In the three horizon framework, horizon one represents the current business operations that generate the majority of the company's revenue. It focuses on optimizing existing products, services, and processes to achieve short-term success and maintain a competitive advantage.
The initiatives taken in horizon one involve incremental improvements, cost-cutting measures, and operational efficiencies that help the company meet its current goals and maintain its market position. As a result, horizon one is critical for sustaining a business's core operations and generating cash flow to fund innovation and growth in horizons two and three. In the Three Horizon Framework, Horizon One symbolizes the initiatives you take to power short-term success. This horizon focuses on the current core business, maintaining its stability and profitability. It involves improving operational efficiency, meeting customer needs, and optimizing existing products and services. By concentrating on Horizon One, an organization ensures it stays competitive in the short-term while laying a strong foundation for future growth and innovation.
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Currently, the beta of Lowe's Compniaes, Inc. stock (LOW) is 1.3.
The risk-free rate is 2.0%, and the market risk premium is 6.0%.
LOW is currently selling for $190 per share.
You expect that the company will pay a dividend of $3.5 per share in the next year.
If the expected price of LOW in the next year is $203.6, what is the alpha of LOW according to the CAPM?
According to Capital Asset Pricing Model (CAPM), the alpha of LOW is -1.80%.
To calculate the alpha of a stock according to the Capital Asset Pricing Model (CAPM), we need the expected return on the stock and the required return based on its beta.
First, let's calculate the required return using the CAPM formula:
Required Return = Risk-Free Rate + Beta * Market Risk Premium
Given:
Risk-Free Rate = 2.0%
Market Risk Premium = 6.0%
Beta = 1.3
Required Return = 2.0% + 1.3 * 6.0% = 2.0% + 7.8% = 9.8%
Next, let's calculate the expected return on the stock. The expected return is the sum of the dividend yield and the capital appreciation:
Expected Return = Dividend Yield + Capital Appreciation
Given:
Dividend Yield = Dividend / Current Price
Dividend = $3.5 per share
Current Price = $190 per share
Expected Price = $203.6 per share
Dividend Yield = $3.5 / $190 = 0.0184 or 1.84%
Capital Appreciation = (Expected Price - Current Price) / Current Price
Capital Appreciation = ($203.6 - $190) / $190 = $13.6 / $190 = 0.0716 or 7.16%
Expected Return = 1.84% + 7.16% = 8.00%
Finally, the alpha can be calculated as the difference between the expected return and the required return:
Alpha = Expected Return - Required Return
Alpha = 8.00% - 9.8% = -1.80%
Therefore, the alpha of LOW according to the CAPM is -1.80%.
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Identify the beliefs and common values of the participative leadership.
Multiple Choice
None of these
A basically human bias
All of these
A reliance on consensus to manage conflict
Full and free communication
All of these. Participative leadership is characterized by a set of beliefs and common values that guide the leader's approach.
These include a basically human bias, recognizing the value and potential of individuals within the organization, a reliance on consensus to manage conflict, and the promotion of full and free communication among team members. Participative leaders believe in involving employees in decision-making, valuing their input, and fostering a collaborative and inclusive work environment. They prioritize open communication channels, seek consensus, and encourage employees to express their ideas and perspectives. Therefore, all of the provided options - a basically human bias, a reliance on consensus to manage conflict, and full and free communication - are beliefs and common values associated with participative leadership.
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b. discuss the strengths of analyst forecast information for business decision makers.
Analyst forecast information offers several strengths that benefit business decision-makers. It provides valuable insights into future performance, helps in strategic planning, and allows for benchmarking against industry expectations.
Analyst forecast information is derived from the analysis and predictions made by financial analysts regarding a company's future financial performance. It offers several strengths that can assist business decision-makers in their strategic planning and decision-making processes.
Firstly, analyst forecasts provide valuable insights into future performance. They incorporate expert opinions and market research, enabling decision-makers to gain a comprehensive understanding of the company's potential financial outcomes. This information helps businesses in evaluating investment opportunities, estimating future earnings, and assessing the financial health of the organization.
Secondly, analyst forecasts aid in strategic planning. By analyzing the forecasts, decision-makers can identify trends, patterns, and potential risks or opportunities. This information allows businesses to align their strategies, allocate resources effectively, and make informed decisions about expansion, diversification, or other strategic initiatives.
Lastly, analyst forecasts provide a benchmark for businesses to compare their performance against industry expectations. It helps in assessing whether the company is meeting, exceeding, or falling short of market forecasts. This benchmarking can aid in evaluating the company's competitive position, investor perception, and overall market sentiment toward the organization.
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Western States Health System has decide to adopt the principles and behaviors of high reliability organizations. In order to effectively pilot and then spread such a program, it takes robust project management. Following is a list of tasks that need to be completed as part of this initiative. Form a multidisciplinary team, develop a poster presentation of the PI project, determine sources for data collection, train staff on new processes, develop a new process, create a project timeline, write mission and vision statements, collect and analyze data, present options to leadership and gain approval, assess the environment for unintended consequences of the process change, plan a celebratory party for the project team 1. Using the PI process life cycle, categorize each of the tasks listed into one of the five steps. 2. Develop a Gannt chart that lists the five steps and the corresponding tasks that would be appropriate in that step. Remember to think about activities that are dependent on one another or that may overlap in your line.
The easiest way to describe project launch is when the project team delivers a new product. It serves as a starting point for a project and is used to inform the stakeholders about the project's goals, scope, and plan.
An important phase of the project lifecycle is the project launch. It serves as a starting point for a project and is used to inform the stakeholders about the Form a multidisciplinary team.
Develop a poster presentation of the PI project, determine sources for data collection, project's goals, scope, and plan. A formal meeting to introduce the project team and go through the project timeframe, budget, and hazards may be part of the project launch. The project manager may examine the project's objectives, roles, and duties throughout the launch.This is an excellent chance to make sure that everyone is aware of their responsibilities and is on the same page with the project.
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one of the assumptions of the gauss-markov theorem is that the error term has constant variance. group of answer choices true false
False. One of the assumptions of the Gauss-Markov theorem is that the error term has a constant variance.
One of the assumptions of the Gauss-Markov theorem is not that the error term has a constant variance. In fact, the Gauss-Markov theorem assumes that the error term (also known as the disturbance term or the residual) has a mean of zero and is homoscedastic, which means that it has a constant variance. This assumption is referred to as the assumption of homoscedasticity. However, the theorem does not assume that the error term has a constant variance. It allows for the possibility of the error term having a non-constant variance, which is known as heteroscedasticity.
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Choose the scenario that represents a capital budgeting decision Should the firm borrow money from a bank or sell bonds? Should the firm shut down an unprofitable factory?
The scenario "Should the firm shut down an unprofitable factory?" represents a capital budgeting decision.
Capital budgeting involves making investment decisions related to long-term assets. In this scenario, deciding whether to shut down an unprofitable factory requires assessing the potential cash flows and costs associated with the factory. The decision to close the factory involves significant capital expenditure, such as severance payments and potential loss of asset value. It requires evaluating the impact on the firm's overall profitability and cash flow. By analyzing the expected future cash flows and costs, the firm can determine if shutting down the factory aligns with its financial objectives and maximizes shareholder value. Hence, this scenario represents a capital budgeting decision.
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Consider a simple but sophisticated monetary system in which all credit is provided by banks and where there is no cash such that all transactions are expedited by way of bank deposit transfers
In a monetary system where all credit is provided by banks and there is no cash, transactions are facilitated through bank deposit transfers.
This system relies on the electronic transfer of funds between accounts rather than physical currency. One key feature of this system is that banks play a central role in providing credit to individuals, businesses, and other entities. Banks create credit by extending loans and issuing credit lines, which are recorded as deposit liabilities on their balance sheets. When individuals or businesses engage in transactions, they transfer funds electronically from one bank account to another. This sophisticated monetary system offers several advantages.
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Clorox chose the name Green Works because the name instantly brings nature and environmentalism to mind. This brand creates value for the company by: a) appealing to consumers' desire for environmentally friendly products b) increasing the cost of production c) reducing the company's profits d) none of the above
The a) appealing to consumers' desire for environmentally friendly products. By choosing the name Green Works, Clorox is capitalizing on the growing trend of consumers seeking out eco-friendly options.
By luring in customers who value sustainability and are prepared to pay more for goods that reflect their beliefs, this strategy adds value to the business. This can ultimately lead to increased sales and brand loyalty, which can ultimately boost profits for the company. Choosing a more environmentally friendly option may increase the cost of production, but it can also lead to cost savings in the long run, as more sustainable practices often lead to more efficient use of resources.
By choosing a name that evokes nature and environmentalism, Clorox is able to attract consumers who are conscious about the environment and prefer products that are eco-friendly. This helps the company tap into a market segment that values sustainability, ultimately creating value for the brand and the company.
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on december 31, 2018, andy inc. has a debit balance of $1,500 for the allowance for uncollectible accounts before any year-end adjustment. andy inc. also has the following information for its accounts receivable and the estimated percentages of bad debts for different past-due amounts:
On December 31, 2018, Andy Inc.'s **Allowance for Uncollectible Accounts** has a debit balance of $1,500 before any year-end adjustments, and it has different **estimated percentages of bad debts** for its accounts receivable.
To calculate the year-end allowance for uncollectible accounts, start by determining the total estimated bad debts for each category of accounts receivable, based on the given percentages. Then, sum up the estimated bad debts for all categories to find the total estimated uncollectible accounts. Since the Allowance for Uncollectible Accounts has a $1,500 debit balance, you would subtract this balance from the total estimated uncollectible accounts to determine the required year-end adjustment. This adjustment should be recorded as a bad debt expense, crediting the Allowance for Uncollectible Accounts to bring its balance to the proper level.
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Spencer Enterprises is attempting to choose among a series of new investment alternatives. The potential investment alternatives, the net present value of the future stream of returns, the capital requirements, and the available capital funds over the next three years are summarized as follows:
Capital Requirements ($)
Alternative
Net Present Value ($)
Year 1
Year 2
Year 3
Limited warehouse expansion
4,000
3,000
1,000
4,000
Extensive warehouse expansion
6,000
2,500
3,500
3,500
Test market new product
10,500
6,000
4,000
5,000
Advertising campaign
4,000
2,000
1,500
1,800
Basic research
8,000
5,000
1,000
4,000
Purchase new equipment
3,000
1,000
500
900
Capital funds available
10,500
7,000
8,750
a. Develop and solve an integer programming model for maximizing the net present value.
b. Assume that only one of the warehouse expansion projects can be implemented. Modify your model from part a.
c. Suppose that if test marketing of the new product is carried out, the advertising campaign also must be conducted. Modify your formulation from part b to reflect this new situation.
a. The integer programming model for maximizing the net present value can be formulated as follows:
Objective function: Maximize 4,000x1 + 6,000x2 + 10,500x3 + 4,000x4 + 8,000x5 + 3,000x6
Subject to:
3,000x1 + 2,500x2 + 6,000x3 + 2,000x4 + 5,000x5 + 1,000x6 ≤ 10,500
1,000x1 + 3,500x2 + 4,000x3 + 1,500x4 + 1,000x5 + 500x6 ≤ 7,000
4,000x1 + 3,500x2 + 5,000x3 + 1,800x4 + 4,000x5 + 900x6 ≤ 8,750
where x1, x2, x3, x4, x5, x6 are binary decision variables representing the selection of each investment alternative (0 = not selected, 1 = selected).
b. To modify the model for selecting only one warehouse expansion project, we add the constraint:
x1 + x2 ≤ 1
c. To reflect the requirement of conducting the advertising campaign if the test marketing is carried out, we add the constraint:
x3 ≤ x4
By formulating and solving the integer programming model, the company can make an optimal investment decision to maximize the net present value based on the available capital funds over the next three years, considering various investment alternatives and their capital requirements. The modifications in parts b and c allow for specific constraints related to selecting only one warehouse expansion project and the requirement of conducting the advertising campaign alongside test marketing.
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TT the produces denim belts. The production budget for the next four months is My 5000 units. August 7600, September 2004 October 1900. Each belt requires 0.5 square meters of denim. Tinc denim Inventory policy is so of next month's production needs of the denim policy is met what will they inventory be?
The denim inventory at the end of August will be 3800 square meters, at the end of September will be 1002 square meters, and at the end of October will be 950 square meters.
To calculate the denim inventory for each month, we need to consider the production budget and the denim requirement for each belt. The inventory policy states that TinC should have enough denim to meet the next month's production needs.
For August, the production budget is 7600 belts, and each belt requires 0.5 square meters of denim. Therefore, the denim requirement for August is 7600 belts * 0.5 square meters/belt = 3800 square meters.
For September, the production budget is 2004 belts, so the denim requirement for September is 2004 belts * 0.5 square meters/belt = 1002 square meters.
For October, the production budget is 1900 belts, so the denim requirement for October is 1900 belts * 0.5 square meters/belt = 950 square meters.
Based on the inventory policy, TinC needs to have enough denim to meet the production needs for the next month. Therefore, the denim inventory at the end of August will be 3800 square meters, at the end of September will be 1002 square meters, and at the end of October will be 950 square meters.
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A U.S.-based company would be more likely to point to how sustainability efforts affect the company's _______ when rationalizing these efforts.
bottom line
A U.S.-based company would be more likely to point to how sustainability efforts affect the company bottom line when rationalizing these efforts. The term bottom line refers to a company net income or profit after all expenses have been deducted.
In the context of sustainability efforts, a company may invest in sustainable practices in order to reduce costs and increase efficiency, leading to a positive impact on the bottom line. Therefore, when rationalizing these efforts, a U.S.-based company is likely to focus on the financial benefits of sustainability rather than other potential benefits such as environmental or social impact.
The term bottom line refers to a company net income, which is the final profit or loss after all expenses have been deducted from the total revenue. When a U.S.-based company emphasizes sustainability efforts, it is typically interested in showing how these efforts can positively impact the bottom line, either by reducing costs, increasing revenue, or improving the company reputation, which can lead to long-term benefits.
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molly manufacturing plans to issue $75 million of common stock. the firm will likely rely on the advice and assistance of a(n):
Molly Manufacturing, in order to issue $75 million of common stock, will likely rely on the advice and assistance of an investment banker. An investment banker is a professional who specializes in helping companies raise capital by facilitating the sale of securities such as stocks and bonds.
They provide guidance on pricing, timing, and market conditions to ensure that the stock offering is successful. The investment banker also helps with underwriting, which is the process of buying and reselling the stock to investors. Overall, the investment banker is a valuable partner for Molly Manufacturing to ensure a successful stock offering and to access the capital they need to fund their business plans. To explain in 100 words, Molly Manufacturing plans to issue $75 million of common stock. In this process, the firm will likely rely on the advice and assistance of an investment banker or a financial advisor. The investment banker will help the company determine the appropriate pricing and structure for the stock offering, and they may also underwrite the issuance, meaning they guarantee the sale of the stock. Additionally, they will aid in marketing the stock to potential investors and ensure compliance with relevant regulations. Overall, an investment banker plays a crucial role in successfully issuing common stock.
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when composing a career objective what words should you omit
When composing a career objective, it is important to omit vague and generic words that do not provide specific information about your goals and aspirations.
Avoid using empty buzzwords such as "dynamic," "motivated," or "team player." Instead, focus on concrete skills, experiences, and achievements that are relevant to the position you are applying for. By using precise and targeted language, you can effectively communicate your unique value and differentiate yourself from other candidates.
When crafting a career objective, it is crucial to be concise and impactful. By omitting vague and generic words, you create a stronger and more focused statement. Words like "dynamic," "motivated," or "team player" lack specificity and fail to highlight your unique qualities. Employers are more interested in tangible skills and experiences that directly relate to the job. Instead of using these empty buzzwords, choose words that showcase your expertise and achievements in a particular field or industry. This way, you can demonstrate your value and convey a clear sense of purpose to potential employers. Ultimately, an effective career objective should be tailored, specific, and showcase your relevant qualifications.
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nwc requirements at the beginning of each year will be approximately 25 percent of the projected sales during the coming year. the tax rate is 21 percent and the required return on the project is 12 percent. (use sl depreciation table) what will the cash flows for this project be?
The project's annual cash flows can be calculated using the **net working capital (NWC) requirements**, projected sales, tax rate, and required return on the project.
To determine the cash flows, follow these steps:
1. Calculate the NWC requirements at the beginning of each year: Multiply the projected sales for the coming year by 25% (0.25).
2. Determine the annual depreciation using the **straight-line depreciation (SL) table**. Divide the initial cost of the project by the useful life in years.
3. Calculate the project's earnings before interest and taxes (EBIT) by subtracting the annual depreciation from the annual revenue generated by the project.
4. Compute the project's earnings after taxes (EAT) by applying the 21% tax rate to the EBIT.
5. Add back the annual depreciation to the EAT to obtain the project's operating cash flow.
6. Subtract the NWC requirements from the operating cash flow to obtain the project's annual cash flow.
By following these steps, you can calculate the cash flows for this project, taking into account the NWC requirements, tax rate, and required return on the project. This will provide the necessary information for further analysis, such as evaluating the project's net present value or internal rate of return.
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which ehr system backup requires the least amount of hardware
There are various electronic health record (EHR) systems available in the market, and the hardware requirements can vary depending on the specific system and its configuration.
Cloud-based EHR systems store data and applications on remote servers maintained by the EHR vendor or a third-party provider. This eliminates the need for extensive on-site hardware infrastructure, such as servers, storage devices, and backup systems. Instead, users can access. It's important to note that while cloud-based EHR systems can reduce hardware requirements, they introduce reliance on a stable internet connection and trusting a third-party vendor with data security and privacy.
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principal bennett ordered a 40-book box set of study quest for the school library. the website advertised that ordering a box set would be $65 cheaper than purchasing the books individually. principal bennett paid $295 in all. what is the cost of an individual book? $
The cost of an individual book in the study quest box set can be calculated by subtracting the advertised discount from the total amount paid by Principal Bennett.
Let's assume the cost of an individual book is represented by 'x.'
According to the given information, ordering a box set is $65 cheaper than purchasing the books individually. This means that the cost of the box set is $65 less than the combined cost of the individual books.
The total amount paid by Principal Bennett for the box set is $295. So, we can set up the following equation:
40x - $65 = $295
Now, let's solve the equation to find the value of 'x':
40x = $295 + $65
40x = $360
x = $360 / 40
x = $9
Therefore, the cost of an individual book in the study quest box set is $9.
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Equivalent annual cost
A manufacturer of packaging for companies that produce breakfast
cereals is considering alternatives
regarding the process it uses to pre-process carton paper used to
make the p
The Equivalent Annual Cost (EAC) is a financial metric used to compare different investment alternatives by converting their costs and benefits into an equivalent annualized value.
In the case of the packaging manufacturer, they are considering alternatives for the process used to pre-process carton paper for cereal packaging. To calculate the EAC, the manufacturer needs to analyze the costs and benefits associated with each alternative over their respective lifespans.
The EAC takes into account the initial investment, operating costs, maintenance expenses, salvage value, and any other relevant cash flows. By discounting and summing these cash flows over the alternative's lifespan and dividing by the annuity factor, the EAC represents the equivalent annual cost of each alternative.
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bright horizons skilled nursing facility, an investor-owned company constructed a new building to replace its outdated facility. the new building was completed on january 1, 2019, and bright horizons began recording depreciation immediately. the total costs of the new facility was $15,000,000, compromising (a) $10 million in construction costs and (b) $5 million for the land. bright horizons estimated that the new facility would have a useful life of 20 years. the salvage value of the building at the end of its useful life was estimated to be $1,500,000. using the straight-line method of depreciation, calculate annual depreciation expense on the new facility.
To calculate the annual depreciation expense on the new facility using the straight-line method, we need to subtract the estimated salvage value from the total cost of the building and divide it by the useful life.
Total cost of the building = Construction costs + Land cost
Total cost of the building = $10,000,000 + $5,000,000 = $15,000,000
Depreciable cost = Total cost of the building - Salvage value
Depreciable cost = $15,000,000 - $1,500,000 = $13,500,000
Annual depreciation expense = Depreciable cost / Useful life
Annual depreciation expense = $13,500,000 / 20 years
Calculating the annual depreciation expense:
Annual depreciation expense = $13,500,000 / 20
Annual depreciation expense = $675,000
Therefore, the annual depreciation expense on the new facility using the straight-line method is $675,000. This amount will be recorded as an expense each year for the useful life of the building.
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Suppose the FED realizes that growth is slowing, but internal disagreements about how to interpret the available data and the extent of the economic decline delay any action. The statement refers to a. The information lag The decision lag b.The implementation lag c. The multiplier lag
Information Lag: This refers to the delay in obtaining and processing relevant information needed to make informed decisions.
In the given statement, it implies that there may be a delay in collecting and analyzing data related to the slowing growth, causing a lag in obtaining accurate information about the current economic situation.
Decision Lag: This lag occurs when there are disagreements or delays in reaching a consensus among policymakers regarding the appropriate course of action. In the provided statement, internal disagreements about interpreting the available data and the extent of the economic decline are causing a delay in making decisions on how to address the slowing growth.
Implementation Lag: This lag refers to the time it takes to put decisions into action once they have been made. In the given scenario, the delay in taking action due to internal disagreements is causing a delay in implementing the chosen policies or measures to address the slowing growth.
Multiplier Lag: The multiplier lag refers to the time it takes for the effects of policy actions to fully manifest in the economy . When policy measures are implemented, it often takes time for their impact to ripple through the various sectors of the economy and produce observable results. However, the given statement does not directly relate to the multiplier lag.
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A rights offer made to existing shareholders with the sole purpose of making it more difficult for another firm to acquire the company is called
a. a preemptive right.
b. a poison pill.
c. ex-rights.
d. rights-on.
b) The correct term for a rights offer made to existing shareholders with the sole purpose of making it more difficult for another firm to acquire the company is a poison pill.
A poison pill is a defensive strategy employed by a company to deter hostile takeovers or acquisitions. It involves offering existing shareholders certain rights or benefits that make it unfavorable or costly for another firm to acquire the company. The purpose of a poison pill is to dilute the ownership of the acquiring company or increase the cost of the acquisition, making the target company less attractive. On the other hand, a preemptive right refers to the right of existing shareholders to maintain their proportionate ownership by having the first opportunity to purchase additional shares before they are offered to external investors. Therefore, the term that specifically refers to a rights offer made to existing shareholders with the purpose of impeding an acquisition is a poison pill.
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Kite 'N String manufactures old-fashioned diagonal and box kites from high-strength paper and wood. Each diagonal kite, which nets the company a $3 profit and requires & square feet of paper and 5 linear feet of wood. Each box kite nets a $5 profit and requires 6 square feet of paper and 10 linear feet of wood. Each kite needs to be packaged in a single box before it is sold to customers. This week Kite 'N String has 1500 boxes for packaging (one for each kite), and the capacity to tailor 10,000 square feet of paper and 12,000 linear feet of wood for kite production. Kite 'N String need to make production decision in order to maximize the company's total profit for this week? Implement this problem into excel and solve for the optimal solutions. What is the optimal total profit?
The optimal total profit for Kite 'N String is $14,800.
To maximize the company's total profit for the week, Kite 'N String needs to manufacture 200 diagonal kites and 1000 box kites. This production plan will require 2000 square feet of paper and 12,000 linear feet of wood, which are within the production capacity of Kite 'N String. The production plan will also require 1200 boxes for packaging the kites, which is within the available packaging capacity of the company.
The first step in solving this problem is to set up the objective function and constraints in Excel. The objective function is the total profit, which is given by:
Profit = 3D + 5BWhere D is the number of diagonal kites and B is the number of box kites. The constraints are given by:
Paper: 2D + 6B ≤ 10,000
Wood: 5D + 10B ≤ 12,000
Boxes: D + B ≤ 1500
Non-negativity: D ≥ 0, B ≥ 0
These constraints represent the paper, wood, and box packaging capacity of the company, as well as the non-negativity constraint on the number of kites produced.
Once the constraints and objective function are set up, the Solver add-in in Excel can be used to find the optimal solution. The optimal production plan is to manufacture 200 diagonal kites and 1000 box kites, which results in a total profit of $14,800.
This production plan satisfies all the constraints and maximizes the company's total profit.
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fixed cost A= rm 200000 per m9nth
fixed cost B= rm50 000 per month
variable cost a = rm 100
variable cost b= rm 30
sellimg price per unit both = 100- 0.3D
optimal unit for a and b is?
The optimal units for A and B are 2142 units each. To find the optimal unit for A and B, we need to compare the total costs of producing each unit and determine the point where the cost is minimized.
The total cost for A is the sum of the fixed cost and the variable cost per unit multiplied by the number of units produced:
Total Cost A = Fixed Cost A + (Variable Cost A * Units Produced)
Total Cost A = RM200,000 + (RM100 * Units Produced)
The total cost for B is calculated in the same way:
Total Cost B = Fixed Cost B + (Variable Cost B * Units Produced)
Total Cost B = RM50,000 + (RM30 * Units Produced)
To find the optimal units, we need to equate the total costs of A and B and solve for the units produced:
Total Cost A = Total Cost B
RM200,000 + (RM100 * Units Produced) = RM50,000 + (RM30 * Units Produced)
Simplifying the equation:
RM150,000 = RM70 * Units Produced
Units Produced = RM150,000 / RM70
Units Produced ≈ 2142.86
Since units cannot be in decimal numbers, we round down to the nearest whole number.
Therefore, the optimal units for A and B are 2142 units each.
Note: The selling price per unit is not relevant to determining the optimal units.
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bricktan incorporated makes three products, basic, classic, and deluxe. the maximum bricktan can sell is 732,000 units of basic, 556,000 units of classic, and 128,500 units of deluxe. bricktan has limited production capacity of 1,104,000 machine hours. machine hours per unit are as follows: basic, 1 hour; classic, 1.25 hours; and deluxe 2.5 hours. contribution margin per unit is $15 for basic, $25 for classic, and $55 for deluxe. what is the most profitable sales mix for bricktan incorporated?
To determine the most profitable sales mix for Bricktan Incorporated, we need to allocate the limited production capacity of 1,104,000 machine hours among the three products: basic, classic, and deluxe.
We will calculate the contribution margin per machine hour for each product and then allocate the machine hours accordingly.
First, we calculate the contribution margin per unit for each product:
- Basic: $15
- Classic: $25
- Deluxe: $55
Next, we calculate the machine hours required per unit for each product:
- Basic: 1 hour
- Classic: 1.25 hours
- Deluxe: 2.5 hours
Now, we calculate the contribution margin per machine hour for each product by dividing the contribution margin per unit by the machine hours required per unit:
- Basic: $15 / 1 hour = $15 per machine hour
- Classic: $25 / 1.25 hours = $20 per machine hour
- Deluxe: $55 / 2.5 hours = $22 per machine hour
To determine the most profitable sales mix, we compare the contribution margin per machine hour for each product. The product with the highest contribution margin per machine hour is the most profitable.
In this case, the most profitable product is the Deluxe, with a contribution margin per machine hour of $22. The next most profitable is the Classic, with a contribution margin per machine hour of $20. The least profitable is the Basic, with a contribution margin per machine hour of $15.
Since the production capacity is limited to 1,104,000 machine hours, we allocate the machine hours to maximize profitability. To achieve the most profitable sales mix, Bricktan Incorporated should focus on producing and selling the Deluxe product as much as possible, followed by the Classic product. The Basic product should be produced and sold last, as it has the lowest contribution margin per machine hour.
By prioritizing production and sales based on the contribution margin per machine hour, Bricktan Incorporated can optimize profitability and make the most effective use of its limited resources.
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Caligula Corp. has 840,000 shares outstanding, currently trading at $64. The company is borrowing $4,000,000 to buy back some shares. The interest rate is 13%. Assume that the buy-back does not affect the stock price.
a) What is the break-even EBIT if there are no taxes?
b) What is the break-even EBIT if the tax rate is 34%?
The break-even EBIT, with no taxes, is $520,000 and the break-even EBIT, with a tax rate of 34%, is $696,800.
a) To calculate the break-even EBIT (Earnings Before Interest and Taxes), we need to determine the point where the interest expense from the borrowed amount equals the interest tax shield provided by the tax deduction. Since there are no taxes in this case, the interest tax shield is not applicable.
The interest expense can be calculated by multiplying the borrowed amount by the interest rate:
Interest Expense = $4,000,000 * 0.13
Interest Expense = $520,000
The break-even EBIT occurs when the EBIT is equal to the interest expense:
Break-even EBIT = Interest Expense
Break-even EBIT = $520,000
Therefore, the break-even EBIT, with no taxes, is $520,000.
b) If the tax rate is 34%, we need to consider the interest tax shield in the break-even EBIT calculation. The interest tax shield represents the tax savings resulting from the tax-deductibility of interest expenses.
The interest tax shield can be calculated by multiplying the interest expense by the tax rate:
Interest Tax Shield = Interest Expense * Tax Rate
Interest Tax Shield = $520,000 * 0.34
Interest Tax Shield = $176,800
The break-even EBIT, considering the tax rate, occurs when the EBIT is equal to the sum of the interest expense and the interest tax shield:
Break-even EBIT = Interest Expense + Interest Tax Shield
Break-even EBIT = $520,000 + $176,800
Break-even EBIT = $696,800
Therefore, the break-even EBIT, with a tax rate of 34%, is $696,800.
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The A-B-C department of a large company makes three products (A, B and C). To determine the best production schedule, the manager has formulated the following linear programming model: Decision variables: A quantity of product A B - quantity of product B C-quantity of product C Objective function: Maximize 12 A+ 15 B + 16 C (total profit: coefficients are net profit per unit in dollars) Constraints: Material 1 3A+ **B+8 C<= 720 pounds Material 2 +3C < 600 pounds Material 3 4 A+6 B+ 4 C<= 640 pounds Non-negativity A, B, C >=0 The manager has solved this problem using Excel Solver and the sensitivity report is given below: 2A Variable Cells Name Cell $B$2 A Final Reduced Objective Allowable Allowable Value Cost Coefficient increase Decrease 16 12 4 0.5 0 -1 15 1 1E+30 84 0 16 2 4 $C$2 B $D$2 C Constraints Cell Name $E$6 Material 1 $E$7 Material 2 $E$8 Material 3 Final Shadow Constraint Allowable Allowable Value Price R.H. Side Increase Decrease 720 0.8 720 80 420 284 0 600 1E+30 316 400 2.4 400 560 40 Based on the information given (No need to implement this problem into solver), if product A's unit profit decreases to 9, what is the optimal total profit? 1536 Can't be computed with the given information 2016 1488
If the unit profit of product A decreases to 9, the new optimal total profit would be $2004.
Based on the sensitivity report provided, the current optimal total profit is $2016.
Since the objective function coefficient for product A changes from 12 to 9 (a decrease of 3), we need to determine the impact on the optimal total profit. The reduced cost for product A is given as 4, which means that for each unit decrease in the objective function coefficient of product A, the total profit decreases by 4 units.
To calculate the new optimal total profit, we subtract the impact of the decrease in unit profit of product A from the current optimal total profit:
New optimal total profit = Current optimal total profit - Impact of decrease in unit profit of product A
New optimal total profit = $2016 - (3 * 4) = $2016 - 12 = $2004
Therefore, if the unit profit of product A decreases to 9, the new optimal total profit would be $2004.
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a developer wants to automate an invoice process in the robotic enterprise (re) framework for the finance team. the subject matter expert (sme) has a requirement to receive an email with the process report at the end of every transaction. in addition, the team requires the email to come from the director of finance's email account which may change as employees are promoted. the developer uses a send smtp mail message activity at the end of the process transaction state and uses the sme email address as the recipient. based on best practices, where should the director's email account information be stored? review later in an orchestrator credential asset and referenced in the assets sheet in the file in an orchestrator text asset and referenced in the assets sheet in the file in an orchestrator credential asset and referenced in the settings sheet in the file in the constants sheet in the file with the value of the email address
Based on best practices, the director's email account information should be stored in an Orchestrator Credential asset and referenced in the Settings sheet in the file.
In the Robotic Enterprise (RE) Framework, it is recommended to store sensitive information, such as credentials, in a secure manner. Orchestrator Credential assets provide a secure way to store and manage credentials within UiPath. By using a Credential asset, the email account information of the director of finance can be securely stored and accessed when needed.
Storing the director's email account information as a Credential asset allows for better security and control. The email address can be stored as the username within the Credential asset, and the corresponding password (in this case, the email account password) can be securely stored within Orchestrator.
Referencing the Credential asset in the Settings sheet of the RE Framework allows easy access to the director's email account information during the automation process. It ensures that the information is separated from the workflow logic and can be easily updated or modified in Orchestrator without changing the underlying automation.
By storing the director's email account information in an Orchestrator Credential asset and referencing it in the Settings sheet of the RE Framework, the automation process ensures the security of sensitive information and allows for easy management and modification of the email account details without modifying the workflow itself. This approach aligns with best practices for securely handling credentials in UiPath automation projects.
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1)How does managerial accounting differ from financial accounting
2)why do companies prepare budgets
3)why do companies that implement lean production tend to have minimal inventories
4)define the following:(a) direct materials (b)indirect materials (c)direct labor (d)indirect labor (e)manufacturing overhead
5)distinguish between (a)variable cost (b) fixed cost (c)a mixed cost
6)define the following terms -(a)cost behavior (b) relevant range
Systems frequently use indirect labour allocation and mixed-model accounting, a technique for allocating overhead. A approach called mixed-model accounting combines various costing methodologies to better precisely allocate overhead expenses.
1) To goods and services. With the help of this method, businesses may more clearly understand the expenses of their operations and make better choices that will increase productivity and profitability.The practise of allocating indirect labour expenses.
2) such as those associated with administrative and supervisory tasks, to various cost objects, such as items or departments, is known as indirect labour allocation. Despite not being directly related to a particular good or service,
3) these charges nonetheless go towards overall operational costs.mixed-model both accounting Indirect-labor allocation and mixed-model accounting are both crucial for giving a thorough picture of a company's overhead expenses.
4) These techniques enable businesses to conduct a more thorough cost analysis, spot inefficiencies, and spend resources more wisely to improve overall performance.
5) Indirect labour allocation and mixed-model accounting are beneficial for learning systems because they provide a more thorough and accurate evaluation of overhead expenses. These methods help businesses.
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which of the following is not a ground for voiding a contract? unconscionable contract physical threat breach undue influence
Undue influence is not a ground for voiding a contract. This is because undue influence refers to a situation where one party uses their power or authority over the other party to manipulate them into entering into a contract. While this may make the contract unfair or unethical, it does not necessarily make it void.
On the other hand, an unconscionable contract is one that is so one-sided or oppressive that it shocks the conscience and is therefore void. A contract may also be void if entered into under physical threat or if one party breaches the terms of the agreement.
In 100 words, the term that is not a ground for voiding a contract among unconscionable contract, physical threat, breach, and undue influence is breach. A breach refers to a party's failure to fulfill their contractual obligations. While a breach may lead to legal consequences and damages, it does not necessarily render the entire contract void. On the other hand, unconscionable contracts, physical threats, and undue influence are grounds for voiding a contract as they involve elements of coercion, exploitation, or unfairness that make the agreement fundamentally unjust or invalid.
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Are T-Notes and T-bonds completely risk-free? How are the
interest rates?
T-Notes (Treasury Notes) and T-Bonds (Treasury Bonds) are considered to be relatively low-risk investments because they are issued by the U.S. government, which is considered one of the most creditworthy entities in the world.
While they are not completely risk-free, they are often perceived as close to risk-free due to the backing of the U.S. government. The primary risk associated with T-Notes and T-Bonds is interest rate risk. As fixed-income securities, their prices are inversely related to interest rates.
When interest rates rise, the prices of existing T-Notes and T-Bonds decrease, leading to a potential loss of principal if sold before maturity. Conversely, when interest rates fall, their prices increase, resulting in capital appreciation.
The interest rates on T-Notes and T-Bonds are determined through the auction process. The U.S. Department of the Treasury holds regular auctions to sell these securities, and the interest rates are set based on market demand and prevailing rates.
The interest payments, known as coupon payments, are made semi-annually to investors. It's important to note that while T-Notes and Treasury Bonds carry relatively low default risk, they are not immune to other risks such as inflation risk and reinvestment risk.
Inflation can erode the purchasing power of the fixed interest payments, and reinvestment risk arises when interest payments are reinvested at lower rates upon maturity.
In conclusion, while T-Notes and T-Bonds are generally considered low-risk investments due to their backing by the U.S. government, they are not completely risk-free. Investors should be aware of the interest rate risk and other factors that can impact the value and returns of these securities.
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