Explain the fiscal causes of high inflation and define
seigniorage (inflation tax).

Answers

Answer 1

High inflation can be caused by fiscal factors such as deficit spending and excessive money creation, while seigniorage refers to the revenue generated by the government through the inflation tax of printing money.

How do fiscal factors contribute to high inflation and what is seigniorage?

High inflation can be caused by fiscal factors that result in excessive government spending and deficits. When the government spends more than it collects in revenue, it may resort to borrowing or printing money, leading to an increase in the money supply and subsequent inflationary pressures.

One fiscal cause of high inflation is deficit spending, where the government consistently spends more than its income. This can create a situation where the government needs to borrow money to finance its expenditures. If borrowing increases significantly, it can lead to higher interest rates and increased money supply, which fuels inflationary pressures.

Another fiscal cause of high inflation is excessive money creation by the government. When the government prints more money to finance its spending, it increases the money supply in the economy. This excess money supply can outpace the production of goods and services, leading to a decrease in the value of money and a rise in prices.

Seigniorage, often referred to as the inflation tax, is a concept related to the fiscal causes of inflation. It refers to the revenue generated by the government through the process of creating money. When the government prints money, it effectively imposes a tax on the purchasing power of existing money in circulation.

This "tax" is borne by the holders of money as the value of their currency diminishes due to inflation. Seigniorage is a form of revenue for the government but can contribute to inflationary pressures as excessive money creation erodes the value of money.

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Related Questions

Doomuch Inc. manufactured 95,000 water bottles during April. The variable overhead cost-allocation base is $2.20 per machine-hour. The following variable overhead data pertain to April: Actual Budgeted Production 95,000 units 95,000 units Machine-hours 4,000 hours 2,800 hours Variable overhead cost per machine-hour 3.6 2.2
What is the variable overhead efficiency variance?

Answers

Variable overhead efficiency variance is the difference between the actual number of hours worked and the number of hours that should have been worked, multiplied by the standard variable overhead cost per hour.

In other words, it is the variance caused by the difference between the budgeted number of machine-hours and the actual number of machine-hours used in the production of goods or services.Answer:Variable overhead efficiency variance is calculated as follows;Variable overhead efficiency variance = (Standard Hours - Actual Hours) * Standard Variable Overhead RateThe budgeted hours of machine time is computed as 95,000 units x 2.8 hours per unit = 266,000 hours.The standard variable overhead cost per hour is $2.20 per machine hour.The actual number of machine-hours used in production is 4,000 hours.Variable overhead efficiency variance = (Standard Hours - Actual Hours) * Standard Variable Overhead Rate= (266,000 - 4,000) * $2.20= 262,000 * $2.20= $576,400.00Therefore, the variable overhead efficiency variance is $576,400.00.

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Find the optimal schedule to meet the following requirements for Monday to Sunday: 7,5, 2,4, 5, 2, 6. All employees are full time and they work for five consecutive days. Remember to calculate the efficiency of your schedule

Answers

The optimal schedule to meet the given requirements for Monday to Sunday is: 7, 5, 2, 4, 5, 2, 6. The efficiency of this schedule can be calculated based on the total working hours and the available working days. The efficiency of this schedule is approximately 442.86%

To find the optimal schedule, we need to allocate the available work hours to the days of the week. The given requirements for each day are: 7, 5, 2, 4, 5, 2, 6.

To ensure efficiency, we need to distribute the workload evenly and make sure that the employees work for five consecutive days, which is their full-time schedule.

One possible optimal schedule could be as follows:

Monday: 7 hours

Tuesday: 5 hours

Wednesday: 2 hours

Thursday: 4 hours

Friday: 5 hours

Saturday: 2 hours

Sunday: 6 hours

To calculate the efficiency of this schedule, we need to consider the total working hours and the available working days. In this case, the total working hours would be 31 hours (7 + 5 + 2 + 4 + 5 + 2 + 6) and the available working days are 7.

Efficiency = (Total working hours / Available working days) * 100

Efficiency = (31 / 7) * 100 = 442.86%

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Janet is a 37-year-old unmarried attorney with an annual income of about $200,000. She currently
has no health insurance coverage and is now considering purchasing some to protect her from
various health-related exposures.
1. List some health-related exposures that she can probably afford to retain.
2. In your opinion, what health-related exposures should she strongly consider transferring to
an insurance company.
Discuss the reasoning behind your answer

Answers

1. List of health-related exposures that Janet can probably afford to retain:Some health-related exposures that Janet can probably afford to retain are minor doctor's visits, prescription drugs, and annual check-ups. 2. In your opinion, what health-related exposures should she strongly consider transferring to an insurance company.The health-related exposures that Janet should strongly consider transferring to an insurance company are hospital stays, surgeries, and long-term care because these events can be very expensive and cost-prohibitive without insurance coverage.

Discussing the reasoning behind the answer:Janet is a 37-year-old unmarried attorney with an annual income of about $200,000. She currently has no health insurance coverage and is considering purchasing some to protect herself from various health-related exposures.There are some health-related exposures that Janet can probably afford to retain, such as minor doctor's visits, prescription drugs, and annual check-ups. These are all health-related events that can be paid for out of pocket and are not financially significant enough to require insurance coverage.However, Janet should strongly consider transferring certain health-related exposures to an insurance company. These exposures include hospital stays, surgeries, and long-term care. These events can be very expensive and cost-prohibitive without insurance coverage. A hospital stay, for example, can easily cost thousands of dollars per day. A major surgery can be even more expensive, with the cost running into tens of thousands of dollars. Long-term care can also be very expensive and is often not covered by health insurance policies.Janet's annual income of $200,000 may seem like a lot of money, but the reality is that healthcare costs can quickly add up and become a financial burden. By transferring these health-related exposures to an insurance company, Janet can protect herself from the financial risks associated with these events and ensure that she receives the necessary care without having to worry about the cost.

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MISININ Y At the end of the current year, the owner's equity in LaRose Corporation is $188,000. During the year, the assets of the business had decreased by $90,000, and the liabilities had increased

Answers

To determine the change in owner's equity in LaRose Corporation, we can use the following formula:

The information provided indicates changes in owner's equity, assets, and liabilities in LaRose Corporation. Here is a breakdown of the given information: Owner's equity at the end of the current year: $188,000 Change in assets during the year: Decreased by $90,000 Change in liabilities during the year: Increased by $10,00 To calculate the initial owner's equity, we need to adjust for the changes in assets and liabilities: Initial Owner's Equity = Ending Owner's Equity + Change in Assets - Change in Liabilities Initial Owner's Equity = $188,000 + (-$90,000) - $10,000 Initial Owner's Equity = $188,000 - $90,000 - $10,000 Initial Owner's Equity = $188,000 - $100,000 Initial Owner's Equity = $88,000 Therefore, the initial owner's equity in LaRose Corporation at the beginning of the year was $88,000.

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What is the present value of a 15-year annuity of $3,000 per year; i = 4%. Present value $

Answers

To calculate the present value of a 15-year annuity of $3,000 per year at 4%, we can use the formula for the present value of an annuity:PV = C × ((1 − (1 + r)^-n) / r)wherePV = present valueC = amount of each annuity paymentr = interest raten = number of paymentsFirst, we plug in the given values: C = $3,000, r = 0.04, and n = 15.Then, we calculate the present value:PV = $3,000 × ((1 − (1 + 0.04)^-15) / 0.04)PV = $3,000 × ((1 − 0.4665) / 0.04)PV = $3,000 × (0.5335 / 0.04)PV = $3,000 × 13.3381PV = $40,014.30Therefore, the present value of a 15-year annuity of $3,000 per year at 4% is $40,014.30.

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Marketing Section 1. As a manager in charge, examine the situation. thoroughly by stating clearly your position on this issue and how the decision and its consequence may affect the organization's cash flow. 2. Critically evaluate the decision as to whether the organization should maintain the status que ir head to introduce a new product. 3. Since the product seems to be at the maturity the problem stage, suggest any 4 Gikely Cause of 4. Describe the strategies you will adopt to rejuvenate- your product should in case it gets to the declining. stage.

Answers

As a manager in charge, examine the situation. thoroughly by stating clearly your position on this issue and how the decision and its consequence may affect the organization's cash flow.

The situation in this context is whether or not the organization should maintain the status quo or head to introduce a new product. Maintaining the status quo would mean that the organization will continue to produce the same product and employ the same marketing strategy. However, introducing a new product will require a new marketing strategy. The decision and its consequence may affect the organization's cash flow positively or negatively, depending on the outcome of the decision to be made. For instance, if the decision to maintain the status quo is made and there are changes in the market, the organization may lose its market share and negatively impact its cash flow. Position on the issue. It is advisable for the organization to introduce a new product. This is because in business, maintaining the status quo may not be the best approach, especially if the market is highly competitive.

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What happened during the Presidential race in 1876? How did the
Presidential election of 1876 impact the Reconstruction Era?

Answers

The republican Hayes defeated the democrat Tilden during the presidential race of 1876. And this impacted in the Reconstrucion Era, because led to the end of Reconstruction and allowed Southern states to revert to old ways.

During the Presidential race in 1876, the democratic nominee was Samuel J. Tilden, and the republican nominee was Rutherford B. Hayes. This races was controversial due to fact that both parties disputed the results in three southern states.

Hayes supporters claimed that democrats intimidated black voters in Florida, South Carolina, and Louisiana, and they hoped to deny those states' electoral votes to Tilden.

Because of the disputed results, a special Electoral Commission was formed to determine the winner. The commission was made up of five representatives, five senators, and five Supreme Court justices.

They voted along party lines, 8–7, in favor of Hayes, giving him 185 electoral votes to Tilden's 184. As a result, the Reconstruction Era ended.

Finally, we can say tha the Reconstruction Era refers to the period between 1865 and 1877 when the US government sought to rebuild and reform the South after the Civil War.

Its primary goals were to rebuild the Southern economy, improve the lives of former slaves, and re-establish the federal government's authority over the former Confederate states.

After the presidential race, many white Southerners used their newfound political power to disenfranchise black voters, pass segregationist laws, and establish sharecropping, leading to a period of racial violence and discrimination.

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E9.4 (LO 1, 2) At the beginning of the current period, Rose Corp. had balances in Accounts Receivable of $200,000 and in Allowance for Doubtful Accounts of $9,000 (credit). During the period, it had net credit sales of $800,000 and collections of $763,000. It wrote off as uncollectible accounts receivable of $7,300. However, a $3,100 account previously written off as uncollectible was recovered before the end of the current period. Uncollectible accounts are estimated to total $25,000 at the end of the period. (Omit cost of goods sold entries.) Journalize receivables transactions. March 1 3 9 15 31 Sold merchandise on account to Dodson Company for $5,000, terms 2/10, n/30. Dodson Company returned merchandise worth $500 to Molina. Molina collected the amount due from Dodson Company from the March 1 sale. Molina sold merchandise for $400 in its retail outlet. The customer used his Molina credit card. Molina added 1.5% monthly interest to the customer’s credit card balance.
Instructions:
a. Prepare the entries to record sales and collections during the period.
b. Prepare the entry to record the write-off of uncollectible accounts during the period.
c. Prepare the entries to record the recovery of the uncollectible account during the period.
d. Prepare the entry to record bad debt expense for the period.
e. Determine the ending balances in Accounts Receivable and Allowance for Doubtful Accounts.
f. What is the net realizable value of the receivables at the end of the period?

Answers

a. Sales and collections during the period:

March 1:

Accounts Receivable 5,000

Sales Revenue 5,000

March 3:

Sales Returns and Allowances 500

Accounts Receivable 500

March 9:

Cash 4,900

Accounts Receivable 4,900

March 15:

Cash 400

Sales Revenue 400

b. Write-off of uncollectible accounts during the period:

March 31:

Allowance for Doubtful Accounts 7,300

Accounts Receivable 7,300

c. Recovery of the uncollectible account during the period:

March 31:

Accounts Receivable 3,100

Allowance for Doubtful Accounts 3,100

d. Entry to record bad debt expense for the period:

March 31:

Bad Debt Expense 25,000

Allowance for Doubtful Accounts 25,000

e. Ending balances in Accounts Receivable and Allowance for Doubtful Accounts:

Accounts Receivable: $199,000 ($200,000 - $500 + $400)

Allowance for Doubtful Accounts: $26,200 ($9,000 + $25,000 - $7,300 + $3,100)

f. Net realizable value of the receivables at the end of the period:

Net realizable value = Accounts Receivable - Allowance for Doubtful Accounts

Net realizable value = $199,000 - $26,200 = $172,800

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What is globalization? What is the impact of globalization on
LDCs (Least Developed Countries)? Please explain wherever
necesary.

Answers

Globalization refers to the increasing interconnectedness and interdependence of countries through the exchange of goods, services, capital, technology, and information across national borders.

Globalization has opened up new opportunities for LDCs by providing access to larger markets, foreign investment, and technology transfer. It has facilitated economic growth, job creation, and poverty reduction in some LDCs. Global trade has allowed LDCs to specialize in industries where they have a comparative advantage, enabling them to export goods and earn foreign exchange.

However, the impact of globalization on LDCs is not uniform and can also pose challenges. LDCs often face difficulties in competing with more advanced economies due to factors such as limited infrastructure, lack of skilled labor, and weak institutional capacity. They may also experience adverse effects such as increased inequality, environmental degradation, and cultural homogenization.

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Ahngram Corp. has 1000 carton of oranges that cost $32 per
carton in direct costs and $22.00 per carton in indirect costs and
sold for $52 per carton. The oranges can be processed further into
orange

Answers

To provide a comprehensive analysis, I would need additional information regarding Based on the provided information, Ahngram Corp. has 1000 cartons of oranges. Each carton has direct costs of $32 and indirect costs of $22.

The cartons are sold for $52 each. There is a possibility to process the oranges further into orange juice.To analyze the situation, we can calculate the total cost, revenue, and potential profit from selling the oranges or processing them into orange juice. The total cost per carton is the sum of the direct and indirect costs, which is $32 + $22 = $54 per carton. If Ahngram Corp. decides to sell the cartons of oranges without further processing, the revenue per carton would be $52. Therefore, the profit per carton would be $52 - $54 = -$2. In this case, the company would incur a loss of $2 per carton.On the other hand, if Ahngram Corp. decides to process the oranges into orange juice, they can potentially increase the value of the product. The profitability of processing the oranges into orange juice would depend on the additional costs incurred during processing and the potential selling price of the juice.

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Describe with diagrams: (i) how electricity is dispatched according to the merit order, and (ii) what a screening curve shows. [10]

Answers

(i) Dispatch of Electricity According to Merit Order:The dispatch of electricity according to the merit order refers to the process of prioritizing the order in which power plants are dispatched to meet the electricity demand.

This process is based on the cost of generation, with power plants having lower operating costs dispatched first.

To illustrate this process, consider the following diagram:

           Power Plant A                Cost: $30/MWh

                   |            Power Plant B

               Cost: $40/MWh                    |

           Power Plant C                Cost: $50/MWh

                   |            Power Plant D

               Cost: $60/MWhIn this example, the vertical axis represents the cost of generation in dollars per megawatt-hour ($/MWh), and the horizontal axis represents the dispatch order. The power plants are arranged in ascending order of their generation costs.

When the electricity demand is low, only Power Plant A may be dispatched, as it has the lowest cost. As the demand increases, additional power plants will be dispatched, starting with Power Plant B, followed by Power Plant C and Power Plant D, in order of their increasing costs.

The merit order dispatch ensures that electricity is generated at the lowest possible cost, as more expensive power plants are only dispatched when the demand exceeds the capacity of the lower-cost plants. This helps optimize the utilization of resources and minimizes the overall cost of electricity production.

(ii) Screening Curve:

A screening curve, also known as a supply curve or supply stack, shows the relationship between the available electricity supply and the corresponding generation costs. It illustrates the cost of generating additional electricity as the quantity supplied increases.

Here's a simplified example of a screening curve:

    Generation Cost ($/MWh)

     ^      |        /

     |       /      |      /

     |     /    Screening Curve      |    /

     |   /      |  /

     | /      +---------------------------->

          Quantity Supplied (MW)In this diagram, the vertical axis represents the generation cost in dollars per megawatt-hour ($/MWh), and the horizontal axis represents the quantity of electricity supplied in megawatts (MW).

The screening curve slopes upward from left to right, indicating that as the quantity of electricity supplied increases, the generation cost also increases. This is because power plants with lower operating costs are dispatched first, and as the demand increases, higher-cost power plants are brought online to meet the additional load.

The screening curve helps policymakers, system operators, and market participants understand the cost structure of electricity generation and make informed decisions. It provides insights into the margin cost of producing electricity at different levels of supply and can assist in evaluating the economic efficiency of different generation technologies and optimizing the dispatch of power plants.

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It’s nice to imagine your business as providing something useful, and if you’re excited about the idea, it’s that much easier to think about people buying it. But you need to be logical and critical when you consider the driving force behind your customers’ purchasing decisions: what fundamental customer need is your business addressing? You’ll want to back this up with research that shows the need actually exists.

Answers

Identifying and fulfilling a fundamental customer need is crucial for the success of any business.

What is the key to a successful business?

In order for a business to thrive, it must identify and cater to a fundamental customer need. This means going beyond just providing a product or service and understanding the underlying motivations behind customers' purchasing decisions. By being logical and critical, business owners can ensure that their offerings are truly meeting a genuine need in the market.

Identifying the fundamental customer need requires thorough research and analysis. This involves studying the target market, conducting surveys, analyzing customer feedback, and keeping a pulse on industry trends. By gathering and interpreting this data, businesses can gain valuable insights into the pain points, desires, and preferences of their target customers.

Once the fundamental customer need has been identified, it becomes the driving force behind the business strategy. Every aspect of the business, from product development to marketing and customer support, should be aligned with addressing this need effectively. This approach not only helps attract customers but also builds customer loyalty and drives repeat business.

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The idea that immigration lowers the wages and employment of native-born workers because of an increase in the supply of labor: A) is based on the findings of research studies on the actual impact of immigrants on local labor markets B) is based on both the supply and demand model and the findings of research C) is based on a supply and demand model where one assumes that there is little or no change in the demand labor

Answers

The idea that immigration lowers the wages and employment of native-born workers due to an increase in the supply of labor is primarily based on a supply and demand model where one assumes that there is little or no change in the demand for labor (C).

The idea that immigration lowers the wages and employment of native-born workers because of an increase in the supply of labor is based on both the supply and demand model and the findings of the research. According to this model, an increase in the supply of labor will lead to a decrease in wages and an increase in employment. However, this assumption only holds true if the demand for labor remains constant.

Research studies have shown mixed results on the actual impact of immigrants on local labor markets. Some studies suggest that immigration can lead to a slight decrease in wages and employment for native-born workers, while others show no significant impact. It is important to note that the impact of immigration on labor markets can vary depending on factors such as skill level, industry, and geography.

Overall, while the supply and demand model provides a theoretical framework for understanding the impact of immigration on labor markets, the actual effects are complex and depend on a variety of factors.

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Subject: Business process reengineering
Q1) How we can analyze fish bone in an organization, give
example?
Q2) Organization example of pareto chart?

Answers

Fishbone analysis, also known as a cause-and-effect diagram or Ishikawa diagram, is a visual tool used to identify and analyze the potential causes of a problem or an effect in an organization. It helps in understanding the various factors that contribute to a specific issue or outcome.

In order to analyze a fishbone diagram in an organization, let's consider an example of a manufacturing company that is experiencing a decline in product quality. The effect or problem in this case is the decrease in product quality. The main categories of potential causes, which are represented as the "bones" of the fishbone diagram, can include the following: equipment, methods, materials, people, measurement, and environment.

Under each category, specific factors that may contribute to the decline in product quality can be listed. For instance, under the equipment category, factors such as machine malfunctions or outdated technology could be identified. Under the methods category, issues related to inefficient processes or lack of standardized procedures may be listed. Similarly, factors related to materials, people, measurement, and environment can be explored and added to the diagram.

By using a fishbone diagram, the organization can visually map out the potential causes of the decline in product quality. This analysis enables the company to identify the root causes and prioritize areas for improvement. It provides a structured approach to problem-solving and helps in generating targeted solutions to address the identified causes, ultimately leading to enhanced product quality.

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Which of the following statements is correct? O A good goal for a corporate manager is maximization of expected EPS. O Most business in the U.S. is conducted by corporations; corporations' popularity results primarily from their favorable tax treatment. O A good example of an agency relationship is the one between stockholders and managers. O Corporations and partnerships have an advantage over proprietorships because a sole proprietor is subject to unlimited liability, but investors in the other types of businesses are not. O Firms in highly competitive industries find it easier to exercise "social responsibility" than do firms in oligopolistic industries.

Answers

"A good example of an agency relationship is the one between stockholders and managers." is correct.

In an agency relationship, one party (the principal) delegates decision-making authority to another party (the agent) to act on their behalf. The relationship between stockholders and managers in a corporation is a classic example of an agency relationship. Stockholders are the owners or principals who entrust managers with the responsibility to make decisions that will maximize the value of their investment.

The managers, as agents, are expected to act in the best interest of the stockholders and make decisions that align with their goal of maximizing shareholder wealth. However, there is a potential conflict of interest in this relationship as managers may have their own objectives or may prioritize their personal interests over those of the stockholders. This agency problem arises due to the separation of ownership and control in a corporation.

To align the interests of stockholders and managers, various mechanisms such as performance-based compensation, board oversight, and shareholder activism are put in place. These mechanisms aim to mitigate the agency problem and ensure that managers act in the best interest of the stockholders.

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Consider the information about the economy of Pakistan. Note that the currency of Pakistan is the rupee. The government purchases: 3.40 trillions of rupees. Individuals consume: 10.60 trillions of rupees. Individuals save: 5.10 trillions of rupees. Businesses invest: 1.35 trillions of rupees. Foreigners spend: 0.60 trillions of rupees to purchase Pakistani firms. Pakistan imports: 2.56 trillions of rupees. Pakistan exports: 1.38 trillions of rupees. Calculate Pakistan's GDP. Assume that the values are all current and no conversions need to be made. Give your answer in terms of trillions of rupees, and round to two decimals 13.67 Pakistan's GDP trillions of rupees e SOC W E D S X Alt C R F insamen V T G B H N M 19 K V 1 0 Alt 4 A. WA 21 MyAgam Attempt 1 PriSc Ctri PgUp

Answers

Given the provided values, Pakistan's GDP is 13.67 trillion rupees.

To calculate Pakistan's GDP, we sum up the various components of expenditure. The government purchases amount to 3.40 trillion rupees, individual consumption is 10.60 trillion rupees, business investment is 1.35 trillion rupees, foreign spending on Pakistani firms is 0.60 trillion rupees, and net exports (exports minus imports) amount to -1.18 trillion rupees (1.38 trillion - 2.56 trillion). Adding these components together, we get a GDP of 13.67 trillion rupees. GDP represents the total value of goods and services produced within a country's borders in a given period and serves as an important indicator of economic activity.

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Review the benefits of Enterprise Risk Management. Does Amazon.com mention any of these benefits? If so, what should we plan to do to achieve these benefits (if more than 1, select 1 or 2 to review)?
Benefits of Enterprise Risk Management Programs:
1.Increased risk awareness
2.Increased certainty of meeting strategic and operational objectives
3.Assurance of compliance with regulatory and legal requirements
4.Greater accountability for the management of risks the organization faces
5.Greater efficiency in the management of risks and potential cost savings
6.Improved strategic decision making
7.Increased value of the organization

Answers

ERM programs offer several benefits to organizations, including increased risk awareness, greater efficiency, and improved decision-making. By implementing a structured ERM framework and investing in training and education programs, organizations can achieve these benefits and effectively manage risks to meet their strategic and operational objectives.

Enterprise Risk Management (ERM) is the process of identifying, assessing, and managing potential risks that could impact an organization's strategic and operational objectives. Some of the benefits of ERM programs include increased risk awareness, certainty of meeting objectives, compliance with regulatory requirements, greater accountability, increased efficiency, improved decision-making, and increased value.

In regards to Amazon.com, the company mentions several benefits of its ERM program, including increased risk awareness and improved decision-making. In order to achieve these benefits, organizations can plan to implement a structured ERM framework, such as the ISO 31000 standard, which provides a systematic approach to managing risks. Organizations can also invest in training and education programs to increase risk awareness and develop the skills needed to manage risks effectively.

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he finance director of W Ltd has been looking to improve the company's working capital management. W Ltd has revenue from credit sales of €25,000,000 per year and although its terms of trade require all credit customers to settle outstanding invoices within 60 days, on average customers have been taking longer. Approximately 29% of credit sales turn into bad debts which are not recovered. Trade receivables currently stand at €4,500,000 and W Ltd has a cost of short-term finance of 6% per year. The finance director is considering a proposal from a factoring company, N Ltd, which was invited to tender to manage the sales ledger of W Ltd on a with-recourse basis. N Ltd believes that it can use its expertise to reduce average trade receivables days to 45 days, while cutting bad debts by 75% and reducing administration costs by €40.000 per year. A condition of the factoring agreement is that the company would also advance W Ltd 75% of the value of invoices raised at an interest rate of 8% per year. N Ltd would charge an annual fee of 1% of credit sales. Assume that there are 365 days in each year. Required Based on your calculations, advise whether the factoring offer is financially acceptable to W Ltd.

Answers

Yes, the factoring offer is financially acceptable to W Ltd.

Is factoring offer acceptable?

To determine whether the factoring offer is financially acceptable to W Ltd, let's calculate the relevant financial metrics and compare them with the current situation.

Reduction in average trade receivables days:

Currently, customers are taking longer than the required 60 days to settle outstanding invoices. The factoring company, N Ltd, claims it can reduce the average trade receivables days to 45 days. This reduction of 15 days would be beneficial to W Ltd, as it would shorten the cash conversion cycle and improve working capital management.

Reduction in bad debts:

Currently, 29% of credit sales turn into bad debts. N Ltd claims it can reduce bad debts by 75%. Let's calculate the reduction in bad debts:

Bad debts reduction = 29% * 75% = 21.75%

Reduction in administration costs:

N Ltd proposes to reduce administration costs by €40,000 per year.

Financing terms:

N Ltd would advance W Ltd 75% of the value of invoices raised, and the interest rate for this financing is 8% per year. Additionally, N Ltd would charge an annual fee of 1% of credit sales.

Now, let's calculate the financial implications for W Ltd under the factoring offer:

Reduction in bad debts:

Bad debts reduction amount = 21.75% * €25,000,000 = €5,437,500

Reduction in administration costs:

Administration cost reduction = €40,00€

Increase in financing costs:

Financing cost = 8% * 75% * €25,000,000 = €1,500,000

Annual fee:

Annual fee = 1% * €25,000,000 = €250,000

Now, let's calculate the net financial impact:

Net financial impact = Reduction in bad debts - Reduction in administration costs - Financing cost + Annual fee

Net financial impact = €5,437,500 - €40,000 - €1,500,000 + €250,000

Net financial impact = €4,147,500

The net financial impact indicates that the factoring offer would result in a positive outcome for W Ltd. The offer would provide a net benefit of €4,147,500 to the company.

Therefore, based on these calculations, the factoring offer from N Ltd is financially acceptable to W Ltd. It would help improve working capital management, reduce bad debts, and lower administration costs, resulting in a positive impact on the company's financial position.

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A. You observe the following information regarding Companies X and Y:

—Company X has a higher expected return than Company Y.
—Company X has a lower standard deviation of returns than Company Y.
—Company X has a higher beta than Company Y.

Given this information, which of the following statements is CORRECT?

Company X has more diversifiable risk than Company Y.

Company X has a lower coefficient of variation than Company Y.

Company X has less market risk than Company Y.

Company X's returns will be negative when Y's returns are positive.

Company X's stock is a better buy than Company Y's stock.

B. Stock A's stock has a beta of 1.30, and its required return is 13.25%. Stock B's beta is 0.80. If the risk-free rate is 2.75%, what is the required rate of return on B's stock? (Hint: First find the market risk premium.)

C. Mulherin's stock has a beta of 1.23, its required return is 9.50%, and the risk-free rate is 2.30%. What is the required rate of return on the market? (Hint: First find the market risk premium.)

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The required rate of return on the market is 11.156%. A. Company X has less market risk than Company Y.B. The required rate of return on B’s stock is 8.4%.C. The required rate of return on the market is 11.156%.

A. From the given information, we can make the following statements:Company X has a higher expected return than Company Y.Company X has a lower standard deviation of returns than Company Y.Company X has a higher beta than Company Y.The statement that is correct given the above information is:Company X has less market risk than Company Y. Because the higher beta means that Company X is more sensitive to market changes and therefore it has more systematic risk.B. Given, Beta of stock A (βa) = 1.3Required return on stock A (Ra) = 13.25%Risk-free rate = 2.75%Beta of stock B (βb) = 0.8Let us first calculate the market risk premium:Market risk premium = Required return on stock A - Risk-free rate= Ra - Rf= 13.25% - 2.75% = 10.5%Now, we can calculate the required return on stock B as follows:Rb = Rf + βb (Market risk premium)= 2.75% + 0.8 (10.5%)= 2.75% + 8.4%= 11.15%C. Given,Beta of Mulherin’s stock (β) = 1.23Required return on Mulherin’s stock (Rm) = 9.5%Risk-free rate (Rf) = 2.3%Let us first calculate the market risk premium:Market risk premium = Required return on Mulherin's stock - Risk-free rate= Rm - Rf= 9.5% - 2.3%= 7.2%Now, we can calculate the required rate of return on the market as follows:Rm = Rf + β (Market risk premium)= 2.3% + 1.23 (7.2%)= 2.3% + 8.856%= 11.156%Therefore, the required rate of return on the market is 11.156%.Ans: A. Company X has less market risk than Company Y.B. The required rate of return on B’s stock is 8.4%.C. The required rate of return on the market is 11.156%.

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In each situation, (i) state if the LRAS will shift to the left or right and (ii) which factor of production will cause the shift.
The US cuts all funding for research and development
US makes immigration reforms stricter making it difficult for foreigners to come to USA to work
Increase in prices of oil that is a key input for production. Explain stagflation
Increase of minimum wage rate
US discovers a technology that increases production of natural gas to be used to run factories

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The LRAS will shift to the left due to reduced funding for research and development, stricter immigration reforms, and an increase in oil prices, which will decrease productivity, limit skilled labor, and raise production costs, respectively.

The LRAS will shift to the left due to the US cutting all funding for research and development, making it difficult for foreigners to come to the USA to work, and an increase in oil prices, a key input for production.

Firstly, cutting funding for research and development will limit technological advancements and innovation, resulting in a decrease in productivity and a leftward shift of the LRAS curve. Secondly, stricter immigration reforms will reduce the availability of skilled labor, hindering the growth potential of the economy and causing a leftward shift in LRAS. Thirdly, an increase in oil prices as a key input for production will raise production costs, leading to reduced output and a leftward shift in LRAS.

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If a firm uses the weighted average cost of capital (WACC) to discount cash flows of higher than average risk projects, which one of the following will most likely occur? Project NPV will be understat

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If a firm uses the weighted average cost of capital (WACC) to discount cash flows of higher than average risk projects, the most likely outcome is that the project's net present value (NPV) will be understated.

The WACC is the average rate of return required by both debt and equity investors to fund the company's operations. It represents the opportunity cost of investing in the firm and serves as the discount rate for evaluating potential projects. However, using the WACC to discount cash flows for projects with higher than average risk can lead to an underestimation of their value.

Projects with higher risk typically require a higher rate of return to compensate investors for the additional risk they are undertaking. By using the WACC, which reflects the average risk of the company, the discount rate applied to these high-risk projects may be lower than what is appropriate. As a result, the discounted cash flows will be undervalued, leading to an understatement of the project's NPV.

It is important to consider adjusting the discount rate for projects with different risk profiles to ensure accurate valuation and decision-making.

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Required information [The following information applies to the questions displayed below] The following year-end information is taken from the December 31 adjusted trial balance and other records of Leone Company. Using the following additional information for Leone Company, complete the requirements below Required: 1. Prepare the schedule of cost of goods manufoctured for the current year. 2. Prepare the current year income statement. Complete this question by entering your answers in the tabs below. Prepare the schedule of cost of goods manufactured for the current year. \begin{tabular}{|l|l|l|} \hline LEONE COMPANY \\ \hline Sirect materials & For Year Ended Decerister 31 \\ \hline Raw materials available for use & & \\ \hline Direct materials used & & \\ \hline & & \\ \hline Factory overhead & & \\ \hline & \\ \hline & \\ \hline & \\ \hline & \\ \hline & \\ \hline \end{tabular} 1) Required information of 2 \begin{tabular}{|l|l|} \hline Total factory overhead \\ \hline Total manufacturing costs \\ \hline Cost of goods manufactured & \end{tabular} Required information Prepare the current year income statement.

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the schedule of cost of goods manufactured and the current year income statement for Leone Company, but the necessary data to complete these requirements is missing.

The provided table does not contain any specific values or figures for the direct materials, raw materials available for use, direct materials used, factory overhead, total factory overhead, total manufacturing costs, and cost of goods manufactured.

To accurately prepare the schedule of cost of goods manufactured and the current year income statement, I would need the relevant financial data and figures such as the beginning and ending inventory balances, direct materials purchases, direct labor costs, factory overhead costs, and any other relevant expenses.

Please provide the complete and accurate information required to answer the question, and I'll be glad to assist you further in preparing the schedule of cost of goods manufactured and the current year income statement for Leone Company.

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Which of the following statements are true about the value of an option? Check all that apply: The value of a call option increases when the price of the underlying asset increases. At option expiration, the time value of an in-the-money call option is always equal to zero. Before option expiration, the value of an out-of-the-money call option is equal to zero. As the price of the underlying asset increases, the value of a call option approaches its intrinsic value. Before option expiration, the actual value of an option is greater than its intrinsic value.

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The following statements are true about the value of an option. The value of a call option increases when the price of the underlying asset increases. The price of an option is determined by its intrinsic value and its time value.

The intrinsic value of an option is the amount of money that can be realized by exercising the option if it were to expire immediately.

Before option expiration, the value of an out-of-the-money call option is equal to zero. As the price of the underlying asset increases, the value of a call option approaches its intrinsic value. However, the actual value of an option before expiration is greater than its intrinsic value, since there is still a chance that the price of the underlying asset will move favorably.

At option expiration, the time value of an in-the-money call option is always equal to zero. This is because any remaining time value has already been fully eroded, and the option can be exercised for its intrinsic value only. Therefore, the correct answers are:

- The value of a call option increases when the price of the underlying asset increases.
- Before option expiration, the value of an out-of-the-money call option is equal to zero.
- As the price of the underlying asset increases, the value of a call option approaches its intrinsic value.
- Before option expiration, the actual value of an option is greater than its intrinsic value.

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One of the following is not a valid title selection technique A. Keeping it less less than 17 characters B. Assigning every page with a unique title C. Making headlines for customers D. Include as much product details 11 Meta Titles A. Should be over 60 characters B. Should be the same for all web pages C. Are web page headlines D. Details of the web page should be placed at the end of the title 12 Meta description A. Should contain content that highlight the unique selling point Should be at least 160 characters B. C. Must have bullets D. Avoid inviting users to the web page 13 Meta keywords A. Are selected randomly B. Are words that describe the web page Describe the wed page owner's profile C. D. Are reflecting the searching frequency fro a specific web page 14 Keywords should be A. Head keywords B. Body keywords C. Long tail keywords D. All

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The Meta description should contain at least 160 characters.2. The Meta description should contain material that highlights the unique selling point.3. It should be free of bullets.4. Users should not be encouraged to visit the web page.Meta Keywords 1.

One of the following is not a valid title selection technique is "Making headlines for customers".A title is a phrase that describes a page's content. Meta titles are shown in search engine results as page titles and are essential to search engine optimization (SEO). There are various Meta title selection techniques. They are as follows:Meta Titles1. Should be web page headlines.2. The length of the Meta title should be kept under 60 characters to ensure that it appears completely in the search results.3. For every web page, a unique title should be given.4. The web page's details should be included at the end of the title.Meta Description 1. The Meta description should contain at least 160 characters.2. The Meta description should contain material that highlights the unique selling point.3. It should be free of bullets.4. Users should not be encouraged to visit the web page.Meta Keywords1. The Meta keywords are selected randomly.2. Meta keywords are words that explain the web page.3. They do not reflect the profile of the web page owner.4. They should reflect the search frequency of a specific web page.Keywords1. Head Keywords2. Body Keywords3. Long-tail KeywordsTherefore, the correct answer is option C. Making headlines for customers is not a valid title selection technique.

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Which of the following is NOT a duty of the IFRS Interpretations Committee?
To interpret the application of International Financial Reporting Standards
To work directly with national standard setters to bring about convergence with IFRS
To provide guidance on financial reporting issues not specifically addressed in IFRSs
To publish draft interpretations for public comment

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Among the given options, the duty that is NOT performed by the IFRS Interpretations Committee is to work directly with national standard setters to bring about convergence with IFRS.

The other three duties mentioned, namely interpreting the application of International Financial Reporting Standards (IFRS), providing guidance on financial reporting issues not specifically addressed in IFRSs, and publishing draft interpretations for public comment, are all responsibilities of the IFRS Interpretations Committee.

The IFRS Interpretations Committee, also known as the IFRS IC or the Interpretations Committee, is a body within the International Accounting Standards Board (IASB) responsible for providing interpretations and guidance on the application of IFRS. Its primary role is to interpret the application of IFRS standards to ensure consistent and appropriate implementation. The committee analyzes accounting issues, responds to queries, and provides interpretations to address these issues.

The IFRS Interpretations Committee collaborates with various stakeholders, including national standard setters, to gather input and insights. However, it does not directly work with national standard setters to bring about convergence with IFRS. Convergence efforts with national standards are typically handled through broader initiatives and coordination between the IASB and relevant national bodies, but it is not a specific duty of the IFRS Interpretations Committee.

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When and why is it appropriate to have a congressional
"supermajority" vote?

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A congressional "supermajority" vote refers to a vote in which more than a simple majority of members is required to pass a particular measure. The specific threshold for a supermajority can vary depending on the legislative body and the rules in place. Generally, a supermajority is higher than a simple majority, often requiring two-thirds or three-fifths of the members to vote in favor.

Here are a few situations in which it may be appropriate to have a congressional supermajority vote:

Amending the Constitution: In many countries, including the United States, amending the constitution typically requires a supermajority vote. This higher threshold ensures that proposed changes to the fundamental law of the land receive broad support and are not easily altered by a temporary majority.

Overriding a veto: If a president or executive branch official vetoes a piece of legislation, a supermajority vote in Congress may be required to override the veto. This mechanism ensures that a broad consensus exists among legislators before overriding the executive's decision.

Impeachment and removal: In cases of impeachment proceedings against a high-ranking government official, such as a president or a judge, a supermajority vote may be necessary to convict and remove the individual from office. This requirement ensures that impeachment is not used as a tool for partisan or frivolous purposes and that the decision has widespread support.

Treaty ratification: In some countries, including the United States, the ratification of international treaties may require a supermajority vote in the legislative body. This higher threshold ensures that significant international commitments have broad support across different political factions.

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Assignment Ross Hopkins, president of Hopkins Hospitality, has developed the tasks, durations, and predecessor relationships in the following table for building new motels. Draw the AON network and answer the questions that follow. Activity Immediate Time Estimates (In weeks) predecessor(s) Optimistic(a) Most Pessimistic likely (m) (b) A 4 8 10 B A 2 18 24 C A 8 12 16 D A 4 6 10 E B 1 2 3 F E,C 6 8 20 G E,C 3 4 H F 2 2 I F 6 6 J D.G.H 6 12 K 2 2 3 1. What is the expected (estimated) time for each activity? 2. Based on the calculation of estimated times, what is the critical path? 3. What is the estimated time of the critical path? 4. What is the activity variance along the critical path? 5. What is the probability of completion of the project before a week 46? 12 12 6 14

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AON network is the project management tool that visually represents a project schedule and depicts the flow of activities that are a part of the project. It’s a tool that helps in identifying the critical path of a project, which is the sequence of activities that would take the longest time to finish.

Activity Immediate Time Estimates (In weeks) Predecessor(s) Optimistic(a) Most Likely (m) Pessimistic (b) A 4 8 10 B A 2 18 24 C A 8 12 16 D A 4 6 10 E B 1 2 3 F E,C 6 8 20 G E,C 3 4 H F 2 2 I F 6 6 J D,G,H 6 12 K   2 3 1 What is the expected (estimated) time for each activity?Expected time is calculated using the following formula:Expected time = (optimistic + 4 * most likely + pessimistic) / 6Calculation of expected time for each activity is given in the table below:Activity Expected Time (In weeks) A 7.33 B 10.67 C 12 D 6.67 E 1.67 F 10.33 G 3.67 H 2 I 6.33 J 8.33 K 2.17 2. Based on the calculation of estimated times, what is the critical path?The critical path is the longest sequence of activities in the project that must be completed on time in order to complete the project on time.

The activities that are a part of the critical path have no slack time. Calculation of earliest start time (EST), latest finish time (LFT), and slack time for each activity is given in the table below:Activity EST LFT Slack A 0 7.33 0 B 7.33 18 0 C 7.33 19.33 0 D 7.33 13 0 E 18 19.67 0 F 19.67 30 0 G 19.67 23.67 0 H 30 32 0 I 30 36.33 0 J 13 25.33 5.67 K 36.33 39.5 0The critical path is A → C → F → I. 3. What is the estimated time of the critical path?The estimated time of the critical path is the sum of the expected times of all the activities that are a part of the critical path. Calculation of estimated time for critical path is given below:Estimated time of critical path = Expected time of A + Expected time of C + Expected time of F + Expected time of I= 7.33 + 12 + 10.33 + 6.33= 35 4.

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Question # 3 (5 points) Consider the Life Cycle Model of a product, what phase/when would you require ESTIMATES vs Actual and WHY? Question #4 (5 points) When would you use Bottom Up instead of Top Down estimation?

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Question #3: In the Life Cycle Model of a product, estimates would be required during the planning and development phases, while actuals would be needed during the execution and monitoring phases.

The Life Cycle Model of a product consists of several phases, including planning, development, execution, and monitoring. During the planning and development phases, estimates are necessary to forecast and predict various aspects of the project. These estimates provide a basis for decision-making, resource allocation, and setting expectations.

During the planning phase, estimates are used to determine the scope, schedule, and budget of the project. They help in identifying the required resources, costs, and timelines. Estimates are essential during this phase to ensure that the project is feasible and can be executed within the planned constraints.

In the development phase, estimates are used to plan and schedule the activities, assign resources, and allocate budgets. They help in estimating the effort required, identifying dependencies, and assessing risks. Estimates provide a roadmap for the development process and assist in setting realistic targets and milestones.

Once the execution phase begins, actual data becomes crucial. Actuals are obtained during the execution and monitoring phases, where the project is implemented and progress is tracked. Actuals provide real-time information on the performance and progress of the project. They help in comparing the actual results against the estimates, identifying variations or deviations, and taking corrective actions if necessary.

Actuals provide insights into the actual effort expended, costs incurred, and timelines achieved. They help in assessing the project's performance, identifying any gaps between the estimated and actual outcomes, and making adjustments or improvements as needed.

In summary, estimates are required during the planning and development phases to set expectations and make informed decisions, while actuals are needed during the execution and monitoring phases to track progress, evaluate performance, and take corrective actions.

Question #4: Bottom-up estimation is used when there is a need for detailed and accurate estimates at a granular level, while top-down estimation is suitable when a high-level estimate is sufficient and there is limited time or information available.

Bottom-up estimation and top-down estimation are two approaches used in project estimation, depending on the level of detail and accuracy required, as well as the available information.

Bottom-up estimation involves breaking down the project into smaller tasks or components and estimating each one individually. These individual estimates are then aggregated to calculate the overall estimate for the project. Bottom-up estimation is time-consuming and requires a detailed understanding of the project's components. It is used when a high level of accuracy is needed, especially for complex projects with many variables and uncertainties.

Bottom-up estimation provides a more accurate and reliable estimate as it considers the specifics of each task or component. It helps in identifying potential risks and dependencies, and allows for better resource allocation and scheduling. Bottom-up estimation is often used when there is sufficient time, resources, and information available to perform a detailed analysis of the project.

On the other hand, top-down estimation involves providing a high-level estimate based on broad assumptions, historical data, or expert judgment. It is a quicker and less detailed approach compared to bottom-up estimation. Top-down estimation is useful when there is limited time, limited information, or when the project is in its early stages and lacks detailed requirements.

Top-down estimation provides a rough estimate and helps in making initial decisions, setting initial budgets, or conducting feasibility studies. It is less accurate compared to bottom-up estimation but can be sufficient for high-level planning, scoping, and decision-making purposes.

In conclusion, bottom-up estimation is used when detailed and accurate estimates are required, and there is enough time and information available. Top-down estimation is used when a high-level estimate is sufficient, there is limited time or information, or during the early stages of a project. The choice between the two approaches depends on the project's requirements,

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Which of the following statements is NOT true? Evaluating opportunity costs helps to determine comparative advantage Countries that focus on producing goods for which they have a comparative avantage specialize In a two-good market, a country can only have absolute advantage in one good Trade is driven by comparative advantage. Incorrect. This is a true statement Learning Objective: Define absolute advantage.comparative advantage, and opportunity costs

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The statement "In a two-good market, a country can only have absolute advantage in one good" is not true.

Absolute advantage refers to the ability of a nation or producer to manufacture a commodity more efficiently and with fewer resources than another producer or nation. Comparative advantage, on the other hand, is the ability of a nation or producer to generate a product or service at a lower opportunity cost than another producer or nation. Opportunity cost is the cost of choosing one item over another. The term "In a two-good market, a country can only have absolute advantage in one good" is not valid because the absolute advantage can be possessed in both products, however, the comparative advantage can only be possessed in a good. Additionally, it is possible that no country has an absolute advantage in both goods or in either good, but rather that they have a comparative advantage in one good. Hence, this statement is NOT true. Trade is driven by comparative advantage, and evaluating opportunity costs helps to determine comparative advantage. Countries that concentrate on producing goods for which they have a comparative advantage specialize.

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Suppose Target Corporation plans to pay $0.68 per share in dividends in the coming year.Chloe
a. If its equity cost of capital is 10% and dividends are expected to grow by 8.4% per year in the future, estimate the value of Target’s stock.
b. If its equity cost of capital is 10% and dividends are expected to stay constant for the next 3 years due to the pandemic and will grow by 8.4% per year forever starting in year 4, estimate the value of Target’s stock. (in excel)

Answers

The value of Target's stock can be estimated using the dividend discount model (DDM). With an equity cost of capital of 10% and expected dividend growth of 8.4% per year, we can calculate the stock value.

The formula for DDM is Stock Value = Dividend / (Cost of Equity - Dividend Growth Rate). Plugging in the values, we have Stock Value = $0.68 / (0.10 - 0.084), which equals $8.50 per share. Therefore, based on the given assumptions, the estimated value of Target's stock is $8.50 per share.  In the scenario where dividends are expected to stay constant for the next 3 years and then grow by 8.4% per year forever, we need to consider the present value of future dividends. Using the same DDM formula, but with a modified dividend growth rate, we can calculate the stock value.

For the first three years, the dividend growth rate is 0% due to the pandemic. From year 4 onwards, the growth rate is 8.4%. By discounting the dividends back to their present value and summing them, we can estimate the stock value in Excel using the NPV function. The resulting value would provide an estimate of Target's stock value in this scenario.

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Show how to 1. use the dot product to calculate the angle between these two vectors. 2. use the determinant to calculate the area of the parallelogram spanned by V1, V2 3. use geogebra (or python) to plot the parallelogram in the previous part, and see if your answer for the angle looks reasonable show out in work clear Klingon Widgets,Inc.purchased new cloaking machinery five years ago for $20 million The machinery can be sold to the Romulans today for $18 million.Klingon's current balance sheet shows net fixed assets of $15.5 million.current liabilities of $700.000.and net working capital of $226.000,If all the current assets and current liabilities were liquidated today.the company would receive $1.08 million cash What is the book value of Klingon's total assets today?(Enter your answer in dollars.not millions of dollars.e.g.1.234.567. What is the sum of the market value of NWC and the market value of fixed assets? 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Let X and Y are two independent random variables with U(0, 1)distributions. The two randomvariables U and V are defined as U = X Y and V = Y .a. Find the joint distribution of U and V . The velocity v(t) in the table below is increasing for 0 t 12. Find an upper estimate for the total distance traveled using n = 4 subdivisions: distance traveled = n = 2 subdivisions: distance traveled = Which of the two answers in part (A) is more accurate? n = is more accurate (Be sure that you can explain why!) Find a lower estimate for the total distance traveled using n = 4. distance traveled = The double-entry principle in the balance of payments How will the following transactions affect the U.S. balance of payments? Miguel, a U.S. resident, buys an HDTV set for $2,500 and sends it to Mexico as a gift to his parents. This transaction will appear as a credit in the account and as a debit in the account. 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The company has planned to undertake the distribution of products made and packed in the plant in Kingston and maintain control over the design, quality, and service channel of its product.Globalization has pushed the market to have grown and matured with higher expectations of the customers towards the features of the products for which technology and the design have improved considerably. All the competitors have equally good quality product in the market. Presently the area of logistics, inventory, distribution, customer service and satisfaction are the areas of prime focus in order to have extra value added to the product. Product defects due to its nature, terminal, inventory and transportation are now under increasing scrutiny. Let Y, Y2,..., Yn be a random sample from a population with probability mass function of the form 0(1-0)-, if y=1,2,..., p(Y = y) = 0, O.W., where 0 Calculate the total annual interest, total cost, and current yield for the bond. (Round the "Current yield" to the nearest tenth percent and other answers to the nearest whole dollar.) Suppose you are the sole shareholder of a bank with deposits of $1,200,000 and assets of $1,000,000. There is no reserve requirement. Your liability in the bank is limited by law to your investment (if it fails, you needn't make up losses to depositors). You are risk neutral.A. What is the net worth of the bank?B. Suppose you may reinvest your assets into one but only one of the following projects before the examiners audit your books: Project A; pays a certain return of 7%. Project B; has a 50% chance of a 21% net return and a 50% chance of a -21% net return. Project C; has a 10% chance of doubling your assets and 90% chance of losing everthing. Rank the projects according to which will benefit you personally.C. How would your ranking change if the assets of the bank were $1,200,000?D. How would your ranking change if the assets of the bank were $2,000,000?E. If you have the chance to abscond with $100,000 at the cost of losing ownership in the bank, would you do it? How does your answer depend on the net worth of the bank?F. If banks are covered by governemnt deposit insurance, why should the government take an active role in closing down failed banks as soon as they can be discovered? Find the value of log_6 7 log_7 8 .... log_n (n+1) log_(n+1) 6 = _____ Governments may use microeconomic models to study the effects of a new tax onA)the prices consumers pay and the prices charged by producersB)the prices consumers pay.C)the money supply.D)the prices charged by producers.