable cost - Fixed cost - Depreciation) * (1 - Tax rate)

Year 1: ($1,275,000 - $8.50150,000 - $240,000 - $156,000) * (1-0.35) = $467,625

Year 2: ($1,275,000 - $8.50150,000 - $240,000 - $156,000) * (1-0.35) = $467,625

Year 3: ($1,275,000 - $8.50150,000 - $240,000 - $156,000) * (1-0.35) = $467,625

Year 4: ($1,275,000 - $8.50150,000 - $240,000 - $156,000) * (1-0.35) = $467,625

Year 5: ($1,275,000 - $8.50*150,000 - $240,000 - $156,000 + $50,000) * (1-0.35) = $615,000

The total of the annual cash flows' present values less the initial investment makes up the project's net present value (NPV). The present value component for every year with a discount rate of 16% is:

Year 1: 1/(1+0.16) = 0.8621

Year 2: 1/(1+0.16)² = 0.7434

Year 3: 1/(1+0.16)³ = 0.6412

Year 4: 1/(1+0.16)⁴ = 0.5523

Year 5: 1/(1+0.16)⁵ = 0.4753

Plugging in the numbers, the NPV of the project is:

NPV = -$855,000 + $467,6250.8621 + $467,6250.7434 + $467,6250.6412 + $467,6250.5523 + $615,000*0.4753

NPV = $78,402.41.

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which of the following is the capital investment decision criterion that will always lead management to make the value-maximizing choice?

Answers

The most popular criteria, such as the payback time, return on investment, equivalent yearly charge, net present value, profitability index, internal rate of return, benefit-cost ratio, and modified internal rate of return, will only be covered in this chapter's discussion.

When funding is limited, a company should invest in assets that have higher value. The pertinent index is used to calculate the true profitability index rate, not the current rate.

The projects with the highest profitability index should be chosen as a result.

What exactly are capital constraints?

Net capital available for spending within a specified time period is referred to as capital constraint. When properties display managerial or operational issues and/or experience capital constraints, they are said to have value added.

Cash flow minus contingency equals capital restriction.

The business makes judgments about financial spending for capital spending on investments.

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Mark has just been fired as the university bookstore manager for setting prices too low (only 20 percentabove suggested retail). He is considering opening a competing bookstore near the campus, and he hasbegun an analysis of the situation. There are two possible sites under consideration. One is relativelysmall while the other is large. If he opens at Site 1 and demand is good, he will generate a profit of$50,000. If demand is low, he will lose $10,000. If he opens at Site 2 and demand is high he willgenerate a profit of $80,000, but he will lose $30,000 if demand is low. He also has decided that he willopen at one of these sites. He believes that there is a 60 percent chance that demand will be high. Heassigns the following utilities to the different profits:
U(50,000) = 0.72 U(-10,000) = 0.22
U(80,000) = 1 U(-30,000) = 0
Using expected utility theory, what should Mark do?

Answers

Mark should open his bookstore at Site 1.

How to determine and what is utility?

To determine what Mark should do using expected utility theory, we need to calculate the expected utility (EU) of each option and choose the one with the highest EU.

Let's start by calculating the EU for opening at Site 1:

EU(Site 1) = (0.6 x U(50,000)) + (0.4 x U(-10,000))

= (0.6 x 0.72) + (0.4 x 0.22)

= 0.516 + 0.088

= 0.604

Now let's calculate the EU for opening at Site 2:

EU(Site 2) = (0.6 x U(80,000)) + (0.4 x U(-30,000))

= (0.6 x 1) + (0.4 x 0)

= 0.6

Comparing the two EU values, we see that the EU for opening at Site 1 is higher than the EU for opening at Site 2. Therefore, according to expected utility theory, Mark should open his bookstore at Site 1.

Utility is a concept in economics and decision theory that represents the satisfaction or happiness a person derives from consuming or experiencing something. It is a subjective measure that varies from person to person and can change based on the individual's preferences, needs, and circumstances.

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true/false. the sole proprietorship form of ownership tends to be attractive to people who want to invest in a company without taking an active role in management.

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The given statement "the sole proprietorship form of ownership tends to be attractive to people who want to invest in a company without taking an active role in management" is true because A sole proprietorship is a kind of business entity that is owned by a single person.

It is an unincorporated business that can be owned and operated by one person. It is the most common type of business entity because it is easy to create, is less expensive than other business entities, and does not have to pay corporate taxes.

However, there is no legal distinction between the company and the individual in a sole proprietorship. The proprietor is the one who is responsible for all debts and liabilities. The proprietor's private and company assets are interchangeable.

A sole proprietor has complete control over the company and can make all decisions about the company without consulting anyone else. The form of ownership that tends to be attractive to people who want to invest in a company without taking an active role in management is sole proprietorship.

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Wood Company makes a regular and a deluxe grade of wood floors. Regular grade is sold at per square​ yard, and the deluxe grade is sold at per square yard. The variable cost of making the regular grade is per square yard. It costs an extra per square yard to make the deluxe grade. It takes labor hours to make square yards of the regular​ grade, and labor hours to make square yards of the deluxe grade. There are hours of labor time available for production each week. The maximum weekly sales for the regular and the deluxe model are and square​ yards, respectively. Fixed production costs total
per year. All selling costs are fixed.
Requirement
What is the optimal production level in number of square yards for each​ product?

Answers

Answer:

To find the optimal production level for each product, we need to maximize the profit, which is the revenue minus the total cost. Let's start by calculating the revenue for each product:

Revenue for regular grade = selling price x maximum weekly sales

= $x/yd^2 x yd^2 = $

= $

Revenue for deluxe grade = selling price x maximum weekly sales

= $y/yd^2 x yd^2 = $

= $

Next, we need to calculate the total cost for each product. The total cost includes both the variable cost and the fixed cost:

Total cost for regular grade = variable cost x maximum weekly production + fixed cost

= $a/yd^2 x yd^2 + $ = $

= $

Total cost for deluxe grade = variable cost x maximum weekly production + fixed cost

= $b/yd^2 x yd^2 + $ = $

= $

Now, we can calculate the profit for each product:

Profit for regular grade = revenue - total cost

= $x/yd^2 x yd^2 - $ = $

= $

Profit for deluxe grade = revenue - total cost

= $y/yd^2 x yd^2 - $ = $

= $

To find the optimal production level, we need to find the values of x and y that maximize the profits. However, there are some constraints that we need to consider:

1. The total labor hours used for each product cannot exceed the available labor hours.

2. The maximum weekly sales for each product cannot be exceeded.

3. Production cannot be negative.

We can set up the following optimization problem:

Maximize: Profit for regular grade + Profit for deluxe grade

Subject to:

a. Labor hours used for regular grade + Labor hours used for deluxe grade <= Available labor hours

b. Weekly sales for regular grade <= Maximum weekly sales for regular grade

c. Weekly sales for deluxe grade <= Maximum weekly sales for deluxe grade

d. Production for regular grade >= 0

e. Production for deluxe grade >= 0

This is a linear programming problem that can be solved using software such as Excel Solver or MATLAB. We can input the values of a, b, x, y, Available labor hours, Maximum weekly sales for regular grade, Maximum weekly sales for deluxe grade, and Fixed production costs into the solver, and it will give us the optimal values of Production for regular grade and Production for deluxe grade.

Note: The values of a, b, x, y, Available labor hours, Maximum weekly sales for regular grade, Maximum weekly sales for deluxe grade, and Fixed production costs are not given in the question, so we cannot provide a numerical solution. However, the approach and methodology for solving this type of problem are described above.

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A national media communications company acquires a regional communications company. As a result of the merger the regional marketing department is re-organized, combining the staff of the two organizations. Our Manager is overseeing the restructuring process and is having a lot of difficulty with people shifting roles, sharing assignments and adapting to new hierarchies.
The manager meets with two department members who are very displeased with the new changes. The employees eventually ask the manager to leave the company and head a start-up – funding is already in place.
The manager should have done a better job in balancing the need to improve operations with the need to
be stagnant.
be profitable.
gather information.
respond to new events.
be effective.

Answers

The manager should have taken into account the needs of both the employees and the company when making changes, as well as the need to be both profitable and effective.

The manager in this situation should have taken a more balanced approach when restructuring the regional marketing department as a result of the merger between a national media communications company and a regional communications company. The manager should have taken into account the needs of both the employees and the company when making changes, as well as the need to be both profitable and effective.

First, the manager should have gathered more information about the effects of the merger. This would have allowed them to assess the strengths and weaknesses of both companies, the potential financial impact of the merger, and the impact it could have on employees. Additionally, the manager should have listened to the concerns of both employees and taken them into account when restructuring.

Second, the manager should have taken into account the need to respond to new events that could arise as a result of the merger. This could include market changes, changes in customer needs, and the potential for new business opportunities. By staying informed and considering how changes could affect employees, the manager would be better able to adjust the structure of the department accordingly.

Finally, the manager should have been more effective in balancing the need to improve operations with the need to be stagnant. This means taking into account employee satisfaction and company profitability, as well as considering the long-term impacts of the restructuring. By taking all of these factors into account, the manager would be better equipped to make informed decisions and effectively manage the restructuring process.

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In almost all present value and future value calculations, it is implicitly assumed that Select one: a. Cash flows occur annually. b. Interest rate is compounded semi-annually 0 c. Cash flows occur at the beginning of each period. O d. Interest rate is quoted per annum e. Cash flows occur at the end of each period

Answers

In almost all present value and future value calculations, it is implicitly assumed that cash flows occur at the end of each period. Therefore  the correct option is option E.

Present value and future value calculations are used to determine the value of an investment in today's currency by considering the amount of money to be received in the future.

In almost all present value and future value calculations, it is implicitly assumed that cash flows occur at the end of each period.

For instance, let's assume that you have to pay $10,000 in 3 years, and you want to know how much it would cost if you had to pay it today. You can use a present value calculator to estimate the value of the $10,000 bill in today's currency.

In such a case, you need to use the formula: PV = FV / (1 + r)n PV = Present Value FV = Future Value R = Interest Rate

n = Number of Periods To get the PV of $10,000 in 3 years, you must calculate its PV today (i.e., at year 0). The interest rate is 4%, and the future value is $10,000.

Calculate the present value of this $10,000 payment if you're given the same assumptions as above. Therefore  the correct option is option E.

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