Based on the calculations, it appears that the new terms are better, resulting in a slightly lower total cost of $12,184 compared to the original terms, which cost $12,256. However, other factors such as the reliability of the supplier, delivery times and product quality must also be taken into account when evaluating whether or not to accept the new terms.
To calculate the economic order quantity (EOQ), we can use the following formula:
EOQ = [tex]√[(2DS)/H][/tex]
Where D is the annual demand, S is the setup (ordering) cost, and H is the holding cost per unit per year.
Given the information provided:
D = 2,000 units
S = $392
H = $76
So, plugging in the values:
EOQ =[tex]√[(2 x 2,000 x $392)/$76] ≈ 270 units[/tex]
To calculate the number of orders placed over the course of a year, we can divide the annual demand by the EOQ:
Number of orders = [tex]D/EOQ = 2,000/270 ≈ 7.4 orders[/tex]
Since we cannot place a fraction of an order, we will round up to 8 orders per year.
To determine whether the new terms with the supplier are better, we need to calculate the total cost of the original terms and the new terms and compare them.
Original terms:
Ordering cost per order = $392
Unit cost = $380
Annual demand = 2,000 units
Holding cost = 20% x $380 = $76
Total cost = (Ordering cost per order x Number of orders) + (Unit cost x Annual demand x Holding cost)
Total cost = ($392 x 8) + ($380 x 2,000 x $76)
Total cost = $3,136 + $9,120
Total cost = $12,256
New terms:
Ordering cost per order = $60
Unit cost = $384
Annual demand = 2,000 units
Holding cost = 20% x $384 = $76.80
Total cost = (Ordering cost per order x Number of orders) + (Unit cost x Annual demand x Holding cost)
Total cost = ($60 x 8) + ($384 x 2,000 x $76.80)
Total cost = $480 + $11,704
Total cost = $12,184
Based on these calculations, it appears that the new terms are better, as they result in a slightly lower total cost of $12,184 compared to the original terms, which cost $12,256. However, other factors such as the reliability of the supplier, delivery times, and quality of the product should also be taken into consideration when evaluating whether or not to accept the new terms.
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8) If our warehouse uses 3 general classes for storage, describe
each of these types of storage including the purpose.
The three general classes of storage used in a warehouse are bulk storage, pick storage, and mezzanine storage.
Storage is the action of keeping products or objects in an orderly manner, for later use. Next I will indicate which are the 3 most used classes of storage and their purpose:
Bulk storage: is used to store large items in large quantities. The purpose of bulk storage is to maximize space and increase efficiency.Pick storage: is used to store smaller items. The purpose of pick storage is to make it easier to locate the items and minimize time spent retrieving the items. Mezzanine storage: is used to create additional storage space within the warehouse. The purpose of mezzanine storage is to utilize the vertical space in the warehouse to its fullest potential.Another question about storage in https://brainly.com/question/24227720
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If the treasury bill has $10.000 par value 200 days to maturity and is quoted:
Bid: 0,720 Ask: 0,630 then:
a) The price for the buyer is $9.965
b) The price for the seller is $9.965
c) The price for the buyer is $9.970
d) The price for the seller is $9.960
Answer : The price for the buyer is $9.970. Correct answer is Option (c)
If the treasury bill has $10.000 par value, 200 days to maturity, and is quoted: Bid: 0,720 Ask: 0,630 then the price for the buyer is $9.970.The price for the buyer is $9.970 is the correct option.How to find the price of the treasury bill:The bid is the amount that the market is willing to pay for the security, and the ask is the amount that the market is willing to sell it for.
The buyer must pay the ask price to buy the bill. The bill's price can be found using the following formula:P = (1 - R) * F where P is the price of the bill, R is the yield, and F is the face value of the bill.Therefore, we haveP = (1 - 0.630) * 10,000P = 0.370 * 10,000P = 3,700, The buyer must pay $9.970 for the treasury bill as the price for the buyer is $9.970.
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You install a wind turbine at your home to offset the expense of grid electricity which currently costs $0.20/kWh. You pay $25,000 for the turbine including all fees for installation and hardware. You get financing from the wind turbine vendor, which costs you $3,200 per year for 10 years. Your home is located in an area that receives strong winds only at night, and it produces 2.5 kW for 8 hours every night of the year. You also must buy an annual maintenance contract for $250 per year in order to obtain the loan. (a) What is the interest rate on the loan? (b) What is the LCOE and is it favorable compared to grid electricity? (c) Now re-analyze the project assuming that you get a current loan for the initial investment at 2.0% and that you make monthly payments. Is the project viable based on LCOE?
LCOE stands for Levelized Cost of Energy. It is a measure of the average cost of generating a unit of electricity over the entire lifetime of a power-generating asset, such as a wind turbine, solar panel, or power plant.
(a) To determine the interest rate on the loan, we need to calculate the total cost of the loan over the 10-year period. The total cost of the loan is the sum of the financing fees and the maintenance costs over the 10 years, or:
The total cost of the loan = (financing fees x number of years) + (maintenance cost x number of years)
Total cost of loan = ($3,200 x 10) + ($250 x 10)
Total cost of loan = $32,500
The interest rate can be calculated using the present value formula:
[tex]PV = FV / (1 + r)^n[/tex]
Where PV is the present value (the cost of the loan), FV is the future value (the total cost of the loan), r is the interest rate, and n is the number of years.
Substituting the values we have:
$25,000 = [tex]$32,500 / (1 + r)^10[/tex]
Solving for r, we get:
r = 6.67%
Therefore, the interest rate on the loan is 6.67%.
(b) The LCOE (Levelized Cost of Energy) is the total cost of generating electricity over the life of the wind turbine, divided by the total amount of electricity generated. To calculate the LCOE, we need to consider the initial cost of the turbine, the cost of financing and maintenance, and the amount of electricity generated.
The total amount of electricity generated per year is:
2.5 kW x 8 hours x 365 days
= 7,300 kWh/year
The total amount of electricity generated over the life of the turbine is:
7,300 kWh/year x 20 years = 146,000 kWh
The total cost of the turbine over its life is:
$25,000 + $32,500 = $57,500
The cost per kWh of electricity generated is:
$57,500 / 146,000 kWh
= $0.394/kWh
The LCOE is calculated by adding the cost per kWh to the financing and maintenance costs, and dividing it by the total amount of electricity generated:
LCOE = ($0.394/kWh + $3,200/year + $250/year) / 7,300 kWh/year
LCOE = $0.491/kWh
Comparing the LCOE to the cost of grid electricity ($0.20/kWh), we can see that the wind turbine is not favorable compared to grid electricity.
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When crowding out is happening in an economy, which of the following is typically a result?
decreased government spending
increased interest rates
increased private spending
When crowding out is happening in an economy, increased interest rates are typically a result.
Crowding out refers to a situation where increased government borrowing (usually to finance deficit spending) leads to higher interest rates, which then reduce private investment and consumption spending. This happens because the increased demand for credit by the government raises the cost of borrowing for everyone else in the economy.
As a result, increased interest rates can discourage private spending and investment, as individuals and businesses find it more expensive to borrow money. However, it is important to note that the exact impact of crowding out on government spending, private spending, and interest rates can vary depending on the specific circumstances of the economy.
Draft an inquiry letter to Kathmandu trading interprisses, Kathmandu behalf of Shrestha trading produces and way of business
An inquiry letter to Kathmandu trading Enterprises is a formal letter which is expected to have a formal tone and follow the formats of a formal letter.
How to Write an Inquiry Letter?Below is a sample of an inquiry letter:
Dear Kathmandu Trading Enterprises,
I am writing to inquire about your trading products and your way of business on behalf of Shrestha Trading Produces. As a growing company, we are always on the lookout for potential business partners that can help us expand our reach and increase our product offerings. After doing some research, we came across your company and would like to learn more about what you have to offer.
Firstly, we are interested in learning more about the types of trading products that you offer. Could you please provide us with a list of your current offerings? Additionally, we would appreciate any information on the quality and pricing of these products. As we are always striving to provide our customers with the highest quality products at competitive prices, this information will be valuable to us.
Secondly, we are curious about your way of business. Could you please provide us with information on your ordering and payment processes, as well as any minimum order requirements? We would also appreciate any information on your shipping and delivery times.
Lastly, we would like to know more about your company culture and values. We believe that building strong relationships with our business partners is key to success, and we would like to work with companies that share our values and ethics.
Thank you for taking the time to read our inquiry, and we look forward to hearing back from you soon.
Sincerely,
[Your Name]
[Your Company Name]
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On October 2019, assume that Aravos Company agreed to build an office building. The contract price of $800 million is to be paid as follows: $300 million at the time of signing; $200 million on December 31, 2109; and $300 million at completion in July 2020. Aravos Co incurred the following costs in constructing the building; $240 million in 2019, and $360 million in 2020. Compute the gross profit for Aravos for 2019 assuming that its performance obligation is fulfilled over time and that the costs it incurs are reflective of the value conveyed.
The gross profit for Aravos for 2019 assuming that its performance obligation is fulfilled over time and that the costs it incurs are reflective of the value conveyed is $80 million.
It is given that: Contract price = $800 million, Payments: $300 million at the time of signing, $200 million on December 31, 2109, and $300 million at completion in July 2020. Costs incurred: $240 million in 2019 and $360 million in 2020. We need to compute the gross profit for Aravos for 2019, assuming that its performance obligation is fulfilled over time and that the costs it incurs are reflective of the value conveyed. Gross profit:
Gross Profit = Revenue - Cost
Revenue = Contract Price and Cost = Costs incurred
Revenue from the sale will be recognized using the Percentage of Completion method. In 2019:
Percentage of work completed = Cost incurred in 2019/Total cost incurred
Percentage of work completed = 240/(240+360)
Percentage of work completed = 40%
Revenue for 2019 = Percentage of work completed * Contract Price
Revenue for 2019 = 0.4 * 800
Revenue for 2019 = $320 million
Costs for 2019 = $240 million
Therefore,
Gross Profit for 2019 = Revenue - Cost
Gross Profit for 2019 = $320 million - $240 million
Gross Profit for 2019 = $80 million.
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Use general systems theory concepts to justify an argument as to whether an open market such as a single quater open market is system or not a system
According to the general systems theory, a system is defined as a set of interconnected and interdependent elements that work together to achieve a common goal or purpose.
Based on this definition, an open market such as a single quarter open market can be considered a system.
In an open market, there are various elements or components that interact with each other to achieve a common goal, which is to facilitate the exchange of goods and services between buyers and sellers. These components include buyers, sellers, intermediaries, goods and services, pricing mechanisms, regulations, and market information. All these components are interconnected and interdependent, and they work together to create a functioning market.
Furthermore, the open market system exhibits certain characteristics of a system. For example, it has inputs and outputs salvage value, which are the goods and services that are exchanged between buyers and sellers.
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9. Brian owns a corn dog stand that will generate $105,000 per year forever, but since corn dogs are out of favor, the first cash flow won't occur until 4 years from today. Suppose he wants out of the corn dog business and decides to sell the stand to a friend. If the discount rate is 4%, what is TODAY's fair price for Brian's corn dog stand? Enter your answer as a positive number rounded to the nearest dollar.
The fair price for Brian's corn dog stand today, rounded to the nearest dollar, is $2,270,308.
To calculate the fair price of the corn dog stand, we need to calculate the present value of all future cash flows using a discount rate of 4%.
Since the first cash flow won't occur until 4 years from today, we need to calculate the present value of an annuity due with a payment of $105,000 per year, starting 4 years from today, and continuing indefinitely.
The formula for the present value of an annuity due is:
[tex]PV = PMT * ((1 - (1 / (1 + r)^n)) / r) * (1 + r)[/tex]
Where PV is the present value, PMT is the payment, r is the discount rate, and n is the number of periods.
Plugging in the values, we get:
PV = [tex]$105,000 * ((1 - (1 / (1 + 0.04)^∞)) / 0.04) * (1 + 0.04)[/tex]
PV = $2,270,307.63
Therefore, the fair price for Brian's corn dog stand today, rounded to the nearest dollar, is $2,270,308.
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Intro to Material management - Case Study 5.1: 1) Pick a work
center or piece of equipment that has caused some capacity problem
in recent past. List all the product models that use that work
center.
One work center that has caused a capacity problem in the recent past, along with the product models that use that work center, is described in Case Study 5.1 for Introduction to Material Management.
It gives a broad overview of the production process, from the acquisition of raw materials through the distribution of finished goods. To address the question of Case Study 5.1, it is necessary to identify a work center that has been problematic in the past, and to compile a list of all the product models that use that work center. In the case study, the work center in question is the shaft-press department, which is used to produce steel shafts for car suspensions, gear sets, and transmissions for both small and large vehicles.
The following models utilize the shaft-press department:
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in single-product enterprises,business strategies are
distinct from corporate strategies?true or false
The statement "In single-product enterprises, business strategies are distinct from corporate strategies." is True because in single-product enterprises, the business strategy and corporate strategy are different from each other as the business strategy focuses only on a single product and its services, whereas corporate strategy focuses on the whole business portfolio.
What is a single-product enterprise?Single-product companies or enterprises are those that manufacture and sell only one item. As a result, it is entirely devoted to the manufacture and distribution of a single product. Single-product firms, in general, are modest and nimble in their operations, and they may offer something special or distinct. They offer quality over quantity and are well-equipped to meet the requirements of a specific market niche.
Business Strategies vs Corporate StrategiesBusiness strategy is an action plan for achieving the goals and objectives of a company's top management. It outlines the company's market position, service offerings, and future goals.
On the other hand, Corporate strategy is the strategic planning that governs a corporation's entire portfolio of businesses. This may include determining which business units to enter, exit, or retain, as well as how to allocate resources among these units. It focuses on the company as a whole rather than on individual product or service lines.
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a university is reassigning campus building space, leaving the space previously occupied by the Simmons bookstore in the basement of the Main College Building vacant. The project team wishes to repurpose the space and provide a single location for all Simmons student organizations to gather and utilize. Draft a project charter and request for proposal.
A project charter and request for proposal has been drafted for the repurposing of the space previously occupied by the Simmons bookstore in the basement of the Main College Building.
The project objective is to create a single location for all Simmons student organizations to gather and utilize for their activities.
The project scope includes transforming the space into an area that can comfortably accommodate all student organizations and their needs. The timeline and budget for this project should be outlined in the request for proposal.
Project CharterProject Title: Repurposing of the Simmons Bookstore space for Simmons Student OrganizationsLocation: Basement of the Main College BuildingObjectives: To provide a central location for Simmons student organizations to gather and utilize.Scope: The project aims to transform the Simmons bookstore space in the basement of the Main College Building into a multipurpose space for student organizations to utilize. The scope of the project includes the redesigning of the space to accommodate multiple uses such as meeting rooms, collaborative workspaces, lounges, and storage. The project also includes the installation of appropriate furniture and equipment to support the intended use of the space.Learn more about Main College Building.
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In the context of horizontal structure of a firm, __________ are
those that have responsibility for the principal activities of the
firm.
Multiple Choice
staff departments
public relation divisions
geographic divisions
line departments
human resource divisions
In the context of the horizontal structure of a firm, line departments are those that have the primary responsibility for carrying out the core
What is Line department?Line departments are state-level government agencies with mandates related to specific thematic sectors. These departments may be further subdivided into smaller departments depending on the size of the state and administrative convenience, and thus vary across states.Line departments are state-level government agencies with mandates in specific thematic sectors. These departments may be subdivided into several smaller departments depending on the size of the state and administrative convenience, and thus vary across states.A line department is usually led by a state government Minister, who is assisted by a career bureaucrat with the title of Secretary, Principal Secretary, or Commissioner, depending on their level of seniority. Each Line Department has a district-level head, such as the Rural Water Supply Department's Superintending Engineer. In addition to clerical staff, each department has staff for work implementation, such as Executive Engineers (EE), Deputy Executive Engineers (DEE), Assistant Engineers (AE), Junior Engineers (JE), Pump Operators, and so on.
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Redfern Audio produces audio equipment including headphones. At
the Campus Facility, it produces two wireless models, Standard and
Enhanced, which differ both in the materials and components used
and
Redfern Audio plans to produce 10,000 Standard headphones and 5,000 Enhanced headphones during June.The direct materials cost per unit for Standard headphones is $20 and for Enhanced headphones is $30.
What is an Audio ?Audio refers to sound or the transmission, reproduction, or reception of sound. It encompasses all types of sounds, including music, speech, sound effects, and other types of audio signals. Audio can be recorded and played back using a variety of devices and technologies, including microphones, speakers, headphones, digital audio recorders, and computer software. In the context of consumer electronics, audio refers to the design and production of equipment and devices that are used to create, record, amplify, and reproduce sound. This includes products such as headphones, speakers, amplifiers, and mixing consoles.
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CASE: NETFLIX
Although Netflix's focus on firing B players is meant to drive motivation, it's not without its controversies. Indeed, an expose by the Wall
Street Journal-which drew on interviews with 70 current and former employees-argued that the culture can seem ruthless. Some
complaints revolve around the salience of the so-called "Keeper Test." This test asks managers to ponder whether they would fight to keep
an employee if the employee received an offer from a competitor. If the answer to that question is "no," then the employee is probably not
someone who should be retained. At one meeting of Netflix managers, one person admitted that he comes to work every day fearing that
he'll fail that test. Upon hearing that admission, one executive was reported to have responded "Good, because fear drives you."
That emphasis on firing B players extends to the unusual way that Netflix handles those events. Specifically, the company performs a public
postmortem of firing events via e-mails or face-to-face meetings. Those discussions-which are meant to reinforce core values of candor and
transparency-wind up focusing on the flaws and limitations of the fired colleague. Explained one employee about his own postmortem, "It
was certainly awkward for some, but was also consistent with the culture-there is sometimes a cost to transparency." Another employee
offered, "Anything like that can definitely turn into a pile on. But in my experience overall, I found them to be generally useful." For its part,
the company works hard to ensure that firings aren't a surprise. Its annual feedback process is 360-degree in nature, meaning that
employees receive feedback from bosses, coworkers, and subordinates. And-given the culture-it's no surprise that the comments
associated with such feedback don't pull any punches.
One danger of this sort of hard-driving approach is that it could prevent Netflix employees from living up to the company's other core
values. For example, it may seem hard to be creative and innovative in a company known for firing people for ineffective performance. And
it may be hard to be passionate about your work if you're feeling anxiety about your job security. For its part, Netflix points out that the
company placed second in Comparably's list of "Happiest Employees." It also notes that its firing rate of 8 percent is only slightly higher
than the 6 percent national average. Perhaps most tellingly, its rate of voluntary turnover is only 4 percent, significantly below the 13
percent national average.
Imagine working for a company whose product was so omnipresent in people's lives. How would that affect your motivation?
What motivation theories would help explain such effects?
Consider the "we give adequate performers a generous severance package" mantra. Would that philosophy increase your
motivation or decrease your motivation? Why?
Think about a scenario where an employee is fired for being a B player. How should that event be handled exactly? How much
information should a manager share with the employee's coworkers? What are the benefits of more information and what are the
benefits of less information?
Nevertheless, according to a Wall Street Journal exposé based on interviews with 70 current and former employees, the atmosphere may appear harsh.
What is Wall Street well-known for?
Wall Street is an umbrella word for the financial markets and the corporations that trade openly on exchanges across the United States. Wall Street has historically housed some of the major brokerages and investment banking businesses in the United States, as well as the NYSE. Wall Street is physically located in downtown Manhattan, where the New York Stock Exchange is located. The name of the street relates to a long-gone wall built in the 17th century by Dutch immigrants to keep away Brits and pirates.
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When materials are received, employees count and inspect them and record the items’ quantity and cost on a receiving report. True or False?
The statement is FALSE. The raw materials account grows when raw materials are purchased and shrinks when materials are issued to the manufacturing process. Its balance represents the value of raw materials on hand.
What exactly is a material illustration?
Any substance from which an object is made is referred to as a material. Material types include glass, chalk, paper, wax, water, air, clay, and plastic. Matter is the foundation of all materials. A materialistic person values material things such as money and status symbols. While not all materialists are bad people, they can be difficult to deal with if you value spirituality over material possessions. Any excavated material other than 'topsoil,' 'rock,' or artificial hard material is considered common material. Sample 1: Common Material refers to materials used in the processing, packaging, and testing of Buyer's Devices as well as Supplier's or its other customers' Devices.
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Discuss some legal ramifications that stereotypes and prejudices
have had on the hiring process. Provide examples of situations in
which stereotypes and prejudices can enter the hiring process and
how they impact hiring decisions.
Under the laws enforced by the Equal Employment Opportunity Commission (EEOC), it is illegal to discriminate against someone based on protected characteristics such as race, color, religion, sex (including pregnancy, gender identity, and sexual orientation), national origin, age (40 or older), disability or genetic information. Despite these legal protections, stereotypes and prejudices can still enter the hiring process and impact hiring decisions.
For example, an employer may hold a stereotype that women are not as capable or committed to their jobs after having children, leading to discriminatory practices in the hiring process. Similarly, an employer may hold a bias against older workers, assuming that they are not as productive or adaptable to new technologies, leading to age discrimination in hiring decisions.
Prejudices and stereotypes can also manifest in more subtle ways, such as in the language used in job postings, the types of questions asked during an interview, and in the selection criteria used to evaluate candidates. Hiring decisions that are based on stereotypes and prejudices can have legal consequences for employers who are found to be in violation of anti-discrimination laws.
Employers have a responsibility to ensure that their hiring practices are unbiased and based on objective criteria related to the job qualifications and criteria that are needed for the job. Training hiring managers and HR staff on unconscious bias and developing objective selection criteria can help reduce the impact of stereotypes and prejudices on the hiring process.
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Consider 2 streams of cash flows: A and B. In case of A, the investor gets paid 110 euros exactly in 1 year, 225 euros exactly in 2 years and 320 euros in 3 years. In case of B, the investor gets paid 220 euros exactly in 1 year, 135 euros exactly in 2 years and 300 euros in 3 years. Suppose that both cash flows are associated with the same level of risk. According to investor’s opportunity costs, the appropriate discount rate to discount future cash flows of A and B is 5%. Which of the following cash flows - A or B has a larger present value for this investor in the conditions described?
The cash flow A has a larger present value than the cash flow B for this investor in the given conditions.
Let us explain how we can solve the problem in detail.Calculation:Present value for Cash flow A is:PV = 110/(1+0.05)¹ + 225/(1+0.05)² + 320/(1+0.05)³PV = 104.76 + 199.54 + 267.08PV = 571.38Present value for Cash flow B is:PV = 220/(1+0.05)¹ + 135/(1+0.05)² + 300/(1+0.05)³PV = 209.52 + 121.41 + 238.55PV = 569.48Therefore, the cash flow A has a larger present value than the cash flow B for this investor in the given conditions. Suppose that both cash flows are associated with the same level of risk. According to investor’s opportunity costs, the appropriate discount rate to discount future cash flows of A and B is 5%.
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In Chapter 11 of your textbook, Read Case 11.1 "Kerzner Office
Equipment" on page 426. Answer the 4 Case questions
The conduct of Kerzner was unethical and incompatible with good project management practises. They need to have informed the consumer of any changes. Certainly, the client had a good reason for letting.
What is a manager's primary ethical duty in the event that a project has problems?Trust, honesty, responsibility, respect, and fairness are among the ethical principles highlighted in the code of ethics and professional conduct. Critical qualities that foster peace and professionalism in teams and, in consequence, the success of projects include trust, honesty, responsibility, respect, and fairness.
What four instances of unethical activity are there?Examples include sabotaging someone else's work, calling in sick to travel to a hill station, asking for credit for someone else's labour, and, in sales, fabricating a good or service to meet a goal.
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Questions
Identify five examples of actions that a business needs to take to be legally compliant under WHS legislation.
Identify four responsibilities employers have to provide a safe workplace.
Identify four responsibilities employees have to ensure a safe workplace for themselves, their colleagues and others who attend the workplace.
List three reasons businesses are required to consult with the workforce on WHS matters.
Name the four occasions when employers are required by WHS legislation to consult with the workforce.
Identify who the employers are required to consult with regarding WHS issues.
Complete the box below by briefly explaining how each option operates to enable effective consultation on WHS issues.
Under WHS legislation, businesses need to take the following five actions to be legally compliant:
1. Provide a safe work environment
2. Provide and maintain safe machinery and equipment
3. Provide training and supervision to employees to ensure they can carry out their work safely
4. Consult with employees on WHS matters
5. Report and keep records of any work-related injuries or illnesses
Employers have the following four responsibilities to provide a safe workplace:
1. Identify and assess potential hazards in the workplace
2. Implement controls to eliminate or minimize the risk of those hazards
3. Provide information, instruction, and training to employees on WHS matters
4. Monitor and review the effectiveness of the controls in place
Employees have the following four responsibilities to ensure a safe workplace:
1. Follow safe work practices and procedures
2. Report any hazards or potential risks to their employer
3. Use personal protective equipment (PPE) as required
4. Participate in consultation on WHS matters
Businesses are required to consult with the workforce on WHS matters for the following three reasons:
1. To ensure employees have input into decisions that affect their health and safety
2. To identify potential hazards and risks in the workplace
3. To develop and implement effective controls to eliminate or minimize those risks
Employers are required by WHS legislation to consult with the workforce on the following four occasions:
1. When identifying hazards and assessing risks in the workplace
2. When making decisions about how to eliminate or minimize those risks
3. When making decisions about the adequacy of facilities for employee welfare
4. When proposing changes that may affect the health and safety of employees
Employers are required to consult with the following individuals regarding WHS issues:
1. Health and safety representatives (HSRs)
2. Health and safety committees (HSCs)
3. Employees directly affected by a WHS matter
Each of the following options operates to enable effective consultation on WHS issues:
1. HSRs: Represent the interests of employees on WHS matters and have the authority to make recommendations to the employer.
2. HSCs: Provide a forum for employees and employers to discuss and resolve WHS issues.
3. Direct consultation: Allows employees to have input into decisions that affect their health and safety.
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Primal problem: Maks. Z=3×1+x2+4×3 6×1+3×2+5×3<=253×1+4×2+5×3<=20X1,x2,x3>−0 Optimum solution tableau of the primal problem is given below ( x4 and ×5 are slack variables for constraints 1 and 2 respectively): a) Find the dual optimum solution (dual variables and dual objective value) from tableau. ( 5 p.) b) If a new decision variable has been added to problem and objective function coefficient is Ist constraint coefficient is 2nd constraint coefficient is 4 for this variable; does the primal optimum solution change, explain? If the optimum solution changes which values in the tableau change, explain? (15 p.)
a)The dual objective value is W = 253(23/37) + 20(4/37) = 1300/37, and the dual variables are y1 = 4/37 and y2 = 0.
From the given tableau, the dual problem can be formulated as follows:
Minimize W = 253y1 + 20y2
subject to:
6y1 + 3y2 ≥ 3
y1 + 4y2 ≥ 1
5y1 + 5y2 ≥ 4
where y1 and y2 are the dual variables corresponding to the first and second primal constraints, respectively. The dual objective value is W = 253(23/37) + 20(4/37) = 1300/37, and the dual variables are y1 = 4/37 and y2 = 0.
b) If a new decision variable is added with objective function coefficient of 2 for the first constraint and 4 for the second constraint, then the primal problem becomes:
Maximize Z = 3x1 + x2 + 4x3 + 2x4 + 4x5
subject to:
6x1 + 3x2 + 5x3 + x4 ≤ 25
3x1 + 4x2 + 5x3 + 4x5 ≤ 20
x1, x2, x3, x4, x5 ≥ 0
The primal optimum solution will change because the introduction of the new variable changes the problem structure. The values in the tableau that will change are the coefficients in the objective row and the coefficients in the slack variable columns corresponding to the first and second constraints.
The new optimum solution can be found using the simplex method.
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Gime me two example of association in model learning while buying
and selling the houses
Association is one of the primary tools of machine learning.
Association is the identification of commonalities among various things or ideas. Association is a kind of data analysis used in market research, retailing, and advertising, among other fields. In this process, it is beneficial to comprehend what associations are and how they are formed in the context of real estate.
The following are two examples of association in model learning while buying and selling houses:
1. A predictive model that uses the price of the house as a predictor of the number of rooms. A model is created to predict the number of rooms in a house based on its price using this association. The model, when developed, will take into account the pricing of the various houses and the number of rooms they have. The accuracy of the model is evaluated based on how well it predicts the number of rooms in a house given its price.
2. A predictive model that uses the location of the house as a predictor of its price. A model is created to predict the price of a house based on its location. The model takes into account the location of the house, the proximity to various amenities such as schools, hospitals, and so on, as well as the local housing market conditions. The accuracy of the model is evaluated based on how well it predicts the price of a house given its location.
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A negative balance in the current account means that
a trade deficit definitely exists.
a trade surplus definitely exists.
the total amount of goods, services, and transfer payments flowing out of the economy is more than the total amount flowing in.
more is being spent on domestic goods than foreign goods.
the capital account is negative.
Answer:
A negative balance in the current account means that the total amount of goods, services, and transfer payments flowing out of the economy is more than the total amount flowing in. Therefore, the correct option is:
the total amount of goods, services, and transfer payments flowing out of the economy is more than the total amount flowing in.
A negative balance in the current account indicates that a country is importing more goods and services than it is exporting, which leads to an outflow of funds to other countries. This can result in a trade deficit, but it is not a definitive indication of a trade deficit because a country may also be running a surplus on the capital account or receiving foreign aid, which can offset the current account deficit.
Explanation:
Tango Company produces joint products M, N, and T from a joint process. This information concerns a batch produced in April at a joint cost of $140,000
Product Units Production and Sold Total Separable Costs Total Final Sales Value
M
12,000
$13,400 $180,000
N 6,000 10,000 160,000
T 7,000 5,200 29,000
Required:
How much of the joint cost should be allocated to each joint product using the net realizable value method? (Enter your answers in whole dollars.)
Product Allocated Joint Cost
M ___
N ___
T ___
The joint cost should be allocated to each joint product is M $71,400, N $61,600 and T $7,000
Joint costs refer to the costs incurred in producing two or more products or services that are produced together up to a certain point of production.
To calculate the joint cost allocation, first find the ratio of the total sales value of each product to the total sales value of all products.
M: $180,000 / ($180,000 + $160,000 + $29,000) = 0.51 N: $160,000 / ($180,000 + $160,000 + $29,000) = 0.44 T: $29,000 / ($180,000 + $160,000 + $29,000) = 0.05Then, multiply the ratio for each product by the total joint cost of $140,000.
M: 0.51 * $140,000 = $71,400 N: 0.44 * $140,000 = $61,600 T: 0.05 * $140,000 = $7,000Learn more about Joint cost: brainly.com/question/14158773
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Company X wishes to borrow U.S. dollars at a fixed rate of interest. Company Y wishes to borrow Japanese yen at a fixed rate of interest. The amounts the two companies require are roughly the same at the current exchange rate. The companies have been quoted the following interest rates, which have been adjusted for the impact of taxes:
After allowing for the bank's gain, what is the net gain for the two companies?
Yen USD
Company X 5.0% 9.6%
Company 6.5% 10.0%
The net gain for the two companies after allowing for the bank's gain is $11,000.
To determine the net gain for the two companies, we need to set up a currency swap between the two companies. Based on the interest rates provided, it makes sense for Company X to borrow USD and Company Y to borrow yen.
First, Company Y will borrow yen at 6.5% and lend it to Company X at 5.0%. Then, Company X will borrow USD at 9.6% and lend it to Company Y at 10.0%.
To calculate the net gain, we need to find the difference between the interest payments made by each company. Let's assume that both companies need to borrow $1,000,000 or its equivalent in yen.
Company Y's yen loan: Interest paid by Company Y = $1,000,000 * 6.5% = $65,000 Interest received by Company X = $1,000,000 * 5.0% = $50,000 Net yen interest paid by Company Y = $65,000 - $50,000 = $15,000
Company X's USD loan: Interest paid by Company X = $1,000,000 * 9.6% = $96,000 Interest received by Company Y = $1,000,000 * 10.0% = $100,000 Net USD interest paid by Company X = $96,000 - $100,000 = -$4,000
The net gain for the two companies is the sum of the net interest paid in yen and the net interest paid in USD:
Net gain = $15,000 + (-$4,000) = $11,000Therefore, the net gain for the two companies after allowing for the bank's gain is $11,000.
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A method for calculating the forecasted cost at completion assumes that the work to be performed on the remaining portion of the project or work package will be done at the same rate of efficiency as the work performed so far. If the cost performance index is greater than 1. 0, then _________. A. The FCAC is less than the TBC. B. The FCAC is greater than the TBC. C. The FCAC cannot be calculated with CPI. D. Additional information is needed to predict the FCAC,
The Cost Performance indicator is a system for calculating the profitability of a specific design. If the indicator is lesser than 1.0, also FCAC is lower than TBC; choice A is correct.
Cost Performance indicator( CPI) is a system of calculating the profitability and fiscal effectiveness of a given design using the following formula
CPI = Earned Value( EV)÷ factual Cost( AC).
A CPI lesser than 1 indicates that the design is performing well on a budget. However, it means that the design is performing well within budget If the index has a value lesser than 1.
A CPI of out of 1 means the design is on budget. A CPI below 1 means the design is over budget.
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alternative organizational structures for ics organizational design is a process that deals with how an international business should be organized in order to ensure that its worldwide business activities are able to be integrated in an efficient and effective manner. developing an understanding of the different ways in which international companies can be structured and key issues that managers must address in choosing among these various organizational designs is an essential skill for managers. this exercise examines several of the most common alternatives for structuring international organizations and key considerations associated with each alternative structure. match each characteristic with the organizational structure element it is most correctly associated with.
Here are some common alternative organizational structures for International Companies (ICs) and the characteristics associated with each structure: Geographic Structure, Product Structure, Matrix Structure, Functional Structure.
What characteristics does a basic organisational structure have?The following five elements make up an organisational structure: job design, departmentalization, delegation, span of control, and chain of command. These elements define the real organisational structure and make up an organisational chart.
Why is the structure of an organisation important?Organizational structures are crucial because they enable organisations adopt efficient decision-making processes. Businesses can make better decisions more quickly by giving specialised jobs to lower-level staff.
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You have recently been hired by Swan Motors, Inc. (SMI) in its relatively new treasury management department. SMI was founded eight years ago by Joe Swan. Joe found a method to manufacture a cheaper battery that will hold a larger charge, giving a car powered by the battery a range of 700 miles before requiring a charge. The cars manufactured by SMI are midsized and carry a price that allows the company to compete with other mainstream auto manufacturers. The company is privately owned by Joe and his family, and it had sales of $97 million last year. SMI primarily sells to customers who buy the cars online, although it does have a limited number of company-owned dealerships. Most sales are online. The customer selects any customization and makes a deposit of 20 percent of the purchase price. After the order is taken, the car is made to order, typically within 45 days. SMI’s growth to date has come from its profits. When the company had sufficient capital, it would expand production. Relatively little formal analysis has been used in its capital budgeting process. Joe has just read about capital budgeting techniques and has come to you for help. For starters, the company has never attempted to determine its cost of capital, and Joe would like you to perform the analysis. Because the company is privately owned, it is difficult to determine the cost of equity for the company. Joe wants you to use the pure play approach to estimate the cost of capital for SMI, and he has chosen Tesla Motors as a representative company. The following questions will lead you through the steps to calculate this estimate.
QUESTIONS
1. Most publicly traded corporations are required to submit quarterly (10Q) and annual reports (10K) to the SEC detailing the financial operations of the company over the past quarter or year, respectively. These corporate filings are available on the SEC website at www.sec.gov. Go to the SEC website, follow the "Search for Company Filings" link, and search for SEC filings made by Tesla Motors (TSLA). Find the most recent 10Q or 10K, and download the form. Look on the balance sheet to find the book value of debt and the book value of equity.
2.To estimate the cost of equity for TSLA, go to finance.yahoo.com and enter the ticker symbol TSLA. Follow the links to answer the following questions: What is the most recent stock price listed for TSLA? What is the market value of equity, or market capitalization? How many shares of stock does TSLA have outstanding? What is the most recent annual dividend? Can you use the dividend discount model in this case? What is the beta for TSLA? Now go back to finance.yahoo.com and follow the "Bonds" link. What is the yield on three-month Treasury bills? Using the historical market risk premium, what is the cost of equity for TSLA using CAPM?
3. You now need to calculate the cost of debt for TSLA. Go to finra-markets.morningstar.com, enter TSLA as the company, and find the yield to maturity for each of TSLA’s bonds. What is the weighted average cost of debt for TSLA using the book value weights and using the market value weights? Does it make a difference in this case if you use book value weights or market value weights?
4. You now have all the necessary information to calculate the weighted average cost of capital for TSLA. Calculate this using book value weights and market value weights, assuming TSLA has a 35 percent marginal tax rate. Which number is more relevant?
5. You used TSLA as a pure play company to estimate the cost of capital for SMI. Are there any potential problems with this approach in this situation?
Tesla (TSLA) dividend payment and yield history since 1971. Tesla (TSLAcurrent )'s TTM dividend payout is $0.00 as of February 17, 2023. Tesla's current dividend yield is 0.00% as of February 17, 2023.
Shares outstanding refer to a company's stock that is currently held by all of its shareholders, including institutional investors' share blocks and restricted shares owned by the company's officials and insiders. In a company's balance sheet, outstanding shares are listed under the heading "Capital Stock."
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the news began airing coverage of accidents that occurred in ford vehicles. this extensive coverage created fear for consumers, causing them to purchase fewer ford vehicles. this is an example of
The news began airing coverage of accidents that occurred in Ford vehicles. This extensive coverage created fear for consumers, causing them to purchase fewer Ford vehicles. This is an example of the media's influence on consumers' behavior.
Media influence is defined as the effect that the media has on our behavior, thoughts, and attitudes. The influence of the media on consumer behavior has been researched extensively, with research findings indicating that the media has a significant impact on consumers. The influence of the media on consumers can be both positive and negative. The media can influence us to adopt healthier lifestyles, make informed decisions, and buy products that we need. However, it can also influence us to develop bad habits, make poor decisions, and purchase goods and services that we don't need.
The news that began airing coverage of accidents that occurred in Ford vehicles had a significant effect on consumer behavior. Consumers were fearful and avoided purchasing Ford vehicles, which led to a decrease in Ford's sales.In summary, the extensive coverage of accidents that occurred in Ford vehicles created fear in consumers, causing them to purchase fewer Ford vehicles. This is an example of the media's influence on consumer behavior.
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A 2010 study of 240 randomly-selected residents of a subtropical resort city with 82,000 residents found that
5.4% of them had been exposed to the mosquito-borne virus that causes Dengue fever. Suppose the actual
percentage of people in the city who have been exposed to the virus is 3%. Let p = the proportion of
residents who have been exposed in a random sample of 240,
____ 18. Use Scenario 7-3. The mean p of p is
A. 0.03.
B. 0.054.
C. 7.2.
D. 13.
E. 240.
The mean of p is A) 0.03.
This is because the mean of p is equal to the actual percentage of people in the city who have been exposed to the virus, which is given as 3%. Therefore, the mean of p is 0.03.
It is important to note that the mean of p is not affected by the size of the sample, which is why the answer is not B. 0.054, C. 7.2, D. 13, or E. 240. These answers are all related to the sample size or the percentage of people in the sample who have been exposed to the virus, but they are not relevant to the mean of p.
In conclusion, the mean of p is equal to the actual percentage of people in the city who have been exposed to the virus, which is 3%, or 0.03.
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Use the Dividend Growth Model to compute the expected price of a stock in 4 years. Each share is expected to pay a dividend of $1.30 in one year. Investors' annual required rate of return is 10%, and the expected growth rate of the dividend is 5.7% per annum
The dividend growth model is a mathematical formula that investors use to calculate the intrinsic value of a stock based on the current dividend, the growth rate of the dividend, and the investor's required rate of return.
The formula for the dividend growth model is: P = D1/(r-g) where: P = expected price of the stock, D1 = dividend per share in the first year, r = investor's required rate of return, g = expected growth rate of the dividend.
Using the given data: Dividend per share in the first year, D1 = $1.30, Investor's required rate of return, r = 10%, Expected growth rate of the dividend, g = 5.7% per annum. To calculate the expected price of the stock in four years using the dividend growth model, we need to find the dividend per share in four years, D4.
We can use the formula for the future value of a growing annuity: FVGA = PMT * [(1 + g)n - 1]/g where: FVGA = future value of the growing annuity, PMT = payment (dividend) per period, g = growth rate, n = number of periods (years). So, using this formula, we can calculate the dividend per share in four years: D4 = $1.30 * [(1 + 5.7%)^4 - 1]/5.7% = $1.66.
We can now use the dividend growth model to calculate the expected price of the stock in four years: P = D4/(r-g)P = $1.66/(10%-5.7%)P = $39.77. Therefore, the expected price of the stock in four years using the dividend growth model is $39.77.
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