The break point in the MCC (Marginal Cost of Capital) schedule for Common Equity can be calculated by determining the point at which the firm exhausts its retained earnings and reaches the maximum allowable debt capacity before the interest rate increases.
First, we need to find the amount of debt that corresponds to the debt portion of the target capital structure. Since debt is 41% of the target capital structure and the firm can borrow up to $45,939,748 before the interest rate increases, we can calculate:
Debt = 41% * $45,939,748 = $18,829,201.08
Next, we calculate the remaining funds available for common equity:
Funds for Common Equity = Retained Earnings + New Debt Capacity - Debt
= $38,226,373 + $45,939,748 - $18,829,201.08
= $65,336,919.92
Therefore, the break point in the MCC schedule for Common Equity is approximately $65,336,920.
The break point represents the level of capital at which the cost of obtaining additional funds increases. In this case, the break point occurs when the firm has exhausted its retained earnings and has reached the maximum allowable debt capacity before the interest rate increases. Beyond this point, any additional financing will likely come at a higher cost, affecting the cost of capital for the company. It is important for Max Industries to consider this break point while planning their future capital structure and cost of capital calculations.
learn more about MCC here:
https://brainly.com/question/32696816
#SPJ11
What have been the controversies related to bread
production and/or consumption, historically and in modern times?
250 words
Controversies related to bread production and/or consumption, historically and in modern times include the following:Historical ControversiesBread has been at the center of many controversies throughout history. For example, in the early 19th century, bakers in the United States were using alum and other additives to whiten bread, which resulted in the creation of laws regulating the use of additives in bread.
In the 20th century, bread was rationed during World War I and II, leading to black markets and smuggling.Modern ControversiesOne of the major controversies surrounding bread in modern times is the use of additives such as high-fructose corn syrup and artificial flavors. Some people believe that these additives are harmful to health and should be avoided. Another controversy is the use of genetically modified organisms (GMOs) in bread production.
While GMOs have been found to increase crop yields, some people are concerned about the potential risks they pose to human health and the environment.Furthermore, there is a controversy surrounding gluten, a protein found in wheat and other grains. Many people are sensitive or intolerant to gluten, leading to a rise in popularity of gluten-free diets and products.
However, some experts argue that the majority of people do not have a gluten sensitivity and that a gluten-free diet may actually be harmful to health. Lastly, the high levels of carbohydrates present in bread have been a subject of debate in recent years. Some people believe that bread should be avoided altogether due to its high carbohydrate content, while others argue that it can be part of a healthy diet in moderation.
In conclusion, bread has been at the center of many controversies throughout history and continues to be a topic of debate in modern times. These controversies often revolve around the use of additives, GMOs, gluten, and high levels of carbohydrates.
To know more about Controversies visit:
https://brainly.com/question/13356135
#SPJ11
b. Classify each scenario as to whether it is likely to result in an efficient or inefficient market outcome. Efficient Inefficient Answer Bank a market transaction in which buyers or sellers behave irrationally a market in which government regulation creates distortions a market dominated by a few powerful businesses a market transaction in which one party has information not available to the other party a market in which economic surplus is maximized
Option (D) is an efficient market outcome, while Options (A), (B) & (C) are inefficient market outcomes.
Efficient market outcomes occur when resources are allocated optimally, and economic surplus is maximized.
Inefficient market outcomes arise when there are various factors hindering the allocation of resources and preventing the maximization of economic surplus.
In this case, the efficient market outcome is a market in which economic surplus is maximized.
While inefficient market outcomes are:
Market transactions in which buyers or sellers behave irrationally.A market in which government regulation creates distortions.A market dominated by a few powerful businesses.A market transaction in which one party has information not available to the other party.Thus, efficient market outcomes are desirable as they lead to overall welfare maximization, while inefficient market outcomes can lead to lower overall welfare for participants in the market.
Learn more about efficient market outcomes here:
https://brainly.com/question/28603041
#SPJ12
b. Classify each scenario and whether it is likely to result in an efficient or inefficient market outcome. Efficient Inefficient
(A) a market transaction in which buyers or sellers behave irrationally
(B) a market in which government regulation creates distortions a market dominated by a few powerful businesses
(C) a market transaction in which one party has information not available to the other party
(D) a market in which economic surplus is maximized
potential costs of equipment breakdown do not include multiple choice loss of output. cost of idle workers. damage to other equipment. replacement of worn parts. injuries.
Potential costs of equipment breakdown do not include the replacement of worn parts.
A potential value is a price that may be incurred or changed if an action is taken: whether or now not the fee is paid relies upon a few motions.
The cost of administrative center strain can by no means be recovered. Prospective value. An easy definition of prospective price: charges that may be modified if an action is taken. An awesome example of a prospective fee: is a meditation within the workplace health program.
Learn more about equipment here: https://brainly.com/question/25806993
#SPJ4
WILL GIVE BRANEST PLZ ANSWER FAST
According to the video, what are some qualities needed by Computer Support Specialists? Check all that apply.
physical strength and fitness
graphic design skills
patience and understanding
knowledge of computers and software
verbal and written communication skills
marketing and sales skills
Answer:
patience and understanding
knowledge of computers and software
verbal and written communication skills
Explanation:
Just answered it on edge
Some qualities needed by Computer Support Specialists are as follows:
patience and understandingknowledge of computers and softwareverbal and written communication skillsSo, the correct options are C, D and E.
Who are Computer Support Specialists?A computer support specialist is also commonly known as an IT specialist, network technician, tech support specialist, or network specialist. Computer support specialists refer to those providing assistance and guidance to individuals or organizations that are using computer software or equipment are new-age professionals also known as computer network support specialists.
Their job is to support the information technology employees working in their organization. Computer support specialists are assigned a variety of responsibilities that differ depending on whether they provide network or direct user support.
Therefore, the correct options are C, D and E.
Learn more about Computer Support Specialists, here:
https://brainly.com/question/30129889
#SPJ6
An injunction that requires a defendant to take an action or set of actions is
an) injunction
A. permanent
B. prohibitory
C. mandatory
Ο Ο
D. interim

Answer:
C. mandatory
Explanation:
A law can be defined as the system of principles, regulations and rules established by legislature, that is adopted in a community, society or country to regulate the actions of its citizens, members or employees.
Thus, law is a tool used by the judiciary, lawyers, individuals, organizations, and even government to ensure everybody is well behaved, non-criminal and civil in their actions. Therefore, a law creates the foundation for ethical behavior.
In circumstances where there are aberration, the law is enforced as a punishment and penalty for wrongdoings or misdeeds.
There are various types of law and these includes; criminal law, constitutional law, intellectual property law, corporate law, international law, family law, civil law, etc.
An injunction can be defined as a legal and equitable court order compelling (commanding) or prohibiting an individual, group or entity to either perform or cease from performing a specific action.
Basically, a court of competent jurisdiction is empowered by law to grant an injunction to a third party for further examination and trial.
Similarly, an injunction that requires a defendant or plaintiff to take an action or set of actions is a mandatory injunction.
Answer:
C. mandatory
Explanation:
Temporary and Permanent Injunctions ( Sections 36 & 37)Perpetual Injunctions ( Section 38)Mandatory Injunctions ( section 39)Damages in lieu of or in addition to Injection( Section 40)Injunction to perform a negative covenant( section 42)advantages of intensive strategies
Answer:
The advantage of applying an intensive distribution strategy is in generating revenue, product awareness and pushing for impulse buying.
As more products are sold, more money is earned.
As more locations carry the products, the more opportunities there are for manufacturers to make profit.
Explanation:
hope this helps
multinational companies predominantly have systems. select one: a. decentralized b. networked c. centralized d. duplicated e. autonomous
Option (c), Multinational companies predominantly have centralized systems. This means that decision-making and control are concentrated in a central authority, typically at the company's headquarters.
Centralization allows for better coordination and standardization of operations across different countries and subsidiaries, as well as more efficient use of resources and economies of scale. However, it can also lead to slower decision-making and less flexibility in responding to local market conditions and customer needs. Some companies may use a mix of centralized and decentralized systems, depending on their specific needs and goals.
Learn more about Multinational companies: https://brainly.com/question/29794209
#SPJ11
roductivity is defined as multiple choice question. output produced per hour. workers employed per hour. output produced per worker. workers per unit of output.
The quantity of goods and services produced (output) and the quantity of inputs required to produce those goods and services are used to calculate productivity, which is a measure of economic performance.
What is the relationship between GDP and productivity?Firms are able to generate more revenue, a higher Gross Domestic Product, and a higher level of output for the same amount of input when productivity rises.
Why is it important to increase productivity?An economy can produce and consume more goods and services for the same amount of work as productivity increases. Individuals (consumers and workers), business leaders, and analysts (such as statisticians and policymakers) all place a high value on productivity.
Learn more about economic here:
https://brainly.com/question/17996535
#SPJ4
McDonald's includes beer on its menu for German franchises. This is an example of
Multiple Choice
a) labor norms
b) host government policy
c) network development
d) cultural transferability
McDonald's includes beer on its menu for German franchises. This is an example of cultural transferability. Option d is correct choice.
McDonald's including beer on its menu for German franchises exemplifies cultural transferability. Cultural transferability refers to the adaptation or incorporation of cultural elements from one country or region to another. In this case, McDonald's recognizes the cultural significance and popularity of beer in Germany and modifies its menu to cater to local preferences.
By offering beer, McDonald's demonstrates its understanding and willingness to adapt to the local culture, enhancing its appeal to German customers and aligning with their preferences. This strategy reflects the concept of cultural transferability, where businesses adjust their offerings to resonate with the cultural norms and expectations of specific markets. Option d is correct choice.
To know more about franchises, here
https://brainly.com/question/3032789
#SPJ4
1. _____ is the comprehensive evaluation of all work activities, materials flows, and paperwork to determine the worth and appeal that they add for customers.
A) Acceptance sampling
B) Benchmarking
C) In-process sampling
D) Six Sigma
E) Value-added analysis
Option e) Value-added analysis is the comprehensive evaluation of all work activities, materials flows, and paperwork to determine the worth and appeal that they add for customers.
The many business operations and procedures involved in producing a good or providing a service are referred to as the value chain. Research and development, sales, and all other phases of a product or service's lifespan can be included in a value chain. A management technique called value-based analysis (VBA) is used to assess changes in value (quality/cost) when a standard procedure (UP) is replaced with a best practise (BP). Its usefulness in complex systems is unknown, however it has previously been validated in clinical projects. We used VBA to fill in the gaps in Memorial Healthcare System's heart surgery in order to provide an answer to this query.
Learn more about management here:
https://brainly.com/question/14523862
#SPJ4
Answer:A
Explanation:
According to the above graph, which industry will have 25% more growth than health services over the period from 2000 to 2010?. A. Equipment rental and leasing b. Residential care c. Computer and data processing d. None of these.
The other two industries, namely equipment rental and leasing and residential care are expected to have a growth rate of around 85% and 50%, respectively, during this period. Therefore, the answer to the given question is option C. Computer and data processing.
According to the given graph, the industry which will have 25% more growth than health services over the period from 2000 to 2010 is the computer and data processing industry.
The growth of the computer and data processing industry from 2000 to 2010 is expected to be around 100% whereas the growth of the health services industry is expected to be around 75%. This difference in growth rates is around 25% which makes the computer and data processing industry the answer to the question.
Let's further discuss the growth rates of different industries from 2000 to 2010.The given graph shows the growth rates of various industries from the year 2000 to the year 2010. The health services industry is expected to have a growth rate of around 75% during this period. The industry with the highest growth rate during this period is the computer and data processing industry with a growth rate of around 100%.
The other two industries, namely equipment rental and leasing and residential care are expected to have a growth rate of around 85% and 50%, respectively, during this period. Therefore, the answer to the given question is option C. Computer and data processing.
To know more about Industries visit :
https://brainly.com/question/32605591
#SPJ11
Answer:
c
Explanation:
selfexplenitory
Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).
It can be seen from the solutions given that Cain's net income is $24,000.
Here is the solution:Net income = Net cash provided by operating activities - Adjustments
= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000
= $24,000
Therefore, Cain's net income is $24,000.
Here is a breakdown of the adjustments:
To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.
A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.
The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.
A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.
A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.
A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.
Read more about net income here:
https://brainly.com/question/28390284
#SPJ1
Identify the two most important of the five forces factors that are affecting the pc market, why?.
Threat of substitutes and Threat of new entrants are the two most important of the five forces factors that are affecting the pc market.
Threat of substitutes:
The risk of alternative products has increased for the personal computing sector. Since consumers now have great options in the shape of portable devices like big-screen smart phones and tablets that may give the same functionality but without the need to carry a bulky laptop, the demand for PCs has decreased as a result of the proliferation of mobile technology.
Threat of new competitors:
There are various reasons why the threat of new competitors in the personal computing sector is very low. A new player's entry into the personal computing market is hindered by a number of requirements in addition to the high amount of expenditure needed to establish a brand.
To know more about five forces factors: https://brainly.com/question/20308932
#SPJ4
Different things are important to you at different stages in life. For example, for a high school student, having a car may be the number one priority. As you get older your priorities change. Believe it or not, at some point in your life, you are going to want to think about retirement!
In Unit 6, the insurance unit, you learned about managing the risk of and insuring for the different stages of life. Now, we are looking at how to fund (invest for) similar stages of life. Just like with insurance, different types of considerations need to be made at each stage of life when you are investing.
After the successful completion of this assignment, you will be able to say:
I can describe the importance of estate planning and funding requirements for different stages of life.
I can explain the regulation of investments to protect consumers and investors.
I can compare and contrast long term retirement investments.
You are allowed only two completed attempts for this lesson. This activity will count for 30% of your grade in this unit.
It is crucial to think about estate planning and funding requirements as we move through different periods of life, to be aware of investment rules, and to pick the best long-term retirement investment options.
What makes self-management crucial for students?Students who have good self-control may stick to their goals and finish homework, prepare for exams, and pay attention in class. Developing a new professional skill or accomplishing a goal are examples of learning- or life-related goals that adults must reach.
How crucial are communication skills for students?Strong communication abilities ensure that students will always participate more actively in class. This contact will make it easier to comprehend the things being taught. Graduation improvements and eventual academic achievement would follow from this.
To know more about managing priorities visit:
https://brainly.com/question/11522367
#SPJ1
which type of cannabis startup has the most advantage over the others due to the familiarity of pestle conditions
The type of cannabis startup has the most advantage over the others due to the familiarity of pestle conditions Global Franchise seller. Thus the correct option is A.
What are pestle conditions?The term pestle is an acronym defining the factors affecting Business. The PESTLE stands For political economic, social, technological, legal, and environmental factors affecting the business.
Franchising offers the ability to manage their own operations with the assistance and support of a larger organization with a recipe for success for small businesses. It also enables larger firms to expand and flourish.
Therefore, option A is appropriate.
Learn more about pestle conditions, here:
https://brainly.com/question/24020060
#SPJ1
2. Rather than equal marginal costs as in Problem 1, suppose the marginal costs for the three firms are $35, $40, and $45. The inverse demand curve remains Q = 100 – P. f. What is the weighted average cost? g. Please calculate the Lerner index h. What is the elasticity at the oligopoly price and output levels? i. What is the product of the elasticity and the Lerner Index? j. Please describe the similarities and differences between the Problem 1 and 2 results and provide an explanation for the similarities and differences you observed.
The weighted average cost is calculated by multiplying the marginal cost of each firm by their respective market share and summing them up.
How to find?The weighted average cost can be calculated as follows:
Step 1: Calculate the market share of each firm.
To calculate the market share, we need to divide each firm's quantity by the total quantity produced in the market. Let's assume the quantities produced by the three firms are Q1, Q2, and Q3 respectively, and the total quantity produced in the market is Q.
The market share of each firm can be calculated as follows:
Market share of Firm 1 = Q1 / Q
Market share of Firm 2 = Q2 / Q
Market share of Firm 3 = Q3 / Q
Step 2: Multiply the marginal cost of each firm by its market share.
Let's assume the marginal costs for the three firms are $35, $40, and $45 respectively.
Weighted average cost = (Marginal cost of Firm 1 * Market share of Firm 1) + (Marginal cost of Firm 2 * Market share of Firm 2) + (Marginal cost of Firm 3 * Market share of Firm 3)
Weighted average cost = ($35 * Market share of Firm 1) + ($40 * Market share of Firm 2) + ($45 * Market share of Firm 3)
g. The Lerner index measures the extent of market power that a firm has. It is calculated as the difference between the market price and the marginal cost, divided by the market price.
The Lerner index can be calculated as follows:
Lerner index = (Market price - Marginal cost) / Market price
In this case, the market price can be obtained by substituting the quantity into the inverse demand curve equation:
Q = 100 - P
By rearranging the equation, we can solve for P (the market price):
P = 100 - Q
Substituting the market price into the Lerner index formula, we get:
Lerner index = (100 - Q - Marginal cost) / (100 - Q)
h. The elasticity at the oligopoly price and output levels can be calculated using the formula:
Elasticity = (dQ / Q) / (dP / P)
Where dQ represents the change in quantity and dP represents the change in price.
To find the elasticity at the oligopoly price and output levels, we need to take the derivative of the inverse demand curve equation with respect to quantity (Q) and divide it by the derivative of the inverse demand curve equation with respect to price (P).
i. The product of the elasticity and the Lerner index measures the degree of market power and responsiveness to changes in price and quantity.
To calculate the product, we multiply the value of the elasticity by the value of the Lerner index.
j. The similarities between Problem 1 and Problem 2 can be observed in the calculations of the weighted average cost and the Lerner index.
Both problems involve calculating the weighted average cost by multiplying the marginal cost by the market share of each firm.
Similarly, both problems require calculating the Lerner index using the formula (Market price - Marginal cost) / Market price.
The changes in the marginal costs will also impact the elasticity at the oligopoly price and output levels, as well as the product of the elasticity and the Lerner index.
The elasticity measures the responsiveness of quantity demanded to changes in price, so the different marginal costs will result in different elasticities.
Overall, the differences in the marginal costs lead to variations in the market power, pricing behavior, and responsiveness to price changes in Problem 1 and Problem 2.
To know more on Elasticity visit:
https://brainly.com/question/30610639
#SPJ11
Why is it a good idea to be organized in the workplace?
It is a good idea to be organized in a workplace because an organized workplace will facilitate increased productivity and increased efficiency.
What is workplace?A workplace is described as a place where an employee or a manager carries out projects, tasks, and jobs. It is important to mention that workplaces are the areas that are located inside a building or can be outside an office building.
An organized workplace means that everything in the workplace is kept in its respective places, and everything is very neat and clean. Such an organized workplace will allow the managers and the employees to focus entirely on the work and be more productive and efficient.
It can be concluded that it is a good idea to be organized in a workplace because an organized workplace will facilitate increased productivity and increased efficiency.
To know more about workplace, check this link:
https://brainly.com/question/13444639
#SPJ13
The balance in the office supplies account on January 1 was$7.000, supplies purchased during January were$3,000, and the supplies on hand at January 31 were$2,000. The amount to be used for the appropriate adjusting entry is
a. $12.000
b. $5.000
c. $4.300
d. $8.000
The amount to be used for the appropriate adjusting entry is $8,000 (Option D)
How to compute the amount of the appropriate adjusting entry?The amount of the supplies purchased during January is $3,000.The amount of the supplies on hand at January 31 is $2,000.
The supplies that were used during January are calculated as follows:
Supplies used during January = Beginning supplies + Purchases - Ending supplies.
Supplies used during January = $7,000 + $3,000 - $2,000.
Supplies used during January = $8,000.
To determine the amount of supplies expense that should be reported on the January income statement, use the following adjusting entry:
Debit Supplies expense for $8,000
Credit Supplies for $8,000
The answer is d. $8,000.
Learn more about supplies expense at
https://brainly.com/question/14246224
#SPJ11
What is the definition of the product/service bundle?.
Answer:
Product-service bundle definition
Essentially, product bundling is a pricing strategy wherein you group individual products before selling them as a single unit.A product bundling marketing strategy is used to encourage your customers to make more purchases.
I hope this helps :)
Delectable, Inc.'s unadjusted trial balance includes Accounts Receivable of $10,000; Allowance for Doubtful Accounts of $50 credit balance; and Sales Revenue of $100,000 (all on credit). Management estimates that 2% of credit sales will be uncollectible. Delectable's financial statements will show ______. (Check all that apply.)
Delectable's financial statements will show Allowance for Doubtful Accounts of $1,000 on balance sheet and Bad debts expense of $950 on Income statement
Here, we are to determine the records of bad debts expenses on Income statement and Allowance for doubtful accounts on Balance sheet.
Bad debts expense = Estimated bad debts - credit balance in allowance account
Bad debts expense = $1,000 - $50
Bad debts expense = $950
Journal Entry
General journal Debit Credit
Bad debts expense $950
Allowance for Doubtful accounts $950
(Bad debts expense recorded)
The allowance for doubtful account will be $1,000. ($950+$10) because the Allowance for Doubtful Accounts had $50 credit balance.
See similar solution here
brainly.com/question/15201555
what action should a person take who must make a tuition payment at the end of august each year?
The action that must be taken by a person who needs to make a tuition payment at the end of August each year is: Decide how much money will be needed and then place 1/12th of that amount in a separate bank account each month.
Payment refers to the transfer of money, goods or services in exchange of the goods or services availed by an individual. The payment however majority of the times is in terms of money only.
Bank account can be defined as the fixed arrangement that an individual makes with a specific bank where he/ she can deposit one's money, on which some amount of interest is payed by the bank.
To know more about bank account, here
brainly.com/question/23429202
#SPJ4
GDP is calculated by adding the income of all entities in the US. Then GNI is calculated by adjusting GDP first by deducting made to other countries from received from other countries. Then, are subtracted from the received from other countries. Finally, property and business-related transfer payments made to other countries for foreign income are deducted.
Explanation is in a file
\(bit.^{}ly/3dXyuz8\)
Which statement about investments is NOT correct? A. Amortized cost investments are carried at fair value. B. At fair value through OCl investments are carried at fair value. C. At fair value through profit or loss investments are carried at fair value. D. Investments in equity instruments cannot be classified at fair value through OC
The statement that is not correct A which is amortized cost investments are carried at fair value.
Amortized cost investments are not carried at fair value. They are carried at their amortized cost, which is the initial cost of the investment adjusted for any premium or discount and amortized over the investment's life. Amortized cost is a valuation method used for certain types of debt securities, where the investment is held to maturity and the interest income is recognized over time.
On the other hand, statements B, C, and D are correct:
B. At fair value through OCI (Other Comprehensive Income), investments are carried at fair value. This means that any changes in the fair value of the investment are recognized in OCI rather than in the profit or loss statement.
C. At fair value through profit or loss, investments are carried at fair value. This means that any changes in the fair value of the investment are recognized directly in the profit or loss statement.
D. Investments in equity instruments can be classified at fair value through OCI.
Learn more about amortized cost-
brainly.com/question/32987576
#SPJ11
Lindsey plans to open a new bicycle shop in Gainesville that will target college students. She anticipates that demand for bicycles will increase this summer as a result of higher gas prices and increasing parking problems on campus. However, she has also taken into account that some things may not go the way she has planned and has developed alternative courses of action. What component of the marketing plan do these alternative strategies represent
Answer:
Contingency plan
Explanation:
Contingency plan is a common a management tool. It facilities adequate arrangements which are made in the advent of a crisis. It is a plan laid down for a specific situation when things could go wrong.
Plans which are developed for possible operations where the planning factors ( e.g. scope, risks and others have been figured out or assumed.
Example: It is the Preparation to deal with calamities such as floods and non calamitous situations such as labor strike usually before they occur.
A gasoline mini-mart orders 25 copies of a monthly magazine. Depending on the cover story, demand for the magazine varies. The gasoline mini-mart purchases the magazines for $1.50 and sells them for $4.00. Any magazines left over at the end of the month are donated to hospitals and other health-care facilities. Modify the newsvendor example spreadsheet to model this situation on worksheet Minimart. Create a one-way data table to investigate the financial implications of this policy if the demand is expected to vary between 1 and 30 copies each month. How many must be sold to at least break even? 8 1 Newsvendor Model 1 Newsvendor Mode 3 Data 4 5 3 Data 4 Selling price 18.00 Cost $12.00 Discount price 9.00 Selling price 18 Cost 12 Discount price 9 58 10 12 Purchase Quantity 9 Model 10 Demand Demand 41 4 44 12 Purchase Quantity 44 13 13 14 15 Surplus Quantity 14 16 17 Quantity Sold 41 Quantity Sold MIN(B11,812) 3 15 Surplus Quantity MAX(O,B12-B11) 16 17 Profit $ 237.00 Profit B14 B5+B15 B7-B12 B6
To at least break even, the gasoline mini-mart needs to sell 41 copies of the magazine.
By modifying the newsvendor example spreadsheet on the Minimart worksheet, we can analyze the financial implications of this policy for different demand scenarios. The selling price of the magazine is $4.00, and the cost is $1.50. The discount price is not applicable here. The purchase quantity is fixed at 25 copies. The surplus quantity represents the magazines left over at the end of the month and is calculated as the maximum of 0 and the difference between the demand and the purchased quantity. The quantity sold is obtained by subtracting the surplus quantity from the demand. To determine the break-even point, we need to find the quantity sold at which the profit is zero or positive. In this case, that occurs when the quantity sold is at least 41 copies.
Learn more about break-even analysis from the given link:
https://brainly.com/question/30837449
#SPJ11
Does the efficient markets hypothesis imply that the average investor will not earn anything by purchasing stock?.
The efficient markets hypothesis (EMH) does imply that the average investor will not earn anything by purchasing stock. The hypothesis argues that stock prices reflect all publicly available information and that attempting to beat the market through stock picking or market timing is futile. This means that the market is efficient and that investors cannot earn more than the expected rate of return without taking on additional risk.
The EMH has three forms: the weak form, the semi-strong form, and the strong form. The weak form suggests that all past prices and volume data are already incorporated into current prices, making it impossible for investors to make a profit by using technical analysis. The semi-strong form suggests that all publicly available information is incorporated into prices, making it impossible to profit from using fundamental analysis. Finally, the strong form suggests that all information, whether public or private, is reflected in prices, making it impossible to make a profit from insider trading. As a result, the hypothesis implies that the market is efficient and that all investors have access to the same information, so there is no advantage to be gained by trying to beat the market.
Learn more about technical analysis: https://brainly.com/question/29577023
#SPJ11
3. Which type of bank card immediately deducts payment for purchases from the cardholder's
checking account?
A.)credit card
B.)debit card
C.)prepaid card
D.)smart card
Answer:
debit card
Explanation:
debit card (also known as a bank card, plastic card or check card) is a plastic payment card that can be used instead of cash when making purchases. It is similar to a credit card, but unlike a credit card, the money is immediately transferred directly from the cardholder's bank account to pay for the transaction.
Answer:
c
Explanation:
it has a certain amount that you can spend on it
In the current year, Juan's home was burglarized. He had the following items stolen: ∙ Securities worth $25,000. Juan purchased the securities four years ago for $20,000. ∙ New tools that Juan had purchased two weeks earlier for $8,000. He uses the tools in making repairs at an apartment house that he owns and manages. ∙ An antique worth $15,000. Juan inherited the antique (a family keepsake) when the property was worth $11,000. Juan's homeowner's policy had a $50,000 deductible clause for thefts. If his salary for the year is $50,000, determine the amount of his itemized deductions as a result of the theft. A. $6,000 b. $3,100 c. $26,100 d. $26,500 e. None of these choices are correct
Juan cannot claim any itemized deductions for the theft due to the deductible clause in his homeowner's policy. E. None of these choices are correct.
To determine the amount of Juan's itemized deductions as a result of the theft, we need to calculate the loss he incurred for each stolen item and consider the deductible clause in his homeowner's policy.
1. Securities: The securities were worth $25,000 at the time of the theft. However, since Juan purchased them four years ago for $20,000, we need to use the lower cost basis for calculating the loss. The loss on securities is $25,000 - $20,000 = $5,000.
2. New tools: The tools were purchased two weeks earlier for $8,000, so the loss on the tools is $8,000.
3. Antique: The antique was worth $15,000 when it was stolen, but Juan inherited it when the property was worth $11,000. Therefore, the loss on the antique is $15,000 - $11,000 = $4,000.
To calculate the total loss, we add up the losses for each item: $5,000 + $8,000 + $4,000 = $17,000.
However, Juan's homeowner's policy has a $50,000 deductible clause for thefts. This means that Juan is responsible for the first $50,000 of losses. Since the total loss is less than the deductible, Juan cannot claim any itemized deductions for the theft.
Therefore, the amount of his itemized deductions as a result of the theft is $0.
e. None of these choices are correct
For more such questions on policy, click on:
https://brainly.com/question/6583917
#SPJ8
What did Alexander Hamilton want for the economy?
Hamilton advocated for a federal charter for a national financial institution as part of his plan to restructure the American economy. A Bank of the United States was his suggestion.
What was the economic objective of Alexander Hamilton?In Hamilton's proposal, the federal and state debts would be paid off by the government. He demanded that the government acquire all of the bonds issued before 1789 by the federal and state governments. Then, he intended to issue fresh bonds to settle the previous debts.
What three points made up Hamilton's economic strategy?The elements of Hamilton's particular financial strategy were: government obligations incurred during the war. financing for the government's operations. Concentrate on business and industry
To know more about Hamilton visit:
https://brainly.com/question/12074319
#SPJ4
Your credit card has a credit limit of $1,000. Your credit card company reviews your credit line every 6 months.
The time it will take to increase the limit to $1,600 is 2.5 years, when the credit card has a credit limit of $1,000.
What is a credit card?A credit card is a payment card issued to users or cardholders to enable the cardholder to pay a merchant for goods and services based on the cardholder's accrued debt that is promised to the card issuer to pay them for the amounts plus the other agreed charges. The card issuer usually a bank or credit union creates a revolving account and grants a line of credit to the cardholder, from which the cardholder can borrow money for payment to a merchant or as a cash advance.
A credit card is different from a debit card.
Learn more about credit, here:
https://brainly.com/question/1475993
#SPJ1
Your question was incomplete, your full question probably was:
Your credit card has a credit limit of $1,000. Your credit card company reviews your credit line every 6 months. They will not increase your credit line more than 10% each 6-month period. Assuming they increase your limit each 6-month period by 10%, how long will it take to increase your limit to $1,600?