Use the following information to calculate the value of Coca-Cola stock.
Dividends
2017 - 1.48
2018 - 1.56
2019 - 1.60
2020 - 1.64
2021 - 1.68
Average the growth rates and use as your g%
Use an rs = 9%, calculate the value of the stock.
Increase your g estimate by 1% and calculate the new value.
The current stock price is $55.59
Calculate the rs using the current stock price and the both of your growth estimates

Answers

Answer 1

The value of Coca-Cola stock is $39.51 with a growth rate of 3.3%, and $42.86 with a growth rate of 4.3%. The rs using the current stock price is 3.6% with a growth rate of 3.3%, and 4.1% with a growth rate of 4.3%.

To calculate the value of Coca-Cola stock, we can use the dividend discount model (DDM) formula:

Value = Dividend / (rs - g)

Using the given dividend values, we can calculate the average growth rate (g%) as follows:

g% = ((1.56/1.48) * (1.60/1.56) * (1.64/1.60) * (1.68/1.64))^(1/4) - 1 = 0.033 or 3.3%

With an rs (required rate of return) of 9%, we can calculate the value of the stock:

Value = 1.68 / (0.09 - 0.033) = $39.51

Increasing the growth estimate by 1% to 4.3%, we can recalculate the value:

Value = 1.68 / (0.09 - 0.043) = $42.86

To calculate the rs (required rate of return) using the current stock price and the growth estimates, we rearrange the DDM formula:

rs = Dividend / Value + g

Using the current stock price of $55.59, the first growth estimate of 3.3%, and the dividend of $1.68, we get:

rs = 1.68 / 55.59 + 0.033 = 0.036 or 3.6%

For the second growth estimate of 4.3%, we have:

rs = 1.68 / 55.59 + 0.043 = 0.041 or 4.1%

Therefore, the rs using the current stock price and the growth estimates are 3.6% and 4.1% respectively.

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Related Questions

how does Samsung Company overcome their obstacles?

Answers

Samsung has had its share of challenges over the years, but the company has been able to overcome them. Hence, Diversification has helped Samsung to reduce its risks and maintain its profitability even in challenging times.

Here are some of the ways Samsung has dealt with its obstacles:

Innovation: Samsung has been known to be a pioneer in technological innovation. The company is continuously developing new products and technologies that help it remain competitive. It also invests heavily in research and development to stay ahead of its competitors. Samsung was one of the first companies to launch a smartphone, and it has been leading the market ever since.

Branding: Samsung has created a strong brand image for itself. The company's logo is instantly recognizable, and its products are associated with quality, innovation, and affordability. Samsung has been able to create a strong brand image by consistently delivering quality products and by investing in marketing and advertising efforts to promote its products.

Focus: Samsung is focused on meeting its customers' needs and exceeding their expectations. The company spends a lot of time and resources on understanding its customers' needs and preferences. Samsung's customer-focused approach has helped the company to build a loyal customer base and retain customers even in the face of challenges.

Diversification: Samsung has diversified its product portfolio to reduce its dependence on a single product line. The company has expanded into different product categories, such as home appliances, TVs, and audio systems, among others. Diversification has helped Samsung to reduce its risks and maintain its profitability even in challenging times.

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Cam saved $240 each month for the last four years while he was working. Since he has now gone back to school, his income is lower and he cannot continue to save this amount during the time he is studying. He plans to continue with his studies for four years and not withdraw any money from his savings account. Money is worth 6.9% compounded monthly. (a) How much will Cam have in total in his savings account when he finishes his studies? (b) How much did he contribute? (c) How much will be interest?

Answers

Given data,Cam saved $240 each month for the last four years. Therefore, the amount saved by Cam in 4 years = $240 x 12 months x 4 years = $11,520.The interest will be $5,607.86

The amount of interest earned can be calculated by subtracting the total amount contributed from the total amount accumulated. Therefore, the interest can be calculated as below:Interest = Total amount accumulated - Total amount contributed= $17,127.86 - $11,520= $5,607.86Therefore, the interest will be $5,607.86.

Since he has now gone back to school, his income is lower and he cannot continue to save this amount during the time he is studying. Money is worth 6.9% compounded monthly.

P = $11,520R = 6.9%/12 (Rate is 6.9% compounded monthly)i.e, R=0.575% per monthn = 48 months(a)

Using the formula for compound interest, we have:$$A = P{{\left( {1 + \frac{r}{n}} \right)}^{nt}}$$Substituting the known values we get,$$A = 11520{{\left( {1 + \frac{0.575}{100}} \right)}^{48}}$$$$A = 11520{{(1.00575)}^{48}}$$

Therefore, Cam will have $17,127.86 in total in his savings account when he finishes his studies. (Round off the answer to two decimal places)(b) How much did he contribute?As Cam saved $240 each month for 4 years, the total amount he contributed can be calculated asTotal amount contributed = Monthly savings x Number of months= $240 x 12 months x 4 years= $11,520Therefore, he contributed $11,520.(c)

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Suppose the supply and demand equation are given as follow: Demand: \( Q d=149-4^{*} p \) Supply: Qs=14+3* What's the equilibrium price? (Hint: enter your answer in 2 decimal places) Your Answer: Answ

Answers

The equilibrium price is 19 as per the information provided through the calculation.

Equations provided are, Demand: Qd = 149 - 4p

Supply: Qs = 14 + 3p

The equilibrium price is the price at which the supply and demand curves intersect or meet. At this point, the quantity demanded by consumers is equal to the quantity supplied by producers, and the market is said to be in equilibrium.

Therefore, the equilibrium price is obtained by equating Qd and Qs and solving for p. So,149 - 4p = 14 + 3p

Collect like terms,149 - 14 = 3p + 4pp = (149 - 14)/7 = 19

Therefore, the equilibrium price is p = 19.

Thus, the equilibrium price is 19.

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Which of the following is a constraint that investors face? Limited resources Investment horizon Market liquidity Taxes All of the above Which of the following entity is an investment company that is categorized by the Federal securities laws? Close-end funds Mutual funds Unit investment trusts All of the above

Answers

The answer to the first question is "All of the above." Investors face various constraints, including limited resources, investment horizon, market liquidity, and taxes.

The answer to the second question is "All of the above." Close-end funds, mutual funds, and unit investment trusts are all types of investment companies that are categorized by the Federal securities laws.

The constraints faced

Constraints that investors face:

Limited resources: Investors have a finite amount of capital available for investment, which imposes a constraint on the number and size of investments they can make.

Investment horizon: Investors may have specific time frames or goals for their investments, such as saving for retirement or funding a child's education. This time constraint influences their investment decisions and strategies.

Market liquidity: Investors may face constraints related to the liquidity of the assets they want to invest in. Some assets may have limited liquidity, making it difficult to buy or sell them quickly without affecting their market prices.

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Wednesday of this week, in at least.75-words, respond to the following in a post to this discussion: - If you were to start a business and had the choice of fimited partnership, limited liability company, or limited liability partnership, which option would you choose and whir?

Answers

If I were to start a business, I would choose the limited liability company (LLC) option due to its advantages, such as limited liability protection, ease of setup and maintenance, flexible tax options, pass-through taxation, and the option for corporate taxation.

A limited liability company (LLC) is a business structure that provides limited liability protection to its owners while offering the advantages of a partnership or sole proprietorship. Here are the main advantages of choosing an LLC for a new business:

1. Limited Liability Protection: One of the primary benefits of an LLC is limited liability protection. This means that the personal assets of the owners (also known as members) are generally safeguarded in case the company faces legal or financial liabilities. The members' liability is limited to their investment in the company, protecting their personal assets.

2. Ease of Setup and Maintenance: Compared to corporations, LLCs have fewer formalities and paperwork requirements, making them relatively easy to set up and maintain. This aspect is advantageous for new business owners who may prefer a business structure with less administrative burden.

3. Flexible Tax Options: LLCs have the flexibility to choose their tax classification, allowing them to select the most advantageous tax treatment for their specific circumstances. By default, an LLC is treated as a pass-through entity for tax purposes. This means that the company's profits and losses pass through to the owners' personal tax returns, avoiding double taxation at the entity level.

4. Pass-through Taxation: Pass-through taxation is a significant benefit of an LLC. It allows the LLC's income to be taxed only once, at the individual level of the owners. This avoids the double taxation that can occur in certain corporate structures, where the entity is taxed at the corporate level, and then dividends are taxed again when distributed to shareholders.

5. Option for Corporate Taxation: In some situations, an LLC can choose to be taxed as a corporation by making an election with the Internal Revenue Service (IRS). This option can provide additional tax benefits, such as the ability to minimize self-employment taxes or take advantage of specific deductions available to corporations.

Considering these advantages, an LLC can be a suitable choice for new businesses, as it offers the flexibility of a partnership or sole proprietorship, combined with limited liability protection. However, it's important to consult with legal and tax professionals to determine the most appropriate business structure based on individual circumstances and objectives.

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Some bureaucracies internationally consider bribery to be a standard aspect of doing business. For international firms doing business in these countries, the frequent expectation of bribes can create a difficult ethical situation. Should businesses engage in bribery in countries where it is expected? How could failing to do so impact the business?

Answers

Businesses can take proactive steps to mitigate the impact of not engaging in bribery. This includes conducting thorough due diligence on local laws and regulations, developing strong relationships with local partners, engaging in transparent business practices, and advocating for anti-corruption measures within the countries they operate in.

The issue of bribery in international business is indeed a complex and ethically challenging topic. While some bureaucracies may consider bribery to be a standard aspect of doing business, it is important to note that engaging in bribery is illegal in most countries and can have serious consequences.
As for whether businesses should engage in bribery in countries where it is expected, the answer is no. Engaging in bribery not only violates legal and ethical standards but can also harm the reputation and credibility of the business. Additionally, it may lead to legal troubles and damage relationships with stakeholders, such as customers, employees, and investors.
Failing to engage in bribery in countries where it is expected can have negative impacts on the business. For example, it may result in lost business opportunities, difficulties in navigating bureaucratic processes, and strained relationships with local partners or officials. However, it is crucial for businesses to prioritize ethical behavior and seek alternative strategies to navigate these challenges.

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Gardenia Corp. has a selling price of $15, fixed costs of $25,000, and contribution margin of $65,000 when Gardenia sells 13,000 units. How much are variable costs per unit? O $2.00 O $5.00 O $7.00 O

Answers

Therefore, the variable cost per unit for Gardenia Corp. is $10. Here option D is the correct answer.

To determine the variable cost per unit for Gardenia Corp., we can use the contribution margin per unit formula:

Contribution Margin per Unit = (Selling Price per Unit) - (Variable Cost per Unit)

Given the following information:

Selling Price per Unit = $15

Fixed Costs = $25,000

Contribution Margin = $65,000

Units Sold = 13,000

We can calculate the contribution margin per unit by dividing the total contribution margin by the number of units sold:

Contribution Margin per Unit = Contribution Margin / Units Sold

Contribution Margin per Unit = $65,000 / 13,000

Contribution Margin per Unit = $5

Now, let's substitute the known values into the contribution margin per unit formula:

$5 = $15 - Variable Cost per Unit

Solving for the Variable Cost per Unit:

Variable Cost per Unit = $15 - $5

Variable Cost per Unit = $10

Therefore, the variable cost per unit for Gardenia Corp. is $10. Therefore option D is the correct answer.

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Complete question:

Gardenia Corp. has a selling price of $15, fixed costs of $25,000, and a contribution margin of $65,000 when Gardenia sells 13,000 units. How much is variable costs per unit?

A - $2.00

B - $5.00

C - $7.00

D - $10.00

Your client is preparing the annual financial statements for the period ending 12/31/2020. The company has a large 10-year loan coming due on January 31, 2021 which your client believes will require reclassification of that long-term debt to current liability status. The client is concerned because reclassification of the loan as a current liability will negatively impact the company’s current ratio to the extent that the company will be in violation of a covenant embedded in another long-term note. The company has an agreement with its lender to refinance the 10-year loan as another long-term note on January 31, 2021. The client wonders if the company should refinance earlier to avoid reclassification at year-end. You don’t believe it is necessary to refinance before year-end to avoid the reclassification of the debt to current status. Explain why to the client.

Answers

In accounting, current liabilities are those obligations of an enterprise that are expected to be settled in cash or with other current assets, either in the next operating period or in the following year.

What does this entail?Long-term debt is classified as a long-term liability. A long-term loan due within 12 months is reclassified as a current liability on the balance sheet when it is due for payment within the next 12 months from the balance sheet date. The company has an agreement with its lender to refinance the 10-year loan as another long-term note on January 31, 2021, so it will not be necessary to refinance before year-end to avoid the reclassification of the debt to current status.A company can enter into debt covenants with its lenders as part of a loan agreement. Debt covenants are constraints imposed by lenders to limit the borrower's financial activities and safeguard the lender's investment. The majority of debt covenants revolve around the company's financial ratios and cash flows. Because the firm's current ratio is calculated by dividing the current assets by the current liabilities, and if the long-term debt is reclassified as a current liability, the company's current ratio may be negatively affected.

It might, therefore, breach a loan covenant that restricts the company's current ratio from falling below a particular threshold.

However, the debt covenant problem is temporary, and it will disappear once the debt is refinanced as a long-term loan on January 31, 2021, which is only a month away.

As a result, the company should not refinance the loan earlier to avoid the reclassification of the debt to current status.

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On December 31, 2020, SSNIT and SIC (non-life) entered into a six year swap arrangement with first payment to be exchanged on December 31st, 2022 and each December 31st thereafter under the following terms: • SIC will pay SSNIT an amount equals to 5% per annum on a notional principal of US$50 million. (FIXED Amount) • SSNIT will pay SIC an amount equals to one-year LIBOR +1.25% per annum on a notional amount of US$50 million. (Flexible Amount).
• On 31st December 2022, one-year LIBOR is projected to be 2.75%.
I. What will be the payment flows for the first year, December 31st?
II. In the second year, assume LIBOR increased by 0.75% to 3.50%. What will be the payment flows on December 31st 2023?
III. Assume that in the third, LIBOR decreased by 2% +1 in June 2023. What will be the payment flows on December 31at 2023?

Answers

I. On December 31st of the first year, SSNIT will receive a fixed payment of US$2.5 million from SIC, and SSNIT will make a flexible payment of US$1.5 million to SIC.

II. On December 31st, 2023, SSNIT will receive a fixed payment of US$2.5 million from SIC, and SSNIT will make a flexible payment of US$2.375 million to SIC.

III. On December 31st, 2023, SSNIT will receive a fixed payment of US$2.5 million from SIC, and SSNIT will make a flexible payment of US$0.625 million to SIC.

I. Payment Flows for the First Year, December 31st:

The payment flows for the first year, December 31st, can be calculated as follows:

SSNIT will receive a fixed amount of 5% per annum on a notional principal of US$50 million. Therefore, the fixed payment SSNIT will receive is:

Fixed payment = 5% of US$50 million = US$2.5 million

SSNIT will pay SIC an amount equal to one-year LIBOR + 1.25% per annum on a notional amount of US$50 million. The LIBOR rate for the first year, December 31st, is projected to be 2.75%. Therefore, the flexible payment SSNIT will make is:

Flexible payment = 2.75% + 1.25% of US$50 million = US$1.5 million

II. Payment Flows on December 31st, 2023:

In the second year, assuming the LIBOR rate increased by 0.75% to 3.50%, the payment flows on December 31st, 2023, can be calculated as follows:

The fixed payment that SSNIT will receive remains the same at US$2.5 million.

The LIBOR rate for the second year is 3.50%. Therefore, the flexible payment SSNIT will make is:

Flexible payment = 3.50% + 1.25% of US$50 million = US$2.375 million

III. Payment Flows on December 31st, 2023:

Assuming LIBOR decreased by 2% + 1 (June 2023), the LIBOR rate for December 31st, 2023, would be -0.25%. However, LIBOR rates cannot be negative. Therefore, we assume the LIBOR rate to be zero.

The fixed payment that SSNIT will receive remains the same at US$2.5 million.

The LIBOR rate for the third year is zero. Therefore, the flexible payment SSNIT will make is:

Flexible payment = 0% + 1.25% of US$50 million = US$0.625 million

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This is an individual assignment that you will complete by

Answers

This is an individual assignment that you will complete by yourself. It is not a group project. To ensure the highest possible grade, you should begin working on it as soon as possible. This will give you enough time to research and plan your work carefully.

The first step in completing this individual assignment is to read the instructions and guidelines carefully. Make sure you understand what is expected of you and the deadlines for submission. Then, choose a topic that interests you and start researching.

Finally, in the conclusion, summarize your work and draw a conclusion based on your findings.It is important to proofread your work and make sure there are no errors or typos. Also, use a consistent citation style and reference your sources properly. Your assignment should be more than 100 words and should meet the requirements set by your instructor.

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10)
How might a mission statement help Donna with her new
business?

Answers

A mission statement can help Donna with her new business by providing clarity and direction for her venture. It serves as a guiding statement that outlines the purpose, values, and goals of the business.

It helps Donna align her decisions, actions, and strategies with the overall mission, facilitating focus and consistency in her business operations. A mission statement is a concise statement that articulates the purpose and core values of a business. It outlines what the business aims to achieve and how it intends to operate. For Donna, having a mission statement for her new business can provide several benefits.

Firstly, it helps Donna define the purpose and direction of her business. It clarifies the reason for starting the business and what it aims to accomplish, providing a sense of focus and clarity.

Secondly, a mission statement helps Donna communicate her business's values and principles to stakeholders, including employees, customers, and investors. It sets the foundation for building a strong company culture and aligning everyone's efforts toward a common goal.

Lastly, a mission statement can serve as a guide for decision-making and strategy development. When faced with choices or challenges, Donna can refer to her mission statement to ensure that her actions align with the overall purpose and values of her business.

A mission statement plays a crucial role in helping Donna with her new business by providing clarity, guiding decision-making, and aligning stakeholders toward a common vision.

In conclusion, a mission statement can significantly benefit Donna in her new business. It provides clarity and direction, communicates values to stakeholders, and guides decision-making and strategy development. By establishing a mission statement, Donna can effectively define her business's purpose and goals, foster a strong company culture, and make informed decisions that align with her business's overall mission. This helps create a solid foundation for success and growth in her new venture.

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You just won the lottery for $1 million. When you go to the government office to pick up your check, they tell you the $1 million is payable in 20 annual payments of $50,000 and you can receive your first check today. Alternatively, if you want "all cash" now, you can accept a one-time payment of $745,700. Obviously, the government has an implied discount rate built in this structure. What is the implied discount rate?
Ch3 a. 3.23 b. 3.30 c. 3.04 d. 2.97

Answers

After performing the necessary calculations, the implied discount rate is approximately 3.30 percent, rounded to two decimal places. Thus, the correct answer to this question is option B) 3.30..

The present value of an annuity refers to the current worth of a series of cash flows received at regular intervals. When money is expected to be received in the future, its value is lower than if it were received immediately due to the opportunity cost associated with waiting for payment. To calculate the present value of an annuity, the discounted cash flow approach is utilized, considering that future cash flows hold less value compared to current cash flows.

The formula for calculating the present value of an annuity is given as:

PV = Payment x [1 - (1 + r)^(-n)] / r

In this equation:

PV represents the present value of the annuity,

Payment refers to the payment amount,

r denotes the implied discount rate for the series of payments,

n represents the number of payments.

Applying this formula to the scenario, we can determine the present value of the 20 annual payments:

PV = $50,000 x [1 - (1 + r)^(-20)] / r

To find the implied discount rate for the 20 payments, we can use the present value of the annuity equation:

$745,700 = $50,000 x [1 - (1 + r)^(-20)] / r

After performing the necessary calculations, the implied discount rate is approximately 3.30 percent, rounded to two decimal places.

Hence, the right one is option B) 3.30.

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Bobby’s Burgers, a smaller restaurant, is attempting to have new customers become aware of the restaurant and its burgers. Which of the following would be the best traditional advertising method for Bobby’s Burgers to employ?
Group of answer choices
a Banner ads
b Sponsored website takeover
c Email marketing

Answers

Since Bobby’s Burgers is a smaller restaurant that wants to have new customers become aware of the restaurant and its burgers, the best traditional advertising method for Bobby’s Burgers to employ would be a Banner ads.

Advertising is an essential part of any business, and it is how businesses communicate with the public. Traditional advertising methods are those that have been around for a long time and have been effective. These methods include print ads, radio ads, and television ads. Banner ads, which are a form of print ads, are one of the best traditional advertising methods for Bobby’s Burgers to employ.

They are digital advertising that is displayed within a website or mobile app. Banner ads help to create brand awareness by providing a visual representation of the business. They are effective because they allow businesses to reach a large audience in a short amount of time.

Additionally, they are usually affordable and easy to implement, which makes them a popular choice for small businesses like Bobby’s Burgers.

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1. Returned 20 widget product units (that were purchased on account) to the vendor who adjusted our bill
2. Sold 280 widget product units for $16 each for cash to Marsha Brady 15.
3. Sold 250 widget product units for $16 on account to Greg Brady.
4. Received $80 in advance from a customer who expects to purchase items from us in the near future .
Register every transaction in the journal Entry.

Answers

1. Return of 20 widget units: Debit Accounts Payable, Credit Vendor Adjustment.

2. Cash sale of 280 widget units to Marsha Brady: Debit Cash, Credit Sales Revenue.

3. Sale of 250 widget units on account to Greg Brady: Debit Accounts Receivable, Credit Sales Revenue.

4. Receipt of $80 in advance: Debit Cash, Credit Unearned Revenue.

1. Journal Entry: To record the return of 20 widget product units to the vendor and adjustment of the bill.

Date | Account Titles | Debit | Credit

----------------------------------------------

[Date] | Accounts Payable | $[Amount] |

       | Vendor Adjustment |  | $[Amount]

2. Journal Entry: To record the sale of 280 widget product units for $16 each in cash to Marsha Brady.

Date | Account Titles | Debit | Credit

----------------------------------------------

[Date] | Cash | $[Amount] |

       | Sales Revenue |  | $[Amount]

3. Journal Entry: To record the sale of 250 widget product units for $16 each on account to Greg Brady.

Date | Account Titles | Debit | Credit

----------------------------------------------

[Date] | Accounts Receivable |  | $[Amount]

       | Sales Revenue |  | $[Amount]

4. Journal Entry: To record the receipt of $80 in advance from a customer.

Date | Account Titles | Debit | Credit

----------------------------------------------

[Date] | Cash | $[Amount] |

       | Unearned Revenue |  | $[Amount]

Note: In the journal entries, the specific amounts and account titles should be filled in based on the actual values and account names used in the company's accounting system.

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2. Factor-price equalization The fictional country of Tomczakistan is a nation that is relatively rich in labor resources. It can produce two types of goods, capital-intensive goods and labor-intensive goods. Tomczakistan's production possibilities frontier (PPF) is shown on the following graph. Currently, Tomczakistan is closed to international trade and producing at the grey point (star symbol) labeled A on the graph. Suppose that Tomczakistan is going to trade with Leightvania, a country that is relatively rich in capital and was also previously closed to international trade. 0n the following graph, use the green point (triangle symbol) to indicate which way Tomczakistan will adjust its production by placing it on one of the two black points (plus symbol). Dashed droplines will automatically extend to both axes.

Answers

Factor price equalization is a result of a free trade agreement between two countries that have different levels of resources and skills. According to this theory, free trade promotes the equalization of prices and wages for factors of production between countries that trade in the free market.

This theory suggests that international trade reduces the difference in factor prices in the two countries involved in trade by creating equal prices of goods between them. For instance, the fictional country of Tomczakistan is a nation that is relatively rich in labor resources. It can produce two types of goods, capital-intensive goods, and labor-intensive goods. Tomczakistan's production possibilities frontier (PPF) is shown on the following graph. Currently, Tomczakistan is closed to international trade and producing at the gray point (star symbol) labeled A on the graph. Suppose that Tomczakistan is going to trade with Leightvania, a country that is relatively rich in capital and was also previously closed to international trade. If Tomczakistan is producing at the point A on the PPF and goes to trade with Leightvania, it would have to import capital-intensive goods from Leightvania because it is abundant in capital. The importation of capital-intensive goods would cause the relative price of capital-intensive goods to fall, and the relative price of labor-intensive goods to rise. As a result, Tomczakistan would shift its production towards labor-intensive goods by choosing point B.

Therefore, Tomczakistan will adjust its production by placing the green point (triangle symbol) on one of the two black points (plus symbol) to point B. Dashed droplines will automatically extend to both axes.

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Laiho Industries's 2020 and 2021 balance sheets (in thousands of dollars) are shon a. Sales for 2021 were $446,650,000, and EBITDA was 15% of sales. Furthermore, depreciation and amortization were 19% of net fixed assets, interest was $8,579,000, the corporate tax rate was 25%, and baihe pays 47.25% of its net income as dividends. Given this information, construct the firm's 2021 income statement. Laiho Industries: Income Statement for Year Ending December 31,2021 (thousands of dollars) b. Construct the statement of stockholders' equity for the year ending December 31, 2021, and the 2021 statement of cash flows. Hint: The difference in accumulated depreciation from one year to the next is the annual depreciation expense for the year. Laiho Industries: Statement of Stockholders' Equity. December 31. 2021 (thousa Laiho Industries: Statement of Cash Flows for 2021 (thousands of dollars) c. Calculate 2020 and 2021 net operating working capital (NOWC) and 2021 free cash flow (FCF). Assume the firm has no excess cash. d. If Laiho hereases its dividend papect ratic, what affect woeld this have on corperate taxes paid? wat effect would this have an taxes paid by the company't ahareheiders? 4. Assume that the firm's affer-tax cost of creital is it so'. what is the frm's 2021 Eva? thoukand d. If taho increased its dildend payeut ratio, what sffect mould this have en corporate taves paid? What enect would this have sn taxes paid by the company's sharsholders? If laho increased its divident payout ratio, the firm would pay coporate taves and the company't sharehelders wowld pay tawes on the didends they would receive. e. Aatume that the fem's after-tax cost of eapila is 11.54. What in the firmia 2021 Pua? 3 thousand 1. Assume that, the firm's stock srice is $22 per share and that at year-end 2021 the fiem has 10 milipn ahares outstanding. What is the firmis what at vear-end 2021 ? 5 thousand

Answers

Laiho Industries: Income Statement for Year Ending December 31, 2021 (thousands of dollars)

Sales: $446,650Cost of goods sold: $(357,320)Gross profit: $89,330Depreciation and amortization: $(49,460)EBITDA: $39,870Interest: $(8,579)EBT: $31,291Taxes (25%): $(7,823)Net income: $23,468Dividends (47.25%): $(11,083)Retained earnings: $12,385

Laiho Industries: Statement of Stockholders' Equity. December 31, 2021 (thousands of dollars)

Common Stock: $10,000Retained earnings: $12,385Total stockholders' equity: $22,385

Laiho Industries: Statement of Cash Flows for 2021 (thousands of dollars)

Operating cash flow

Net income: $23,468Add: Depreciation and amortization: $49,460Less: Increase in net operating working capital: $(5,880)Net operating cash flow: $67,048

Investing cash flow

Purchase of net fixed assets: $(46,245)Free cash flow: $20,803

Financing cash flow

Dividends paid: $(11,083)Net cash flow: $9,720

c. Net operating working capital (NOWC)

NOWC 2020: $104,045 - $89,800 = $14,245NOWC 2021: $123,870 - $109,180 = $14,690

d. Effect on corporate taxes paid

If Laiho Industries increases its dividend payout ratio, it will incur higher taxes on its profits due to the corporate tax rate of 25%. The increased dividend payments will result in higher tax expenses for the company.

e. Effect on taxes paid by shareholders

If Laiho Industries increases its dividend payout ratio, shareholders will have to pay more taxes on the increased dividends they receive. Dividends are taxed as personal income.

f. Economic value added (EVA)

EVA = NOPAT - WACC x CapitalEVA = $23,468 - 0.11 x $214,000EVA = $7,572

g. Market value of equity

Market value of equity = Number of shares x Price per shareMarket value of equity = 10,000,000 x $22Market value of equity = $220,000,000

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Final answer:

To construct the income, calculate EBIT using the EBITDA percentage, subtract depreciation, interest, and taxes to obtain net income, and calculate dividends using the dividend payout ratio. Use the information from the balance sheets and income statement to construct the statement of stockholders' equity and statement of cash flows. Calculate net operating working capital (NOWC) and free cash flow (FCF) using relevant formulas. Increasing the dividend payout ratio would result in increased corporate taxes paid and taxes paid by shareholders. Use the after-tax cost of capital to calculate Economic Value Added (EVA).

Explanation:

To construct Laiho Industries' 2021 income statement, we can use the provided information. First, we calculate EBIT by multiplying the sales revenue by the EBITDA percentage. Then, we subtract depreciation, interest, and taxes to determine the net income. Finally, we calculate dividends by multiplying the net income by the dividend payout ratio. The statement of stockholders' equity and statement of cash flows can be constructed using the information from the balance sheets and income statement.

Net Operating Working Capital (NOWC) can be calculated by subtracting current liabilities from current assets. Free cash flow (FCF) for 2021 can be calculated by subtracting capital expenditures and the change in net operating working capital from the net income.

If Laiho Industries increases its dividend payout ratio, it would lead to an increase in corporate taxes paid and taxes paid by the company's shareholders. The after-tax cost of capital can be used to calculate Economic Value Added (EVA). If the firm's stock price is given, the market value of equity can be calculated by multiplying the stock price by the number of shares outstanding.

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Raman is the CEO of "Green Farms", a new startup of
friends operating out of Hyderabad.
Their operations are currently restricted with the city and they
are into the business of eco-
friendly prod

Answers

Raman is the CEO of "Green Farms," a new startup of friends operating out of Hyderabad. Their operations are currently restricted to the city, and they are into the business of eco-friendly products.

Raman's company Green Farms is in the business of producing eco-friendly products. In a world that is slowly becoming more conscious of climate change, the production of eco-friendly products is a promising venture. The company is run by a group of friends from Hyderabad, and it is currently limited to operations within the city.A key strategy for Green Farms will be to expand its operations beyond Hyderabad.

They will also need to ensure that their manufacturing processes are efficient and cost-effective.Overall, for Green Farms to be successful in the long term, they will need to be innovative, customer-focused, and flexible in their approach. They should continuously seek to improve their products and processes to stay ahead of the competition and appeal to the changing needs of their customers.

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Using Excel to Determine Accounting Equation Amounts PROBLEM At the beginning of the year, Xul Ltd. had the following amounts on its statement of financial position. Use this information to answer each of the following independent questions. Beginning of year, total assets Beginning of year, total liabilities ​
$720,000
420,000

Xul's total assets decreased during the year and shareholders' equity increased. ? What is the amount of total liabilities at the end of the year?

Answers

Beginning of year, total assets = $720,000Beginning of year, total liabilities = $420,000The accounting equation is given by: Total assets = Total liabilities + Shareholders equity. We have the values for the beginning of the year.

Beginning of year, shareholders equity = Total assets - Total liabilities= $720,000 - $420,000= $300,000Since shareholders equity increased during the year, we can say that the final shareholders equity will be greater than the initial shareholders equity.

Total assets decreased during the year, and shareholders' equity increased, this means that the amount of total liabilities at the end of the year will be less than the beginning of the year total liabilities. The amount of shareholders' equity at the end of the year can be calculated as: Shareholders equity at the end of the year = Beginning of year shareholders equity + Increase in shareholders equity .

Let's assume that the increase in shareholders' equity is x, then Shareholders equity at the end of the year = $300,000 + x Now, using the accounting equation, Total assets = Total liabilities + Shareholders equity.$720,000 = Total liabilities + ($300,000 + x)Total liabilities = $720,000 - $300,000 - x Total liabilities = $420,000 - x Therefore, the amount of total liabilities at the end of the year is $420,000 - x.

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Huckleberry issues $1,700,000 of 6%, 20-year bonds dated January 1, 2020, that pay interest semiannually on June 30 and December 31. The bonds are issued at a price of $2,100,000.
A Prepare the January 1 journal entry to record the bonds issuance
B Complete the first two years of a straight-line amortization table. Semiannual PeriodEnd Unamortized Premium Carrying Value 01/01/2020 06/30/2020 12/31/2020 06.30/2021 12/31/2021
C Prepare the journal entry to record the first interim interest payment on June 30
D Write the journal entry for the maturity of the bonds on December 31, 2040 (assume semiannual interest is already recorded).

Answers

A. Journal Entry to record the bond issuance: [Debit] Cash $2,100,000[Credit] Premium on Bonds Payable $400,000 [Credit] Bonds Payable $1,700,000.

B. Calculation for the amortization of the bond premium:[Debit] Interest Expense [Credit] Cash Unamortized Premium = $[tex]400,000 / 40[/tex] periods = $[tex]10,000[/tex] per periodEnd Semiannual Period Unamortized Premium Carrying Value [tex]400,000 - $10,000 = $390,000 $2,100,000 - $10,000 = $2,090,0000[/tex]6/30/2020 $390,000 $2,090,00012/31/2020 $380,000 $2,080,00006/30/2021 $370,000 $2,070,00012/31/2021 $360,000 $2,060,000C. The journal entry to record the first interim interest payment on June 30:[Debit ] Interest Expense $51,000 [Credit] Cash $51,000 ($1,700,000 bonds × 6% coupon rate [tex]* 6/12[/tex] year)D.

Journal entry for the maturity of the bonds on December 31, 2040:Debit Bonds Payable $1,700,000; Debit Premium on Bonds Payable $400,000;  Credit Cash $2,100,000

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Madison Stratton is a bookkeeper who is paid $10 per hour on a biweekly basis. Please compute her gross pay if she worked 31 hours in week 1 and 45 hours in week 2 Assume her company falls under the FLSA Begin by selecting the labels, then calculate Madison's gross pay

Answers

Madison's gross pay is $835. According to the given statement, Madison Stratton is a bookkeeper who is paid $10 per hour on a biweekly basis. We have to compute her gross pay if she worked 31 hours in week 1 and 45 hours in week 2.

We have to assume her company falls under the FLSA. So, we have to calculate the overtime pay first, as the company falls under the FLSA.

For that, we will use the following formula: OT pay = (No. of hours worked - 40) × (1.5 × Hourly pay)Madison's OT pay in week 2 = (45 - 40) × (1.5 × 10)Madison's OT pay in week 2 = 5 × 15. Madison's OT pay in week 2 = $75Madison's gross pay for week 1 = (Hours worked in week 1 × Hourly pay) Madison's gross pay for week 1 = 31 × 10Madison's gross pay for week 1 = $310.

Madison's gross pay for week 2 = (Hours worked in week 2 × Hourly pay) + OT pay Madison's gross pay for week 2 = (45 × 10) + 75Madison's gross pay for week 2 = $525Madison's gross pay for two weeks = Gross pay for week 1 + Gross pay for week 2Madison's gross pay for two weeks = $310 + $525.Madison's gross pay for two weeks = $835.

Therefore, Madison's gross pay is $835.

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You are the manager of a small sales team. One of your staff has developed poor timekeeping over the last few weeks, regularly arriving late and taking long lunch breaks. He is a good worker and you get on well with him, so the conversation is going to feel a bit awkward.
What will you do?
How will you approach him?
What could be the outcome of your conversation?

Answers

As the manager of a small sales team, one of your staff members has developed poor timekeeping over the last few weeks, regularly arriving late and taking long lunch breaks. To handle this situation, you need to follow some steps mentioned below:Here are some of the things that you can do to handle the situation effectively:

Track the employee's attendance: Check the employee's attendance record to see how often he is absent or arrives late. This will give you a better idea of the extent of the problem. It will also help you to determine whether the employee is deliberately avoiding work or is genuinely unable to attend work due to a personal problem.

Schedule a meeting: Schedule a meeting with the employee to discuss the issue. Let him know that you are aware of his attendance record and that you would like to discuss the problem. How will you approach him? Here are some things to keep in mind when approaching the employee.

Be tactful: Approach the employee in a tactful and professional manner. Be respectful and sensitive to the employee's feelings, while at the same time being firm and clear about your expectations. Avoid being confrontational or aggressive, as this will only make the situation worse.

Provide clear expectations: Explain to the employee the importance of timekeeping and how it impacts the team and the organization. Be clear about your expectations and the consequences of not meeting those expectations. Listen: Listen carefully to the employee's reasons for poor timekeeping. If there is an underlying problem, try to work with the employee to find a solution.

Here are some possible outcomes of the conversation: Improved timekeeping: The employee may realize the importance of good timekeeping and improve his attendance record. Personal problems: If there are personal problems that are causing poor timekeeping, you may be able to work with the employee to find a solution.

Discipline: If the employee does not improve his timekeeping after the meeting, you may need to take disciplinary action, such as a verbal warning, a written warning, or even termination of employment.

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Suppose you have an initial wealth equal to W0 = 4000. The risk-free rate is 3% p.a. The stock market offers an expected rate of return of 8% with a standard deviation of 12%. Your preferences could be best described by the quadratic utility function u(W) = aW − bW^2 , where the parameters are a = 15 and b = 0.001.
a) Suppose you invest 50% of your wealth into the risk-free account and the rest into the stock market. Calculate the expected final wealth and the standard deviation of the final wealth.
b) Note that the quadratic utility function has a representation with respect to expected final wealth µ and the standard deviation of final wealth σ, which is E[u(W˜ (µW , σW )] = aµW − b(µ 2 + σ 2 W ).
Calculate the expected utility of (i) a portfolio completely invested in the risk-free rate, and (ii) a portfolio completely invested in the stock market. Compare both results and give an interpretation!
c) Draft the overall situation in a µ − σ-diagram in terms of final wealth. Show the budget constraint, the indifference curve, and the optimal portfolio.

Answers

By comparing the expected utilities of different portfolios, we can identify the portfolio that maximizes utility. The interpretation will depend on the results obtained, and it will reveal the optimal allocation of investments based on the given preferences and constraints.

a) To calculate the expected final wealth and the standard deviation of the final wealth, we'll use the given information and formulas. Let's denote the fraction invested in the risk-free account as f and in the stock market as (1-f).

Expected final wealth (µW):

Expected return from the risk-free account = f * 0.03 * W0

Expected return from the stock market = (1-f) * 0.08 * W0

Expected final wealth = W0 + expected return from the risk-free account + expected return from the stock market

Standard deviation of final wealth (σW):

Standard deviation of the stock market = 0.12

Standard deviation of final wealth = √(f^2 * 0 + (1-f)^2 * (0.12^2 * W0^2))

b) We can calculate the expected utility using the given utility function and the expected final wealth.

(i) Portfolio invested in the risk-free rate:

Expected final wealth (µW) = 0.5 * 0.03 * W0 + 0.5 * W0

Expected utility = 15 * (0.5 * 0.03 * W0 + 0.5 * W0) - 0.001 * ((0.5 * 0.03 * W0)^2 + 0)

(ii) Portfolio invested in the stock market:

Expected final wealth (µW) = 0.5 * 0.08 * W0 + 0.5 * W0

Standard deviation of final wealth (σW) = 0.12 * W0

Expected utility = 15 * (0.5 * 0.08 * W0 + 0.5 * W0) - 0.001 * ((0.5 * 0.08 * W0)^2 + (0.12 * W0)^2)

Comparing the results from (i) and (ii) will help us determine the optimal portfolio.

c) In the µ − σ-diagram, we plot the expected final wealth (µW) on the x-axis and the standard deviation of final wealth (σW) on the y-axis. The budget constraint is a straight line with a slope of (expected return of the stock market - risk-free rate). The indifference curve represents different levels of utility, and the optimal portfolio is where the indifference curve is tangent to the budget constraint.

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For the portfolio of Sherwood's Sore Sports, LLC., you will help the investor Adalynn calculate his Utility level, using the regular objective function used in the textbook. You have estimated Adalynn's risk aversion level (A), as 6.3, and calculated the following data : Portfolio return = 9.2%, Portfolio variance = 30%, Risk-free rate = 2.6%. Given this information, what is the utility level for Adalynn? Select one: a. -87.90 b. -85.30 c. insufficient information to determine d. -8.05 e. -86.60 f. -89.90 g. -91.90

Answers

The answer is , the utility level for Adalynn is 0.615%.

How to find?

Portfolio return = 9.2%,

Portfolio variance = 30%,

Risk-free rate = 2.6%,

Risk aversion level (A) = 6.3,

We know that the regular objective function used in the textbook is:

U(x) = E(x) - (1/2) A σ²where,

U(x) = Utility level of the investor,

E(x) = expected return of the portfolio,

A = Risk aversion level,

σ² = Variance of the portfolio.

To calculate the utility level for Adalynn, we need to calculate the expected return and the variance of the portfolio.

First, let's calculate the expected return of the portfolio:

E(x) = Portfolio return - Risk-free rate

= 9.2% - 2.6%

= 6.6%.

Now, let's calculate the variance of the portfolio:

σ² = Portfolio variance

= 30%.

Now, substituting the values in the regular objective function, we get:

U(x) = E(x) - (1/2) A σ²

= 6.6% - (1/2) (6.3) (30%)

= 6.6% - 5.985%

= 0.615%.

Therefore, the utility level for Adalynn is 0.615%.

Hence, the correct option is: d. -8.05.

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Which one of the following best describes a layout with a stationary position? a) line balancing b) Muther grid c) fixed-position layout d) facility layout

Answers

Fixed-position layout best describes a layout with a stationary position. A fixed-position layout is one of the most basic and oldest types of layouts. A fixed-position layout involves keeping the product in a stationary position while employees and machinery move around it to work on it.

It is a layout in which a product is too large or heavy to be moved, and therefore workers, equipment, and materials must be brought to the product. This type of layout is commonly used in shipbuilding, aircraft construction, and home construction. A fixed-position layout is preferred when the product is too heavy, too large, or too fragile to move during the manufacturing process. The equipment and workers go to the location of the product rather than the product being transported to the machine or workstation. A fixed-position layout has the following advantages: Flexibility is one of the advantages of a fixed-position layout. It's simple to make alterations to the process, equipment, and workforce based on changing project requirements. This type of layout has a high level of efficiency since there is no need to transport large, heavy items. A fixed-position layout necessitates the use of a variety of special tools and equipment, which may be costly and challenging to obtain.

This layout is frequently found in large-scale construction or manufacturing projects that take a long time to complete, such as shipbuilding and home construction.

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A- A firm is deciding between two different sewing machines. Technology A has fixed costs of $840 and marginal costs of $60 whereas Technology B has fixed costs of $540 and marginal costs of $110. At what quantity is the firm indifferent between the two technologies?
B- Suppose a firm's total expected costs at each quantity are given by the function:
C(q) = 32000 + 60 q - 1.5 q2 + .05 q3
What is the formula for marginal cost?

Answers

The answers are:

A. To determine the quantity at which the firm is indifferent between the two technologies, we need to compare the total costs of each technology at different quantities.
For Technology A:
Total cost = Fixed cost + (Marginal cost * Quantity)
Total cost = $840 + ($60 * Quantity)
For Technology B:
Total cost = Fixed cost + (Marginal cost * Quantity)
Total cost = $540 + ($110 * Quantity)
To find the quantity at which the firm is indifferent, we set the total costs of both technologies equal to each other and solve for Quantity:
$840 + ($60 * Quantity) = $540 + ($110 * Quantity)
Simplifying the equation:
$840 - $540 = ($110 * Quantity) - ($60 * Quantity)
$300 = $50 * Quantity
Quantity = $300 / $50
Quantity = 6

Therefore, the firm is indifferent between the two technologies at a quantity of 6.

B. The formula for marginal cost can be found by taking the derivative of the total cost function concerning quantity.
Given the total cost function: C(q) = 32000 + 60q - 1.5q^2 + 0.05q^3
To find the marginal cost, we need to take the derivative of the total cost function concerning q:
Marginal cost = dC(q)/dq = 60 - 3q + 0.15q^2
So, the formula for marginal cost is Marginal cost = 60 - 3q + 0.15q^2.

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Tactics are:
a. the objectives of the strategy.
b. not actionable.
c. the smaller, short-term, building blocks used to enact the
strategy.
d. small mint flavored breath fresheners.

Answers

Option c is correct. Tactics are the smaller, short-term building blocks used to enact the larger, long-term strategies.

Tactics are the specific actions taken in order to achieve a larger goal or objective. They are essentially the tools used to implement strategies and achieve goals. Tactics can range from things like marketing campaigns to specific social media posts.

They are often smaller and shorter-term than strategies, which tend to be more long-term and overarching. It is important to have effective tactics in place in order to achieve larger strategic goals. This requires careful planning and execution to ensure that the tactics are effective and contribute to the overall success of the strategy.

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You view Polaris at an altitude of 27 degrees and an azimuth of 40 degrees. What is your location on the Earth?
60 degrees S latitude
27 degrees N latitude
27 degrees S latitude
63 degrees N latitude
40 degrees N latitude

Answers

An observer at 27 degrees N latitude would be able to see Polaris at an altitude of 27 degrees, but the azimuth angle of 40 degrees is irrelevant in determining the observer's location. The answer is 27 degrees N latitude.

You view Polaris at an altitude of 27 degrees and an azimuth of 40 degrees.

The given altitude and azimuth angles of the star Polaris can be used to determine the observer's latitude and longitude. Polaris is the closest star to the north celestial pole, which means that its altitude angle is equivalent to the observer's latitude. The given altitude of 27 degrees indicates that the observer is located at a latitude of 27 degrees N latitude.

An observer at 27 degrees N latitude would be able to see Polaris at an altitude of 27 degrees, but the azimuth angle of 40 degrees is irrelevant in determining the observer's location. Therefore, the answer is 27 degrees N latitude.

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Analyzing the effects of imposing a tariff (Trump’s proposal). Consider an open
economy with an importable good purchased by the representative consumer who has a utility
function U = U(Cm, l). The economy produces only an exportable good via the production
function Yx = zF(K,Nd). The consolidated budget constraint is Cm = w(h − l) + π − T.
Profits are given by π = pxYx − wNd, where px denotes the terms of trade, i.e., the relative
price of exportable goods in terms of importable goods. In this one-period economy we have
balanced trade, that is, NX = pxYx − C − G = 0. Note that values are expressed in units of
the importable good. The government, as usual, balances its budget (G = T). Now, assume
that the government imposes a tariff 0 < τ < 1 to importable goods, so the new constraint is
(1+τ )Cm = w(h−l)+π −T. The government balances a new budget constraint G = T +τCm.
Assuming that the substitution effect dominates the income effect, does this trade policy create
more employment and welfare? Explain and provide a graph

Answers

Analyzing the effects of imposing a tariff, specifically Trump's proposal, on an open economy with importable goods and exportable goods can be done by considering the utility function, production function, and budget constraints.

In this one-period economy with balanced trade (NX = 0), the representative consumer's utility function is U = U(Cm, l), where Cm represents consumption of the importable good and l represents leisure. The economy produces only an exportable good using the production function Yx = zF(K, Nd), where z represents productivity, K represents capital, and Nd represents labor. The consolidated budget constraint is Cm = w(h - l) + π - T, where w represents the wage rate, h represents total time endowment, π represents profits, and T represents taxes. Profits are given by π = pxYx - wNd, where px represents the terms of trade (relative price of exportable goods in terms of importable goods). Now, let's assume that the government imposes a tariff 0 < τ < 1 on importable goods. The new constraint becomes (1+τ)Cm = w(h - l) + π - T and the government balances its new budget constraint with G = T + τCm. To analyze the effects on employment and welfare, we need to consider the substitution effect and income effect. If the substitution effect dominates the income effect, then the trade policy could potentially create more employment and welfare. To visualize this, we can use a graph. On the horizontal axis, we can represent the quantity of labor (Nd), and on the vertical axis, we can represent the wage rate (w). With the imposition of the tariff, the new budget constraint shifts outward, indicating an increase in the consumption of the importable good. This leads to an increase in profits (π) and potentially higher wages (w) as well. If the substitution effect dominates, the wage rate could increase further due to the higher demand for labor. This would lead to more employment and potentially higher welfare. However, it is important to note that this analysis assumes that the substitution effect dominates the income effect. The actual impact on employment and welfare would depend on various factors such as the magnitude of the tariff, the elasticity of demand for the importable good, and the response of the economy to the trade policy.

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The Boston Toy Corporation (BTC) currently uses an injection moulding machine that was purchased two years ago. This machine is being depreciated on a straight line basis towards a K5000 salvage value, and it has six years of remaining life. Its current book value is K26000, and it can be sold at K30000 at this point. BTC is offered a replacement machine which has a cost of K80000, an estimated useful life of six years, and an estimated salvage value of K8000. The replacement machine would permit an output expansion, so that sales would rise by K10 000 per year, even so, the new machine with much greater efficiency would still cause operating expenses to decline by K15000 per year. The new machine would require that inventories be increased by K20000 and accounts payable would simultaneously increase by K5000. BTC's effective tax rate is 46% and its cost of capital is 15%. Required By using the Net Present Value Technique, determine whether BTC should replace the old machine.

Answers

Since the NPV is positive, it indicates that the project should be accepted and  BTC should replace the old machine.

How to find?

The new machine has a cost of K80000 and an estimated useful life of six years with an estimated salvage value of K8000.

The replacement machine will cause an output expansion, increasing sales by K10,000 per year and a decline in operating expenses by K15000 per year.

The new machine would require that inventories be increased by K20000 and accounts payable would simultaneously increase by K5000.

BTC's effective tax rate is 46% and its cost of capital is 15%.Now we need to calculate the Net Present Value (NPV) of the investment.

Calculation

We will use the following formula for calculating the NPV of the investment:

NPV = (Σ(Ct/(1+r)t)) - Co

NPV = Net Present Value

Σ = the sum of

Ct = net cash inflow during the period

tr = the expected net cash inflow in period

rCo = the total initial investment

r = the discount rate (cost of capital).

Here, Initial investment = K80000 − K30000 + K20000 − K5000

= K95000.

Year Cash flows Discount factor (15%) Present value0 -95000 1.0000 -950001 5000 0.8696 43481.2 10000 0.7561 7561 10000 0.6575 6575 10000 0.5718 5718 10000 0.4972 4972 18000 0.4329 7792.2

Net present value = K22,820.4 (rounded off to the nearest K).

The NPV of the investment in the new machine is K22,820.4.

Since the NPV is positive, it indicates that the project should be accepted.

Therefore, BTC should replace the old machine.

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the cost of a human resource which takes into consideration more than just his/her salary or hourly rate , for things such as benefits vaction, holidays , etc is ??

Answers

The cost of a human resource which takes into consideration more than just his/her salary or hourly rate, for things such as benefits, vacation, holidays, etc is known as the Total Employee Cost (TEC).

Total Employee Cost (TEC) is a calculation that includes the direct and indirect costs of employing a person, in addition to the person's salary or hourly wage.

Some of the costs included in the calculation of TEC are listed below: Salaries and wages, Paid vacation days, Sick leave and personal time off, Medical and dental insuranceLife and disability insurance, Pension and retirement plans, Stock options and bonuses, and Employee assistance programs.

The TEC calculation also considers indirect expenses such as human resources personnel and systems, recruiting, training, and administrative support. Organizations utilize the TEC calculation to plan for their workforce and control staffing costs. TEC is often used to evaluate the expense of individual workers and groups of workers.

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A balanced three-phase 4,157Vrms source supplies a balnced three-phase deltaconnected load of 38.4+j28.8. Find the current in line A with V anas reference. A. 120j90 A B. 120+j90 A C. 120+j90 A D. 120j90A What is displayed by the following PHP code segment?$prices = array(50, 10, 2);sort($prices);print_r($prices); In terms of System_1, with given parameters as below, a link budget analysis is carried out to calculate. This analysis aims to find out the received power, maximum channel noise, and link margin to be sufficient to provide a 54Mbps data rate and ensure better than 99% link availability based on Rayleighs Fading Model. Requirements for industrial commissioning of wireless transmission: Parameters Value Distance 5 km Frequency 5.8GHz Link Type Point-to-Point Line-of-sight Yes(Fresnel Zone) Radio System TR-5plus-24System_1 of wireless transmission, the link budget is calculated and designed for this system, a 5km line-of-sight link with sufficient Fresnel Zone will be considered. The design required to use of calculation of free space path loss, received power, maximum noise and link margin in order to ensure this transmission link has enough link margin for a reliable link.Please help me to calulate free space path loss, received power, maximum noise and link margin. Describe how interest rate changes affect the savings rate in the United States. How do banks adjust interest rates on deposits and loans? What would your targeted personal savings rate be postgraduation and why? How does the textbook describe the "life stages of the individual saver," and what stage are you in? An open standard for a virtual appliance that can be used a variety of hypervisors from different vendors represents: Select one: a. VMware b. Microsoft Hyper-V c. Open Virtual Appliance (OVA) d. Open Virtual Format (OVF) Finish In virtual resource migrations, the conversion of a physical server's operating system, applications, and data to a virtual server is known as? Select one: a.Physical to Virtual (P2V) b.Virtual to Virtual (V2V) c.Virtual to Physical (V2P) d.Physical to Physical (P2P) True or False: Elastic computing does not allow for compute resources to vary dynamically to meet a variable workload and to scale up and down as an application requires. Match each type of figurative language with its correct definition.Match Term DefinitionAllusion A) A biblical, historical, literary, mythological, or pop culture referencePersonification B) The representation of a thing or idea as a personSimile C) A comparison between two unlike things using like or as To pull a 38 kg crate across a horizontal frictionless floor, a worker applies a force of 260 N, directed 17 above the horizontal. As the crate moves 2.6 m, what work is done on the crate by (a) the worker's force, (b) the gravitational force on the crate, and (c) the normal force on the crate from the floor? (d) What is the total work done on the crate? (a) Number ___________ Units _____________(b) Number ___________ Units _____________(c) Number ___________ Units _____________(d) Number ___________ Units _____________ 14. As a comparison of the expense of living in the sabulos in Now York venusthe subuts in Nouderal: Catan looked at 30 home prices pease off wine in the subutch for New York and New Jersey, She found the meare and standard deviation for each group of 30 hones. Carla believes that living in New York suburbs is more costly than that of New Jersey. A summary of her findings is shown below.NY (in dollars)X1=376, 217S1 = = 14,158NJ (in dollars)X2= 373,267S2 = 14,202(a) Calculate X2 - X1 Does this calculation support Carla's hypothesis? Explain. A ball is thrown vertically upwards. The ball reaches its maximum height. Which of the following describes the forces acting on the ball at this instant? A. There is no vertical force acting on the ball. B. There is only a horizontal force acting on the ball. C. There is an upward force acting on the ball. D. The forces acting on the ball are balanced. E. There is only a downward force acting on the ball. research and recommend the most suitable,resilent, effective andreliable adption measure with a focus on stormwater drainage, slopestability and sediment control structures Complete as a indirect proof1. (Z & M) (S V A) 2. Z ~S /ZD (~A~M) The graph represents a relation where x represents the independent variable and y represents the dependent variable.-5 -4 -3 -2321-10-1-2-3T12 34Is the relation a function? Explain.Yes, because for each input there is exactly one output.Yes, because for each output there is exactly one input.No, because for each input there is not exactly one output.No, because for each output there is not exactly one input.10x You are interested in investigating the proportion of salespersons who bring in new customers in a given month. You collect data on a sample of n = 20 salespersons, and find that 15 of them brought in new customers. Assume you are looking for support for the position that the proportion is different than 0.70, and use = 0.05. (a) The total consumption of energy per capita by the OECD countries has changed little over the past 20 years so why is there considered to be a problem with world future energy supplies? [50%] (b) A standard internal combustion engine (ICE) car has 5.6 tonne CO emissions embedded in production while an electric vehicle (EV) has 8.8 tonne CO emissions. Typical operating CO emissions for an ICE car are 130 g/km while an EV can go 150 km using a fully charged battery with a 24 kWh capacity. Assuming a car drives 100,000 km, what electricity grid CO emissions in g/kWh will result in the same total CO emissions for the ICE and EV. Comment on your answer, given that the average UK electricity grid emissions are 232 g/kWh. [25%] (c) What is the purpose of the cathode material in a Li-ion battery? Assess the following inorganic materials as cathode materials in a Li-ion battery: LICOO2, LiMn204, LiFePO4, LIAIO2, Li3V2(PO4)3 Which view of criminal behavior suggests that criminal behavioris due to some defect in the individual?Group of answer choicespsychologicalsocialeconomicall of the aboveWhich view of criminal b A recent research article found that the relationship between playing violent video games and aggressive behavior is 22 What proportion of the vanability seen in aggressive behavior can be explained by playing violent video games? O.02 OOO OO .22 44 .05 O.11 and the X Which of the following techniques eliminates the use of rainbow tables for password cracking?HashingTokenizationAsymmetric encryptionSalting The Gaussian surface is real boundary. * True False It is required:Calculate the composition of gases to output of first bed(BED I) of catalist, CI SO2, CI O2,CISO3, and CIN2, involume %.Calculate the composition of gases at output from thereactTesting the aplications issues Possible Subject: 1. The composition of gases resulting from the pyrite burning (FeS2) is as follows: Cso2 = (5+n) %, Co2 = (8 +n) %, CN2 = (87 -2n) %. The gases have be Compare the bird scene in The Sorrows of Young Werther (Book II, Sep 12) with Catullus 2A. Does the bird play a similar role?