Net relevant benefit refers to the sum of all relevant costs and benefits, adjusted for the time value of money. It helps business owners to determine whether or not a particular investment is worthwhile.
To calculate the net relevant benefit of Samuel starting his own business, we need to sum all the relevant benefits and subtract all the relevant costs, adjusted for the time value of money. Relevant costs: The £60,000 savings Samuel plans to use as capital, currently invested at an interest rate of 2%.Relevant benefits:
The annual profit from his business, estimated to be £50,000 annually. Other relevant costs: £1,750 in costs to start the business. Net present value (NPV) of relevant costs: Savings: £60,000 × (1 + 2%)^0 = £60,000Interest earned: £60,000 × 2% × (1 + 2%)^0 = £1,200NPV of relevant costs: £60,000 + £1,200 = £61,200Net present value (NPV) of relevant benefits:
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the owners of a computer repair shop want to better formulate strategies, so they should conduct a swot analysis to understand the strengths and weaknesses within their company and the opportunities and threats of the external environment.True or False
True, the owners of a computer repair shop want to better formulate strategies, so they should conduct a swot analysis to understand the strengths and weaknesses within their company and the opportunities and threats of the external environment.
A SWOT analysis is a strategic planning tool that is commonly used by organizations to assess their internal and external environments. The acronym SWOT stands for strengths, weaknesses, opportunities, and threats. The process of conducting a SWOT analysis involves identifying and analyzing the strengths and weaknesses within the organization, as well as the opportunities and threats that exist in the external environment. Strengths are internal factors that contribute to the success of the organization, such as the company's unique selling proposition or a highly skilled workforce. Weaknesses, on the other hand, are internal factors that limit the success of the organization, such as poor management or outdated technology. Opportunities are external factors that the organization can leverage to achieve its goals, such as emerging markets or new technologies. Threats, on the other hand, are external factors that can negatively impact the organization, such as increased competition or changes in regulations. By conducting a SWOT analysis, the owners of the computer repair shop can gain a better understanding of their current position in the market, and develop strategies to capitalize on their strengths, address their weaknesses, take advantage of opportunities, and mitigate threats. This can ultimately help them make better decisions and formulate more effective strategies to improve their business.
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According to the Heckscher-Ohlin model, the source of comparative advantage is a country's Group of answer choices human capital. advertising. political system. factor endowments. technology.
According to the Heckscher-Ohlin model, the source of comparative advantage is a country's factor endowments.
The Heckscher-Ohlin model, also known as the factor proportions theory, suggests that a country will have a comparative advantage in producing goods that use factors of production that it has in abundance. These factors of production, or factor endowments, include labor, capital, land, and natural resources.
For example, if a country has a large labor force relative to its capital stock, it is likely to have a comparative advantage in labor-intensive industries. On the other hand, if a country has abundant capital but a relatively small labor force, it is more likely to have a comparative advantage in capital-intensive industries.
The model predicts that countries will specialize in producing goods that utilize their abundant factors of production, and they will export these goods while importing goods that require the use of factors in which they are relatively scarce.
Therefore, according to the Heckscher-Ohlin model, a country's factor endowments, such as its relative abundance of labor, capital, land, and natural resources, are the source of its comparative advantage in international trade.
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Journal entry for purchased goods from ABC Co. for Rs. 11,000.
Answer:
purchase A/c. Dr. Rs.11,000
To ABC CO.A/c. Rs.11,000
(being goods purchased in cash)
one option for altering the availability of manufacturing capacity is: multiple choice promotion. yield management. inventories. pricing. back orders.
One option for altering the availability of manufacturing capacity is inventories. Hence, option C is correct.
What is manufacturing capacity?A manufacturing process' capacity is the largest amount of output it can generate. There is no doubt that choices about the number of human action shifts to be employed, equipment run rates, the accessibility of input and support resources, existing and anticipated demand, etc., have a substantial impact on this.
Planning your production capacity is essential because it guarantees that you have the resources—both human and financial—to carry out a project on time and to a high standard.
Thus, option C is correct.
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Research cultural business communication etiquette for a country outside of the USA, and list 5 tips for successful cultural communication and etiquette in a business setting. Include the name of your country, the 5 tips (bulleted statements) and the website URL of your research used.
Answer:
wow
Explanation:
If consumer confidence is high, individuals are multiple choice question. More willing to spend on big-ticket items. Not affected by consumer confidence. Less willing to spend on big-ticket items
If consumer confidence is high, individuals are more willing to spend on big-ticket items. The correct answer is A.
When people are confident, they are more likely to spend money on expensive products. This is because high consumer confidence indicates that people are optimistic about the future of the economy and their own personal financial situations.
As a result, they are more likely to make large purchases, such as buying a car or a house. Conversely, when consumer confidence is low, individuals are less willing to spend on big-ticket items because they are uncertain about the future and may be worried about their own financial stability.
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A sales manager, Gunter, is facing an ethical situation; his bicycle company sold a mountain bike with a defective component. If he informs the customer and issues a recall, it would cost him a substantial amount of money. If the bike malfunctions, there is a very small chance that it could cause serious injury to a cyclist who might use it on rough terrain. He decides to use the egoism approach to decision making and remain silent about the defect, because he
In the given scenario, Gunter, the sales manager, decides to use the egoism approach to decision-making and remain silent about the defective component in the mountain bike. The egoism approach is a perspective that prioritizes self-interest and personal gain in decision making.
In this case, Gunter is motivated by the financial implications of issuing a recall and the potential negative impact on the company's profitability. By remaining silent about the defect, he aims to protect the company's financial interests and avoid incurring substantial costs.
However, it is important to note that the egoism approach does not consider the potential harm to customers who might use the defective product. In this situation, there is a small chance that the malfunctioning bike could cause serious injury to a cyclist, especially when used on rough terrain.
Ethically, prioritizing personal gain over customer safety raises significant concerns. It is crucial for organizations and individuals to uphold ethical principles and prioritize the well-being of consumers. In this case, a more ethical approach would be to inform the customer about the defect and issue a recall to ensure their safety, even though it may come at a financial cost to the company.
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Put 4, 1, and
–
8 in order from least to greatest.
Answer:
1, 4, 8 is the correct answer
Answer:
-8,1,4
Explanation:
Manipulating someone within an organization to gain access to confidential information is called.
Answer:
Social Engineering
Explanation:
Social Engineering is the use of centralized planning in an attempt to manage social change and regulate the future development and behavior of a society, a form of sabotage.
increasing european interest in african gold was driven by:
During the fifteenth century, European nations' interest in African gold increased. The Europeans required gold for various purposes, including the minting of gold coins and jewellery . The need to purchase African slaves, particularly on the West African coast, and the desire to expand the trade also contributed to European interest in African gold.
The primary motive for European interest in African gold was to obtain the precious metal in a trade relationship that was already established in West Africa. Ghana and Mali were two West African states with a long history of gold production, and European merchants frequently visited the region. The merchants purchased gold directly from the mines and brought it back to Europe.
The Europeans began to seek a more direct method of obtaining African gold in the fourteenth century. Portugal was the first European country to establish a permanent trading post in West Africa in the mid-fifteenth century. The Portuguese expanded their trading post into a fort, trading primarily with Ghana and Mali. The Portuguese also had a monopoly on gold exports from the region at the time.
As a result, other European countries began to explore the African coast for trade opportunities. The Dutch, French, and British all established trading posts along the African coast in the seventeenth century, expanding European interest in African gold. The growth of the slave trade in the seventeenth century also encouraged European nations to engage in trade with Africa to purchase slaves.
In conclusion, the need for gold, the limited availability of gold in Europe, and the desire to expand trade and purchase slaves all contributed to the European interest in African gold.
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When buying stocks, you purchase at the ________.
Group of answer choices
Bid price
None of these choices are correct
AAA value
Ask price
Bid-ask spread
When buying stocks, you purchase at the Ask price.
The Ask price is the minimum price at which a seller is willing to sell a stock. On the other hand, the Bid price is the maximum price that a buyer is willing to pay for the stock.When an investor intends to buy a stock, they have to pay the Ask price for it. Conversely, when an investor intends to sell a stock, they will receive the Bid price for it. Therefore, the difference between the Ask price and the Bid price is known as the Bid-ask spread. It is the cost of making the trade by the investor, and it represents the compensation paid to market makers for their services.To buy a stock, the investor must first specify the quantity and the price they are willing to pay. The investor's broker then sends the order to the market, and when a seller agrees to sell the stock at the investor's specified price, the transaction is completed at the Ask price. The Ask price is also the price at which the market maker will sell the stock to the investor.An investor must be willing to pay the Ask price when buying a stock, and they must be willing to accept the Bid price when selling a stock. In a highly liquid market, the Bid-ask spread is usually narrow, and it is less expensive for investors to buy and sell stocks.
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do you think you would be more likely to lease an apartment or buy a house when you decide to live on your own? in either case, why is it important to have a good credit report?
Renters don't have to pay property taxes, upkeep charges, or repair bills, unlike homeowners. For homeowners, who are responsible for installation and maintenance, amenities that are typically free for tenants are not.
why is it important to have a good credit report?
You can get reduced interest rates and costs if you have a solid credit history, which is reflected in good credit ratings. This will free up more money for savings accounts for retirement, modest unexpected expenses, and emergencies. Stress is reduced and financial independence is increased by reducing debt and raising savings.
What does the term interest mean?
The fee you pay to borrow money or the fee you charge to lend money is called interest. The most common way to represent interest is as a yearly percentage of the loan amount. The interest rate on the loan is known as this percentage.
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this question address capitation premium rates. consider the following assumptions: required revenues - $18,775,000 covered lives - 30,000 variable costs - $17,000,000 overhead (fixed) costs - $836,250 what is the monthly pmpm amount?
The monthly PMPM amount for this capitation premium rate is $49.55.
To calculate the monthly PMPM (per member per month) amount, we need to first calculate the total cost, and then divide it by the total number of covered lives (members) and the number of months.
Total cost = fixed costs + variable costs
Total cost = $836,250 + $17,000,000
Total cost = $17,836,250
Monthly PMPM amount = Total cost / (Number of covered lives x Number of months)
Assuming a 12-month period:
Monthly PMPM amount = $17,836,250 / (30,000 x 12)
Monthly PMPM amount = $49.55
Therefore, the monthly PMPM amount is $49.55.
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What is the best measure of economic growth of a country?
Gross Domestic Product or GDP is the best measure of a country's economic growth.
Gross Domestic Product (GDP) reflects a country's economic growth based on the country's domestic production level. GDP calculate the market value of all the finished goods and services produced within a country. GDP can be calculated using 3 different perspectives:
ExpendituresProductionIncomesGDP include 4 components in its calculation:
ConsumptionInvestment Government expenditureNet exportsHowever, GDP also has many shortcomings. GDP fails to capture the underground economy since they are not formally recorded in GDP calculation. Environmental issues are also neglected on calculating GDP. Since GDP is calculating the quantity of domestic product, it fails to capture the product's quality level. GDP also unable to include those non-market production products that produced for private consumption.
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In a perfectly competitive market, if the market price is $4, how many units will they sell if they charge $4?How many will they sell if they charge over $4? Will they make more profit if they lower their price? Why or why not?
Answer:
In a perfectly competitive market, if the market price for a single unit is $4, then the number of units sold would be 32.
Explanation:
A perfectly competitive market is defined as a market where there are no monopolies - something extremely rare in the real world. However, it is a good example to explain the rules and workings of supply and demand in the market. There are multiple sellers and purchasers in a perfectly competitive market. Sellers earn just enough profit to keep their place in the market. Any more and they would lose their foothold in the marketplace to another company.
If the sellers are capable of producing more, then they can sell more, thus increasing their output. In any case, the economic output would be zero because the price is tangent to the low point on the average total cost curve. The seller has no control over market price because the price is set at equilibrium.
An architect’s functions may include which of the following? (SELECT ALL THAT APPLY.)
-planning and designing houses, commercial buildings, and other structures
-ensuring worksite safety
-collaborating with engineers
-acting as a construction manager and supervising contractors
Answer:
the answer is planning, ensuring, and acting
On September 1, 2021, Crane Corporation issued $595,000 of 10-year, 3% bonds at 95. Interest is payable semi-annually on September 1 and March 1. Crane's fiscal year end is February 28. Is the market rate of interest higher or lower than 3%? Market interest rate is ___ than 3% Record the issue of the bonds on September 1, 2021. (Credit account titles are automatically indented when the amount is entered. Do not indent manually. If no entry is required, select 'No Entry for the account titles and enter for the amounts.) Date Account Titles and Explanation Debit Credit Sept. 1 ____________________________ _____ ____
(To record issuance of bonds) Record the accrual of interest on February 28, 2022, assuming the semi-annual amortization amount for this interest period is $1.004. (Credit account titles are automatically indented when the amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter for the amounts.) Date Account Titles and Explanation Debit Credit Feb. 28 ____________________________ _____ ____
(To record issuance of bonds) Record the payment of interest on March 1, 2022. (Credit account titles are automatically indented when the amount is entered. Do not indent manually. If no entry is required, select "No Entry for the account titles and enter for the amounts.) Date Account Titles and Explanation Debit Credit Mar. 1 ____________________________ _____ ____
(To record issuance of bonds)
The market rate of interest is higher than 3%.
When bonds are issued, their interest rates are determined based on the prevailing market conditions. In this case, Crane Corporation issued $595,000 of 10-year, 3% bonds at 95, indicating that the bonds were sold at a discount.
When bonds are sold at a discount, it means that the effective interest rate is higher than the stated rate. In other words, investors are willing to purchase the bonds at a lower price because the market interest rate is higher than the coupon rate of 3%. By issuing the bonds at a price lower than their face value, Crane Corporation is effectively paying a higher interest rate to bondholders.
This discount helps compensate investors for the lower interest income they will receive compared to the prevailing market rate. Therefore, it can be concluded that the market rate of interest is higher than 3% in this case.
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After the economic recession, the boating industry suffered from a decline in sales. However, recent sales forecasts indicate that the upcoming season will produce a strong demand for boats and boating equipment. Based on this, Lynn has decided to ramp up production this winter of both his bass fishing boats and speed boats, keep them in storage until the boating sales season officially resumes, and hope that customers will buy them. This is an example of a ________ strategy.
Answer:
push strategy
Explanation:
The push strategy consists of a marketing strategy whose objective is to make customers buy the products of a company through the use of marketing to attract consumers, for example, advertisements on social media, advertising on TV, exhibitors, etc.
In this strategy, the company searches for its customers by running ads about the benefits and features added to its product so that the customer knows the product and thus decides to make the purchase.
If a revenue in total for a month was $9,550, fixed expenses were $9,000 and variable expenses were $300 what would be the total profit/loss for the month?
Answer:
the answer would be 250
because 9,000-9,550 = 550 -300= 230
j. flores owns a business and is trying to decide whether to incorporate. while researching corporations, she has determined the following facts. which of these facts is not correct?
When the rights of the owners are transferred, corporations are dissolved.
Corporations dissolve when owners transfer rights. Option D
This will be discussed in further detail below.
What do you mean by corporations?A corporation is an organization, which is often either a collection of individuals or a firm, that has been granted permission by the state to function as a single entity and is recognized as such in law for the purposes of specific activities.
To sum everything up, Charters were the first means through which early corporations were created.
These days, new companies may be formed in the majority of countries via a process called registration.
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complete question
J. Flores owns a business and is trying to decide whether to incorporate. While researching corporations, she has determined the following facts. Which one is not correct?
Corporations limit shareholder's liability.
Corporations have ease of capital accumulation.
Corporations have lack of mutual agency.
Corporations dissolve when owners transfer rights.
Corporations incur double taxation.
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.
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In the united states for the year 2020, the federal government had a ________ so the national debt was ________.
In the United States, the federal government had one "budget deficit" in 2020, which resulted in "rising" national debt.
Define the term budget deficit?An overrun in spending over income results in a budget deficit, which can be a sign of a nation's financial stability.
The phrase is frequently used to describe government expenditures rather than that of companies or people. An overrun in spending over income results in a budget deficit, which can be a sign of a nation's financial stability. The phrase is frequently utilized to refer to federal spending rather than that of companies or people.When spending within a specific time period is greater than receipts, a budget deficit results.The budget deficit for FY 2021 was $2.8 trillion, ranking second in history only to the $3.1 trillion deficit for FY 2020.Thus, the federal government of the United States experienced a "budget deficit" during 2020, that led to "growing" national debt.
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Formulate and answer a True/False question for each of the following topics:
a. Integer Optimization – Binary Constraint Types
b. Integer Optimization – Fixed Charge Model and Excel Solving
c. Project Scheduling – Impact of shortening an activity
d. Project Scheduling – Impact of delaying an activity
a. In Integer Optimization, binary constraint types restrict variables to only take on values of 0 or 1. True.
b. The Fixed Charge Model is a type of Integer Optimization problem and can be solved in Excel using the Solver add-in.
True.
c. False. Shortening an activity in a project schedule may not always result in a reduction of the project duration if the shortened activity is not on the critical path.
d. True. Delaying an activity in a project schedule will always result in an increase in the project duration, as it will push back the start and end dates of subsequent activities.
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The amount of money paid to an investor for each share of stock they own is called a:
share.
supply.
dividend.
ticker.
Answer:
Dividend
Explanation:
Part of the cost of capital
What are some examples of companies providing consumers with goods?
Answer:
is this a multiple choice question?
Explanation:
There are times when the cost of the fixed assets of the business are exactly equal to the amount in the related accumulated depreciation account. Please let us know when an entry should be made to remove the cost and the accumulated depreciation from the accounts. Also, let us know if it is permissible to record additional depreciation on the assets if they are still useful to the business. Please let us know why or why not.
When a fixed asset has fully depreciated, is sold or retired from the company, an entry should be made to remove the cost and accrued depreciation from the accounts.
This is due to the fact that the asset has reached the end of its useful life and that depreciation has fully allocated its cost.
An item has been fully depreciated when its cost is exactly equal to the sum in the associated accumulated depreciation account. The asset should now be deleted from the records by documenting its retirement or disposal.
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Case Study: Liborgate
Reference: McConnell, P. (2013). Systemic operational risk: The LIBOR manipulation scandal. The
Journal of Operational Risk, 8(3), 59-99.
Read the above article and answer the following questions:
1. What is ‘Libor’ and why is it so important to international finance?
Libor stands for the London Interbank Offered Rate, which is the benchmark interest rate used globally for various financial transactions. It is significant to international finance because it serves as a reference point for determining interest rates on a wide range of financial products, including loans, mortgages, derivatives, and contracts.
Libor plays a crucial role in the functioning of financial markets, as it influences the cost of borrowing and lending for financial institutions and affects the pricing and valuation of numerous financial instruments.
Libor is a benchmark interest rate that represents the average interest rate at which major banks in London are willing to lend to one another in the interbank market. It is calculated based on submissions from a panel of banks and serves as a reference rate for determining the cost of borrowing for banks globally. The importance of Libor stems from its extensive usage in financial markets. It is used as a reference rate for pricing and valuing various financial products, including loans, mortgages, bonds, derivatives, and contracts.
Financial institutions rely on Libor to determine the interest rates they offer to borrowers and the returns they earn on investments. It affects borrowing costs for businesses and individuals, influencing decisions regarding investments, borrowing, and risk management. Moreover, Libor serves as a benchmark for setting interest rates in many jurisdictions, impacting the overall financial stability and economic conditions of countries.
Given its widespread use and influence, any manipulation or misconduct regarding Libor can have severe consequences for financial markets and institutions. The Libor manipulation scandal, also known as "Liborgate," highlighted the ethical and operational risks associated with the manipulation of this critical benchmark rate, leading to significant legal and reputational consequences for the involved banks and raising concerns about the integrity and transparency of financial markets.
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assume one of the public schools is privatised. what are the advantages and disadvantages of privatising the school
Answer:
Advantages:-
1.Reduced political disturbances.
2.Proper facilities
3.The discipline in student is maintained .
4.Students can get proper guidance from teachers.
Disadvantages:-
1. Fee may be increased.
2.The services may lack which was given by government funds.
3.It may cause problem to poor students from poor family.
4.Public holidays is decreased.
In a Cournot oligopoly with N-number of firms and identical marginal costs, if the number of firms decreases because firms exit, we know that the markup of price over cost will Group of answer choices increase. decrease. stay the same. unknown for lack of other information.
If the number of firms in a Cournot oligopoly decreases because firms exit the market, the markup over price will most likely stay the same.
What would happen to the price if firms exited a Cournot oligopoly?If firms exited the Cournot oligopoly, and the number of firms decreased, the remaining firms will increase their production levels to get to the previous levels.
This will mean that the price in the market will not change because the quantity supplied will remain the same.
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When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must
When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.
This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.
To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.
Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.
Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.
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