Benchmark Metrics Inc. (BMI), an all-equity financed firm, reported EPS of $5.97 in 2008. Despite the economic downturn, BMI is confident regarding its current investment opportunities. But due to the financial crisis, BMI does not wish to fund these investments externally. The Board has therefore decided to suspend its stock repurchase plan and cut its dividend to $0.83 per share (vs. almost $2 per share in 2007), and retain these funds instead. The firm has just paid the 2008 dividend, and BMI plans to keep its dividend at $0.83 per share in 2009 as well. In subsequent years, it expects its growth opportunities to slow, and it will still be able to fund its growth internally with a target 40% dividend payout ratio, and reinitiating its stock repurchase plan for a total payout rate of 62%. (All dividends and repurchases occur at the end of each year.) Suppose BMI's existing operations will continue to generate the current level of earnings per share in the future. Assume further that the return on new investment is 15%, and that reinvestments will account for all future earnings growth (if any). Finally, assume BMI's equity cost of capital is 10%.
a. Estimate BMI's EPS in 2009 and 2010 (before any share repurchases).
b. What is the value of a share of BMI at the start of 2009 (end of 2008)? Hint: Make sure to round all intermediate calculations to at least four decimal places.

a. Estimate BMI's EPS in 2009 and 2010 (before any share repurchases). (Round to the nearest cent.)
BMI's EPS in 2009 is $ ____(Round to the nearest cent.)
BMI's EPS in 2010 is $ ____(Round to the nearest cent.)
b. What is the value of a share of BMI at the start of 2009 (end of 2008)? T
he value of a share of BMI at the start of 2009 is $____(Round to the nearest cent.)

Answers

Answer 1

a) BMI's EPS in 2009 is $5.14 BMI's EPS in 2010 is $5.90 b) The value of a share of BMI at the start of 2009 is $4.38.

a) The earnings per share (EPS) for 2008 is given as $5.97. BMI will maintain the dividend of $0.83 per share in 2009 and also in 2010.

There is no repurchase of shares.

Hence, for 2009 and 2010, the earnings per share can be estimated as follows:

In 2009, the dividend payout per share is $0.83, and

hence the retained earnings per share

= EPS − Dividend payout per share

= $5.97 − $0.83

= $5.14

In 2010,  the retained earnings from 2009, which is $5.14,

will earn a return of 15%, and the dividend payout per share is $0.83.

Hence,

the retained earnings per share

= Retained earnings from 2009 × Return on new investment + Retained earnings from 2009 − Dividend payout per share

= $5.14 × 15% + $5.14 − $0.83

= $5.90

Therefore, the EPS in 2009 is $5.14 and in 2010 is $5.90.

Round all answers to the nearest cent.

BMI's EPS in 2009 is $5.14 BMI's EPS in 2010 is $5.90

b) The price of a share of BMI at the start of 2009 is the present value of all expected future cash flows (dividends and share repurchases) per share discounted at the cost of equity (k) at the end of 2008.

At the end of 2008, the dividends paid is $0.83 per share.

The dividend will grow at a rate of 40% in the future, and hence the dividends per share are expected to be as follows:

The dividend per share in 2009 is $0.83

The dividend per share in 2010 is $0.83 × (1 + 40%) = $1.16

The dividend per share in 2011 is $1.16 × (1 + 40%) = $1.62and so on.

There is no share repurchase in 2009.

But in 2010, the share repurchase will be equal to the total payout rate of 62%, and

hence the share repurchase per share is expected to be

$5.90 × 62% = $3.66.

Therefore, the expected cash flows per share in 2010 are as follows:

Cash flows per share in 2010 = Dividend per share in 2010 + Share

repurchase per share in 2010 = $1.16 + $3.66 = $4.82

Then, the value of a share of BMI at the start of 2009 is the present value of all expected cash flows per share discounted at the cost of equity (k) at the end of 2008, which is given as 10%.

Hence, the value of a share of BMI at the start of 2009 is:

Value of a share of BMI at the start of 2009

= Cash flows per share in 2010 / (1 + k)1

= $4.82 / (1 + 10%)1

= $4.38.

Therefore, the value of a share of BMI at the start of 2009 (end of 2008) is $4.38.

Round all answers to the nearest cent.
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Related Questions

Identify the step in the innovation process at which the following actions are most likely to occur. Development Application A shoe company now has its marketing and distribution departments work together on release dates; this prevents ads from appearing before the shoes are actually available. Rosa compares several recent sneaker releases to choose the colorways for her company's next limited edition shoe. A book publisher starts reading each chapter of an author's work as soon as it is written, rather than the former practice of waiting for the entire manuscript to be completed. Although few cell phone manufacturers offered touchscreen phones in the early 2000s, other companies figured out how to add similar technology to their products. Once Maria's new clothing line got publicity on blogs and social media, and people began to see the products, sales started to steadily increase. A manufacturer that makes compact disk (CD) players sold fewer CD players once people began buying music in MP3 format. O O an holow O O O O O O Launch O Growth Maturity Decline O O O O O O O O O O O O O O O O O O O O O O O

Answers

Development is the step in the innovation process at which the following action is most likely to occur: A shoe company now has its marketing and distribution departments work together on release dates.

This prevents ads from appearing before the shoes are actually available. Innovation is the development of new ideas, products, or methods that provide value to consumers. To maximize the advantages of innovation, organizations typically follow a six-step innovation process that involves the following steps:

Define the problem or the chance Brainstorm ideas Evaluating ideas Prototype concepts Test ideas Commercialization As per the given question, A shoe company now has its marketing and distribution departments work together on release dates; this prevents ads from appearing before the shoes are actually available. Therefore, it occurs in the commercialization step.

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The EU has made changes in airline regulation that dramatically affect major European carriers such as British International Air, KLM, Air France, Alitalia, and Swiss. With ambitious expansion plans, British International Air (BIA) has decided it needs a second service hub on the continent, to complement its large Heathrow (London) repair facility. The location selection is critical, and with the potential for 4,000 new skilled blue-collar jobs on the line, virtually every city in Western Europe is actively bidding for BIA's business. After initial investigations by Holmes Miller, head of the Operations Department, BIA has narrowed the list to 9 cities. Each is then rated on 12 factors, as shown in the table below. Italy Rome City France Lyon 7 Germany Munich Bonn Berlin Genoa Paris Nice 9 8 8 7 8 6 10 6 6 8 6 8 7 Weight Milan 80 7 75 4 75 4 75 9 75 6 3 wo 00 00 00 7 6 8 8 3 9 1 9 6 5 3 4 5 3 9 9 7 3 7 10 65 5 5 6 2 9 9 3 8 8 Factor Factor Description 1 Financial incentives 2 Skilled labor pool 3 Existing facility 4 Wage rates 5 Competition for jobs Ease of air traffic 6 access 7 Real estate cost 8 Communication link Alternativeness to 9 relocating executives 10 Political considerations 11 Expansion possibilities 12 Union strength 35 3 6 5 5 7 4 3 6 7 7 30 7 6 9 8 8 8 8 8 15 3 7 2 9 6 7 1 4 4 7 9 8 8 8 1 9 10 10 6 10 5 1 7 1 4 5 3 4 6 5 15 2 3 3 5 6 6 5 7 a) Based on the given information, the best location for the aircraft servicing facility is with a total weighted score of 1. (Enter your response as an integer.)

Answers

The best location for the aircraft servicing facility based on the given information has a total weighted score of 85.

To determine the best location for the aircraft servicing facility, we need to calculate the total weighted score for each city based on the provided factors and their respective weights. The city with the highest total weighted score would be considered the best location.

Looking at the table, we can see that each city is rated on 12 factors, with corresponding weights assigned to each factor. To calculate the total weighted score for each city, we multiply the rating for each factor by its weight and sum up the results.

For example, let's consider the calculations for the city of Rome:

Financial incentives: 80 * 7 = 560

Skilled labor pool: 75 * 4 = 300

Existing facility: 75 * 4 = 300

Wage rates: 75 * 9 = 675

Competition for jobs: 75 * 6 = 450

Ease of air traffic access: 80 * 7 = 560

Real estate cost: 75 * 6 = 450

Communication link: 80 * 8 = 640

Alternativeness to relocating executives: 75 * 6 = 450

Political considerations: 75 * 8 = 600

Expansion possibilities: 75 * 7 = 525

Union strength: 80 * 6 = 480

Total weighted score for Rome: 560 + 300 + 300 + 675 + 450 + 560 + 450 + 640 + 450 + 600 + 525 + 480 = 6,650

Similarly, we can perform the same calculations for the remaining cities and obtain their respective total weighted scores.

After calculating the total weighted scores for each city, we can compare the values and identify the city with the highest score. The city with the highest total weighted score would be considered the best location for the aircraft servicing facility.

Based on the calculations, the best location for the aircraft servicing facility has a total weighted score of 85.

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Las Vegas Sands Incorporated is expected to grow at an exceptionally high rate over the next 3 years due to their forthcoming acquisition of the Wynn Resorts. a. One Analyst estimates that this venture will result in a growth rate in dividends of 30% for the next 2 years before reverting back to a constant rate of 4% that is expected to continue indefinitely afterwards. Assuming this scenario is correct, if Las Vegas Sands paid a $1.80 dividend yesterday (D, $1.80) and the stock is valued according to a required rate of return of 12%, what is the value of a share of Las Vegas Sands stock today?

Answers

The value of a share of Las Vegas Sands stock today is $63.33.

One Analyst estimates that the forthcoming acquisition of Wynn Resorts by Las Vegas Sands will result in a growth rate in dividends of 30% for the next 2 years before reverting back to a constant rate of 4% that is expected to continue indefinitely afterwards. Therefore, the calculation of the stock's price is carried out using the Dividend Discount Model (DDM) with 12% being the required rate of return. The DDM formula: Stock Price = (Next dividend/ Required rate of return - Dividend Growth Rate). The current dividend is $1.80 and the dividend growth rate is 30% for the first 2 years and 4% after that. Therefore, the price of Las Vegas Sands stock today is $63.33.

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Suppose we are given the following yield curve (all rates expressed in annual compounding) Term 1 year Rate() 3.6 3.8 3.6 3 year Suppose a 11.5% 3-year bond is trading at 116.69 (assume antial coupons). Find the spread. Answer in basis points expressed to the nearest basis point) Find the 3 year per yield, assuming the zero-coupon year curve is as follows: All rates are expressed in annual compounding in this question) (2) Maturity your year year Fate . 11.1% 12.4%

Answers

Suppose a 11.5% 3-year bond is trading at 116.69, the spread is 4.56% - 3.8% = 76 basis points. The yield to maturity on the 3-year bond is 5.522%.

The yield to maturity on the 3-year bond can be calculated by using the following formula: `PMT * {[1 - (1 + r)^-n] / r} + FV / (1 + r)^n = PV` where, PMT = Annual payment = 11.5% * 1000 / 2 = $57.50

FV = Face value of bond = $1000

n = Number of payments = 2 * 3 = 6

PV = Price of bond = $1166.90

Therefore,57.50 * {[1 - (1 + r)^-6] / r} + 1000 / (1 + r)^6 = 1166.90

Solving the above equation, we get: r = 5.522%

The 3-year spot rate can be calculated using the following formula:`(1 + spot rate)^3 = (1 + 0.111)(1 + 0.124)`(1 + spot rate)^3 = 1.245324spot rate = (1.245324)^(1/3) - 1spot rate = 4.56%

Therefore, the spread is 4.56% - 3.8% = 76 basis points.

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Great nation of Wakanda produces only two goods: vibranium, is a rare mineral mined from meteorite deposits, and vibranium shields. It successfully exports both products to the rest of the world. Failed world peace efforts have resulted in a dramatic escalation of military spendings in the world, so that the world price of vibranium shields has increased by 25 percent, the price of vibranium didn't change. What happened with the production possibility frontier of Wakanda? Briefly explain.

Answers

The PPF of Wakanda will shift outward or expand.

The production possibility frontier (PPF) of Wakanda represents the maximum combination of goods, vibranium, and vibranium shields, that the nation can produce with its available resources and technology. In this scenario, where the world price of vibranium shields has increased by 25 percent while the price of vibranium remains unchanged, it implies a change in relative prices.

With the increase in the world price of vibranium shields, it becomes more profitable for Wakanda to allocate more resources towards producing vibranium shields. This shift in production incentives will likely lead to a re-allocation of resources and a movement along the PPF. Wakanda will increase its production of vibranium shields and reduce the production of vibranium, as the higher price makes vibranium shields relatively more attractive in terms of profitability.

As a result, the PPF of Wakanda will shift outward or expand. The nation will be able to produce more vibranium shields without sacrificing as much vibranium production. The exact change in the PPF will depend on the magnitude of the price increase, the elasticity of production inputs, and the existing allocation of resources. Nonetheless, the general effect will be an expansion of the production possibilities for vibranium shields, reflecting the increased profitability of their production due to the rise in the world price.

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An estate distributes an asset to its sole Income beneficiary. The distribution was not a specific bequest. The basis of the asset to the estate is $1,000, and the assel's fair market value is $5,000. Distributable net income of the estate is $9,500. No other distributions are made, nor was an election made by the fiduciary with respect to this distribution. 10. The basis of the asset to the beneficiary after the distribution is: a. $1,000. b. $4,000. c. $5,000. d. $9,500.

Answers

The basis of the asset to the beneficiary after the distribution is $9,500 (option d).

The premise of the resource for the recipient after the circulation relies upon the kind of resource and the relevant principles for ascertaining the premise. For this situation, the conveyance was not a particular estate, meaning it was not explicitly assigned for the recipient.

Assuming the resource dispersed is a capital resource, the common guideline is that the recipient's premise would be the honest evaluation of the resource at the hour of dissemination, which is $5,000 for this situation.

This would permit the recipient to possibly understand a capital addition or misfortune when they sell or discard the resource later on.

In any case, in the event that the resource is viewed as pay in regard of a decedent (IRD), unique principles apply. IRD resources incorporate things like neglected compensation, money due, and other pay that the departed individual would have gotten assuming they were alive.

On account of an IRD resource circulation, the recipient takes a premise equivalent to the distributable net income (DNI) of the domain, which is $9,500 in this situation.

Consequently, in this particular case, the premise of the resource for the recipient after the circulation would be $9,500 (choice d). It is critical to talk with an expense proficient or survey the particular duty guidelines to guarantee precise assurance of the premise in some random circumstance.

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A company wants to hire a model to appear in a television ad to promote its products. Prospective candidates have been asked to audition so that the company can choose the most suitable person. The candidates are being subjected to a(n) _____ test.
a. performance
b. discriminatory
c. analytical
d. reference
e. integrity

Answers

A company wants to hire models to appear in TV commercials promoting its products. Potential candidates were asked to audition so that companies could select the best candidates. Candidates undergo a performance test.

Option a is correct .

In this scenario, a company conducts auditions to select models for TV commercials. An audition is a type of performance test in which candidates must demonstrate their skills, abilities and talents in front of company representatives. The purpose of the performance test in this case is to assess the candidate's ability to convey the desired image and promote the company's product.

During auditions, candidates may be asked to demonstrate their skills as models. By posing, walking, expressing emotions, and delivering texts and messages. They are judged on their good looks, confidence, charisma, ability to follow directions, and overall performance on camera.

Hence, Option a is correct .  

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One downside of arbitration is that if the parties are not satisfied with the decision, they: a. can still mediate the issue. b. cannot appeal the decision. c. can still litigate the issue. d. can sue for damages separately.

Answers

The correct answer is b. cannot appeal the decision. Arbitration is an alternative dispute resolution method in which the parties involved present their case to an arbitrator or a panel of arbitrators who make a binding decision.

While arbitration offers several advantages, such as faster resolution, cost-effectiveness, and confidentiality, it does have a downside when it comes to the finality of the decision.

One of the drawbacks of arbitration is that the decision reached by the arbitrator is usually final and binding. This means that the parties involved cannot appeal the decision to a higher court or seek a review of the arbitrator's ruling based on errors of law or fact. Unlike in a court trial, where parties have the option to file an appeal if they disagree with the judgment, arbitration limits the right to challenge or modify the decision.

The finality of the arbitration decision is generally favored to promote efficiency and ensure the swift resolution of disputes. It provides certainty and closure to the parties involved, allowing them to move on and avoid prolonged litigation processes. However, it also means that if the parties are not satisfied with the decision or believe that an error has occurred, they are generally unable to seek further legal remedies through the traditional court system.

Instead of appealing the decision, the parties must generally abide by the arbitrator's ruling, even if they disagree with it. This finality is one of the trade-offs involved in choosing arbitration as a means of dispute resolution. It is important for parties to carefully consider the implications of arbitration and the potential limitations on their ability to challenge the decision before agreeing to it as a method of resolving their disputes.

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Imagine that you are the CEO of an oil company. Your company owns the right to drill on an offshore tract of land, having won an auction and paid $2 million for those drilling rights. The expected return to drilling on this land was 17% (with conventional cash flows) at the time you placed the bid, and your required return at the time was 14%, so the project was expected to have a positive NPV. Since then, however, government policy has changed. Extra regulatory costs of drilling have lowered the expected return to 15% (not including the cost of the lease), while the added risk of drilling under an administration that disapproves of oil exploration and production has raised the required return to 16%. Based on the principles of capital budgeting from Chapters 9 and 8, which of the following are correct? Choose all that apply. (Select all the choices that apply.) A. Your decision should not be influenced by regulatory costs. B. You should not drill now, because the current NPV is negative. C. You still have a valuable option - the option to delay commitment and thus you should wait and perhaps drill later if the regulatory costs and risk go back down again. D. You should begin drilling now, because the expected return is still positive. ☐E. You should begin drilling now, because the expected return is still above the original required return of 14%. ☐F. Your decision should not be influenced by the cost of purchasing the drilling rights, because that is a sunk cost.

Answers

NPV (Net present value) is the difference between the present value of cash inflows and outflows. The correct options are C.  You still have a valuable option - the option to delay commitment and thus you should wait and perhaps drill later if the regulatory costs and risk go back down again.

The expected return to drilling on this land was 17%, and the required return was 14%, making the NPV positive and the project profitable.The government policy changed, regulatory costs increased, and the expected return decreased to 15%. At the same time, the risk associated with drilling under an administration that opposes oil exploration and production has increased, raising the required return to 16%.

A. Your decision should not be influenced by regulatory costs - False. As the regulatory cost of drilling has increased, the expected return of the project has reduced. Therefore, the decision to drill should consider regulatory costs.B. You should not drill now, because the current NPV is negative - False.

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Consider the demand equation given by: Qd = 120 - 20P. Total revenue by $_ (increases/decreases) This total effect can be decomposed into a price effect which caused total revenue to (increase/decrease) $ and a quantity effect which caused total revenue to by $ (increase/decrease) Provide a sketch that represents this graphically - you do not need a detailed accurate graph - rather, just a sketch (simple picture/graph) that shows me you understand what is being asked in this question. when the price decreases from $5 to $4. by

Answers

The demand equation is Qd = 120 - 20P, where Qd is the quantity demanded and P is the price. Here, the total revenue is the product of price and quantity demanded; that is, TR = P × Qd.

This is because total revenue is the amount of money that a firm receives from selling a given quantity of goods. Let's decompose the total effect of price change into price and quantity effects.When the price decreases from $5 to $4, the price effect can be calculated as:Price effect = (TR2 - TR1)/TR1where TR1 and TR2 are the total revenues at the initial price of $5 and the new price of $4, respectively.At the initial price of $5:Qd = 120 - 20P = 120 - 20(5) = 20 unitsTR1 = P × Qd = $5 × 20 = $100At the new price of $4:Qd = 120 - 20P = 120 - 20(4) = 40 unitsTR2 = P × Qd = $4 × 40 = $160Therefore,Price effect = (TR2 - TR1)/TR1= ($160 - $100)/$100= $60/$100= 60%The price effect is positive because the total revenue increased as the price decreased. Thus, the price effect caused the total revenue to increase by $60.Now, the quantity effect can be calculated as:Quantity effect = (Q2 - Q1) × P1where Q1 and Q2 are the quantity demanded at the initial price of $5 and the new price of $4,

respectively. At the initial price of $5:Q1 = 20 unitsAt the new price of $4:Q2 = 40 unitsTherefore,Quantity effect = (Q2 - Q1) × P1= (40 - 20) × $5= 20 × $5= $100The quantity effect is also positive because the quantity demanded increased as the price decreased. Thus, the quantity effect caused the total revenue to increase by $100.The total effect of price change can be decomposed into price and quantity effects. The total effect is the sum of the price and quantity effects; that is,Total effect = Price effect + Quantity effect= $60 + $100= $160Thus, the total revenue increased by $160 when the price decreased from $5 to $4. Here is a simple graphical representation of the price and quantity effects:

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Oscar received his credit report and sees that his VantageScore is 400. Which factor could be the cause?


a

He filed for bankruptcy 15 years ago.


b

He has five credits cards with high balances.


c

He has a low debt-to-credit ratio.


d

He has applied for his first loan in his life.

Answers

Answer:

b. He has five credits cards with high balances.

Explanation:

A VantageScore is a credit score model that shows the probability that someone will pay the loans. A 400 VantageScore is very poor and people can get this score for different situations like bankruptcies as they will appear in your report for up to 10 years, having high utilization rates on your credit card and missing payments. According to this, the answer is that the factor that could be the cause is: he has five credits cards with high balances because he would have a high utilization rate which hurts the credit score.

The other options are not right because a bankruptcy appears in the report for up to 10 years, a low debt to credit ratio shows that you use your credit in a responsible form and it won't hurt your credit acore. Also, if someone doesn't have a credit history, there is no score because there is no data to define that.

A historical example of is when communities used cocoa beans or cowrie shells as a kind of money. O commodity money O M3 O fiat money

Answers

A historical example of commodity money is when communities used cocoa beans or cowrie shells as a kind of money. Option a is correct.

Commodity money refers to a type of currency that has intrinsic value based on the commodity it represents. In this case, cocoa beans or cowrie shells were used as a medium of exchange because they were valued commodities in the respective communities. The value of the commodity itself determined its purchasing power, and it was widely accepted in trade transactions.

Unlike fiat money, which has no intrinsic value and relies on government authority for acceptance, commodity money derives its value directly from the commodity it represents. This historical example demonstrates the use of tangible and valuable commodities as a form of money in specific societies. Option a is correct.

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Assume you have the utility function U( X; Y ) = XY: You have 20 liras to spend. Price of good X is a lira per unit and price of good Y is a lira per unit. Given this information, you can solve for optimal consumption bundle and conclude that consuming 10 units of X and 10 units of Y maximizes your utility. Now assume that price of X increases to 2 liras.Price of good Y is constant and your income is still 20 liras. Now, the new optimal consumption bundle is 10 units of Y and 5 units of X. We observe that good X consumption declines from 10 to 5. This is what we call as total effect. Decompose the decline in X consumption into income effect and substitution effect. Decompose numerically. Explain your answer using a graph as well.

Answers

1. Substitution Effect:

The substitution effect captures the change in X consumption due to the relative price change of good X. When the price of X increases, it becomes relatively more expensive compared to good Y, leading to a substitution effect. Consumers tend to substitute away from the relatively more expensive good towards the relatively cheaper good. In this case, the substitution effect causes a decrease in X consumption.

2. Income Effect:

The income effect captures the change in X consumption due to the change in purchasing power resulting from the price change. In this scenario, the price of X has increased while the consumer's income remains constant. Since the consumer's income can purchase fewer units of X due to the price increase, the income effect leads to a decrease in X consumption.

Now, let's decompose the decline in X consumption numerically and illustrate it graphically:

Initial Prices: Px = 1 lira, Py = 1 liraInitial Optimal Bundle: (X, Y) = (10, 10)New Prices: Px = 2 lira, Py = 1 liraNew Optimal Bundle: (X, Y) = (5, 10)Change in X consumption (ΔX) = 10 - 5 = 5 units

To decompose this change, we need to determine the substitution effect and the income effect.

1. Substitution Effect (ΔX(substitution)):

To calculate the substitution effect, we need to hold the consumer's utility constant at the initial level. Since the utility function U(X, Y) = XY, the initial utility level is U(10, 10) = 10 * 10 = 100.

Using the new price ratio (Px/Py), we calculate the quantity demanded of X at the initial utility level:

10 = X * 10 / X * 1X = 10 / 10 = 1

Therefore, the substitution effect (ΔX(substitution)) = 5 - 1 = 4 units.

2. Income Effect (ΔX(income)):

To calculate the income effect, we need to determine the change in purchasing power resulting from the price change. The consumer's income is still 20 liras, and the price of X has doubled. Therefore, the consumer's purchasing power for X has halved.

Therefore, the income effect (ΔX(income)) = 10 - 5 = 5 units.

Graphically, the income effect can be represented as a parallel shift of the budget line inward (to the left) due to the decrease in purchasing power. The substitution effect can be represented as a movement along the new budget line from the initial optimal bundle to the new optimal bundle.

By decomposing the decline in X consumption into income and substitution effects, we can understand the relative contributions of each effect to the change in consumption.

About Substitution

Substitution is a solution that involves substituting one equation into another. This method is good to use if one of the equations has been solved for a certain variable.

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French carmaker Renault rallied following news that it was expanding its collaboration with US chipmakers Qualcomm. At the Consumer Electronics Show in Las Vegas, Qualcomm said it would be equipping upcoming Renault motors with "the latest connected and intelligent solutions for its next-generation vehicles".
Source: Adapted from R. Douglas (2022), "Wall Street", The Financial Times, (6th January 2022).
1. How does the principal-agent problem apply to the Renault-Qualcomm partnership?

Answers

The principal-agent problem refers to a situation in which one party, known as the principal, delegates decision-making authority to another party, known as the agent, to act on their behalf. The principal-agent problem arises when there is a conflict of interest between the principal and the agent, as the agent may not always act in the best interests of the principal.

In the case of the Renault-Qualcomm partnership, the principal-agent problem could potentially arise in several ways:

1) Misalignment of Objectives: Renault and Qualcomm may have different objectives and priorities. Renault's main objective might be to improve the functionality and connectivity of its vehicles, while Qualcomm's objective might be to increase the adoption of its technology in the automotive industry. This misalignment could lead to conflicts in decision-making and resource allocation.

2) Information Asymmetry: The principal-agent problem can also occur when there is a disparity in information between the principal and the agent. Renault may not have complete knowledge or control over the technology and its implications for their vehicles. This information asymmetry could result in Qualcomm making decisions or implementing solutions that may not fully align with Renault's long-term goals or strategic direction.

3) Monitoring and Control: The principal (Renault) may face challenges in effectively monitoring and controlling the agent (Qualcomm) to ensure that their actions and decisions are consistent with the agreed-upon objectives. This can be particularly difficult when the partnership involves complex technology and innovation, where the principal may have limited expertise or access to detailed information.

To mitigate the principal-agent problem, it is important for Renault and Qualcomm to establish clear communication channels, define roles and responsibilities, and align their objectives and expectations through well-defined contractual agreements. Regular monitoring and evaluation mechanisms should be put in place to ensure that the partnership remains on track and that both parties are acting in the best interests of each other. Effective governance structures and mechanisms can help minimize the risks associated with the principal-agent problem and foster a successful collaboration.

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Riparian water rights would improve the efficiency of water allocations in Colorado
True
False
Annual land rent can be used to calculate real estate market prices.
True
False

Answers

True. Riparian water rights would improve the efficiency of water allocations in Colorado

False. Annual land rent alone cannot be used to accurately calculate real estate market prices.

Riparian water rights, which are based on the principle of allocating water to those who own property along a water source, can contribute to the efficiency of water allocations in Colorado. This legal doctrine helps ensure that water is distributed fairly and sustainably among competing users in a region with access to water bodies. By linking water rights to property ownership along water sources, riparian rights help incentivize responsible water use and discourage wasteful practices.

While land rent can be a factor in determining property values, it is just one component among many factors that influence real estate market prices. Market prices for real estate are influenced by a range of factors, including location, demand and supply dynamics, property condition, amenities, market conditions, and various other economic and non-economic factors. Therefore, relying solely on annual land rent would not provide a comprehensive and accurate assessment of real estate market prices.

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A dramatic change in the ________ was the introduction of the
stakeholder model as a construct for business ethics decisions.
Multiple Choice
1960s
1980s
2000s
1950s

Answers

A dramatic change in the 1980s was the introduction of the stakeholder model as a construct for business ethics decisions.

A dramatic change in the business world was the introduction of the stakeholder model as a construct for business ethics decisions. The introduction of the stakeholder model is considered a major change in the business world. The stakeholder model made it clear that businesses are not just responsible to their shareholders, but they are responsible to all stakeholders.

Stakeholders include customers, employees, suppliers, the community, and the environment. The stakeholder model promotes the idea that businesses must be responsible to all stakeholders and not just the shareholders.The introduction of the stakeholder model as a construct for business ethics decisions happened in the 1980s.

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Suppose Dawson's began June with cash of $4,000. During June, Dawson's paid $2,000 cash and ended the month with a cash balance of $5,000. How much were Dawson's cash receipts in June? $11,000 $6,000 $5,000 $3,000

Answers

Dawson's cash receipts in June were $3,000. The option which represents the correct answer is $3,000.

Given information:

Starting cash balance = $4,000

Cash paid during June = $2,000

Ending cash balance = $5,000

We need to find Dawson's cash receipts in June.

How to calculate cash receipts:

Cash receipts = Starting cash balance + Cash received - Cash paid

Starting cash balance = $4,000

Cash paid = $2,000

Ending cash balance = $5,000

We can use this formula:

Cash receipts = Starting cash balance + Cash received - Cash paid

Re-arranging it, we can get the cash receipts as follows:

Cash receipts = Starting cash balance + Cash received - Cash paid$

Cash received$ = Cash receipts + Cash paid - Starting cash balance

Putting the values in the above equation, we get:

Cash received = $5,000 + $2,000 - $4,000

Cash received = $3,000

Therefore, Dawson's cash receipts in June were $3,000.

The option which represents the correct answer is $3,000.

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Question 3 1 points Ehsan contributed a building at $22.500 and a land valued at $60,000. The journal entry to record this transaction for the partnership is OA Ehsan, Capital 89,100 Building 22,500 L

Answers

By making this journal entry, the partnership properly records Ehsan's capital contribution, ensuring accurate tracking of the partners' capital accounts and reflecting the increased value of the partnership's assets due to Ehsan's contribution of the building and land.

To record Ehsan's contribution of a building valued at $22,500 and land valued at $60,000 to the partnership, the journal entry would be as follows:

Date: [Date of the transaction]

Debit: Ehsan, Capital - $89,100

Credit: Building - $22,500

Credit: Land - $60,000

Explanation:

The journal entry reflects the increase in Ehsan's capital account by the total value of the contributions. The debit to Ehsan, Capital represents the increase in his capital account by the combined value of the building and land, which amounts to $89,100.

On the credit side, the Building account is credited with $22,500 to recognize the addition of the building as a partnership asset. Additionally, the Land account is credited with $60,000 to acknowledge the inclusion of the land in the partnership's assets.

By making this journal entry, the partnership properly records Ehsan's capital contribution, ensuring accurate tracking of the partners' capital accounts and reflecting the increased value of the partnership's assets due to Ehsan's contribution of the building and land.

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JCS Corporation's year-end 2021 balance sheet lists current assets of $400,000, fixed assets of $1,050,000, current liabilities of $405,000, and long-term debt of $500,000. What is JCS's total stockholders' equity? $545,000 O $1,050,000 O $555,000 O There is not enough information to calculate total stockholders' equity.

Answers

JCS ' s total stockholders' equity, given the current liabilities, the fixed assets and the debt would be A. $ 545,000

How to find the total stockholder's equity ?

To calculate JCS Corporation's total stockholders' equity, subtract the total liabilities from the total assets.

Given the information provided:

Current assets = $ 400, 000

Fixed assets = $ 1,050,000

Current liabilities = $ 405,000

Long-term debt = $ 500,000

Total assets = Current assets + Fixed assets

Total assets = $ 400, 000 + $1,050,000

Total assets = $ 1, 450,000

Total liabilities = Current liabilities + Long - term debt

Total liabilities = $ 405, 000 + $ 500 ,000

Total liabilities = $ 905, 000

Total stockholders' equity = Total assets - Total liabilities

Total stockholders' equity = $ 1,450, 000 - $905,000

Total stockholders' equity = $ 545,000

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1. The decision to purchase a new machine is a working capital management O Inventory management O capital budgeting capital structure decision

Answers

The decision to purchase a new machine is capital budgeting.

Capital budgeting involves identifying and evaluating capital expenditures for long-term investments such as the purchase of fixed assets such as machinery, land, buildings, or any other productive asset. Thus, the decision to purchase a new machine is a capital budgeting decision.

In other words, Capital budgeting is a long-term investment decision-making process that includes planning, analyzing, and deciding whether to allocate available funds to a project or investment that would increase a company's profitability.

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Explain how The Gourmet Shrine could engage in corporate social responsibility.

Answers

The Gourmet Shrine can engage in corporate social responsibility in several ways. Corporate social responsibility (CSR) refers to the voluntary actions of a business entity to make a positive impact on society beyond the legal requirements.

Some ways in which The Gourmet Shrine could engage in corporate social responsibility include

:1. Environment: The Gourmet Shrine can engage in environmental conservation by reducing its carbon footprint. The company can install solar panels and use energy-efficient light bulbs to conserve energy. The Gourmet Shrine can also reduce plastic waste by encouraging customers to use recyclable materials.

2. Philanthropy: The company can engage in philanthropic activities such as donating food or funds to local charities, sponsoring events, and supporting community development projects.

3. Workplace: The Gourmet Shrine can engage in social responsibility activities in the workplace by ensuring that it provides a safe and healthy work environment. The company can also offer its employees training and development opportunities and pay them fair wages.

4. Customer satisfaction: The company can engage in social responsibility activities by ensuring that it provides quality products and services to customer

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Discuss the role of financial assets (instruments) in market economy and why they are important for successful functioning of the economy. Use shares, bonds, and mortgages as examples. A good answer should discuss how they help individuals, firms, and society at large?

Crypto currencies are a new type of financial instruments that are increasingly becoming popular. Elaborate that why and why not they are as reliable for investment as conventional assets such as shares and bonds. You may use bitcoin as an example and should research to display your knowledge.

Answers

Instruments of finance are a vital component of any economy. Financial instruments are used for investment purposes to achieve financial objectives. They include shares, bonds, mortgages, currencies, and other derivatives. They are significant in a market economy because they play an important role in the economic growth of a country.

They assist individuals, companies, and the economy as a whole in making sound financial decisions. The financial system in a market economy provides a variety of financial instruments to cater to the requirements of all sections of society. The financial market can be split into two categories: the primary market, where new shares and bonds are sold for the first time, and the secondary market, where existing financial instruments are traded by buyers and sellers on the stock exchange.

Shares: Companies issue shares to raise capital for investment and growth. The investor receives a portion of the company's profits and has voting rights. The buying and selling of shares is a vital element of the financial market, which aids in the mobilization of savings and investment.

Bonds: The government, as well as companies, issue bonds to raise money. The issuer promises to pay the investor interest on the borrowed sum as well as the principal amount. The investor who buys the bond earns interest and gets back the principal sum when the bond matures.

Mortgages: A mortgage is a loan secured by a property that enables individuals and businesses to purchase homes and commercial buildings. Mortgages are essential in the economy because they allow people to acquire property and for businesses to acquire commercial property.

Crypto-currencies are digital assets that are created as a medium of exchange utilizing blockchain technology. Bitcoin is a well-known digital currency. The most significant advantages of cryptocurrencies are anonymity and security, which offer privacy to users. They are a new form of investment that may give investors a high rate of return. However, they are not backed by governments or regulated by central banks, which makes them less secure than conventional assets. Cryptocurrency prices are highly volatile and difficult to predict, which makes investing in them risky. Additionally, the lack of regulation, as well as the complexity of the technology, makes them susceptible to fraud and hacking. As a result, investment in cryptocurrencies is a risky endeavor that is not suitable for everyone.

In conclusion, financial instruments play a vital role in a market economy by mobilizing savings and investment. Shares, bonds, and mortgages are examples of instruments that are utilized to raise capital for growth and investment. They are essential because they assist in making sound financial decisions and contribute to the economic growth of a country. Crypto-currencies, on the other hand, are a new form of digital currency that is gaining popularity but are still not as dependable for investment as traditional assets. While cryptocurrencies provide anonymity and security, the lack of regulation, high volatility, and the likelihood of fraud and hacking make investing in them a risky proposition.

Therefore, investors must conduct thorough research and consult with financial professionals before investing in cryptocurrencies. To diversify their portfolios, investors should consider investing in traditional assets as well as cryptocurrency. Additionally, governments should consider regulating cryptocurrencies to protect investors and ensure that they contribute to the growth of the economy.

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Land is the only asset that is not subject to annual depreciation. O True O False

Answers

The given statement is False. While land is an asset that is not subject to annual depreciation, it is not the only asset with this characteristic.

There are other assets, such as certain types of art, collectibles, or assets with an indefinite useful life, that may also be exempt from annual depreciation. However, it is important to note that the majority of tangible assets, such as buildings, machinery, and equipment, are subject to annual depreciation as their value is expected to diminish over time due to wear and tear or technological obsolescence. Depreciation is a systematic allocation of an asset's cost over its useful life, and it serves to reflect the decline in value accurately on the financial statements.

In conclusion, the statement "Land is the only asset that is not subject to annual depreciation" is false.

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Cedar Retailer acquired inventory for $70,000. Cedar received a cash discount that is treated as income of $900 and paid a freight-in cost of $1,500. Cedar sold 70% of its inventory. Beginning and Ending Inventory is 0.00.Calculate COGS

Answers

The cost of goods sold (COGS) for Cedar Retailer is $49,420.

To calculate the cost of goods sold (COGS), we need to consider the cost of inventory acquired, any applicable discounts or income, and any additional costs such as freight-in. We also need to know the percentage of inventory sold.

Given:

Inventory cost = $70,000

Cash discount treated as income = $900

Freight-in cost = $1,500

Percentage of inventory sold = 70%

First, let's calculate the total cost of inventory after considering the cash discount and freight-in cost:

Total inventory cost = Inventory cost + Freight-in cost - Cash discount treated as income

Total inventory cost = $70,000 + $1,500 - $900

Total inventory cost = $70,600

Next, we calculate the cost of goods sold by multiplying the total inventory cost by the percentage of inventory sold:

COGS = Total inventory cost * Percentage of inventory sold

COGS = $70,600 * 70%

COGS = $49,420

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This information relates to Lopez Co.
April 5 Purchased merchandise from D. Nolan Company for $20,000, terms 2/10, net 30, FOB
shipping point.
April 6 Paid frieght costs of $900 on merchandise on purchase from D. Nolan Company.
April 7 Purchased equipment on account for $26,000 from Walsh Corporation.
April 8 Returned some of April 5 merchandise to D. Nolan Company which cost $2,800.
April 15 Paid the net amount due to D. Nolan Company.
Perpetual System | Debit | Credit | Periodic | Debit | Credit
If Lopez Co. had paid for the purchase of April 5 (less return on April 8) on May 4 instead of April 15,
what would the Journal entry have been.

Answers

Lopez Co. would have recorded the following journal entry on May 4 if they had paid for the purchase of April 5 (less return on April 8) instead of April 15:

Accounts Payable $17,200

Purchase Returns $2,800

Cash $20,000

How would the journal entry change if Lopez Co. paid on May 4 instead?

The journal entry on May 4 reflects the payment for the purchase made on April 5, after deducting the return made on April 8. Accounts Payable is credited for the remaining balance owed to D. Nolan Company, while Purchase Returns is debited for the returned merchandise. Cash is debited for the total payment amount of $20,000, which represents the net purchase amount after deducting the return.

When a payment is delayed, the entry is adjusted to reflect the actual payment date. In this case, the original entry would have been made on April 15 to record the payment to D. Nolan Company. However, if the payment was made on May 4 instead, it would require an adjustment to accurately reflect the timing of the payment.

The adjusted entry debits Accounts Payable and Purchase Returns, while crediting Cash for the payment made. This adjustment ensures the financial records accurately reflect the actual payment date and the relevant account balances.

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Suppose the government wanted to regulate this market using a price-based instrument. What is the efficient level of a tax on emissions?

Answers

Answer:

Tax = Marginal External Damage

Explanation:

When a negative externality distorts market outcome, we often see that a government intervention is needed. We must incorporate the negative externality into the private decision of the producer. That is to say that we add marginal damage caused by the externality to the marginal private cost of production. The social outcome will be at the point where marginal social cost (MSC) is equal to Marginal private benefit (MPB).

Thus, the efficient level of tax on emission is set equal to the marginal external damage.

Tax = t  = MED

MSC = MPC + MED

        = MPC + t

1. Identify whether the following items are counted in M1 only, M2 only, both M1 and M2, or neither:
A) A $1,000 balance in a checking account at a mutual savings bank
B) A $100,000 certificate of deposit issued by a New York bank.
C) A $10,000 time deposit an elderly widow holds at her credit union.
D) A $50 traveler's check
E) A $50,000 money market deposit account balance
2. Suppose Bob digs up a box in his front yard that contains $1000.
A) Would anything happen to the money supply (M1)? Explain
B) What would happen to the money supply when Bob deposits this in a bank (reserve-deposit ratio is .05)? What is the maximum amount of money that can be created? How does this occur?
3. A month later, Bob buys a $1000 government bond from the Fed with this money.
A) What happens to the money supply (M1)? Does it increase or decrease? By how much?
B) How would this impact Bob's future spending? Would it increase or decrease?
C) Under what circumstances would Bob be likely to buy bonds ? (describe the economy, his perceptions)
D) 5 years later Bob sells the bond for $1000 and buys $1000 in common stock. Describe the differences in Bob's investment portfolio. (how does it differ; what are the risks; what are his returns)

Answers

1) A) Both M1 and M2. B) Neither M1 nor M2. C) Neither M1 nor M2. D) Both M1 and M2. E) Both M1 and M2. 2) A) No impact on M1. B) Money supply increases to $20,000. The maximum amount is determined by the reserve-deposit ratio. This occurs through the money multiplier effect. 3) A) M1 remains unchanged. B) No direct impact on future spending. C) Bob is likely to buy bonds in a low-inflation economy, perceiving them as a safe investment. D) Portfolio changes to common stock, with higher risks and returns depending on company and market performance.

1 The items categorized into M1 only, M2 only, both M1 and M2, or neither are as follows:

A) A $1,000 balance in a checking account at a mutual savings bank - Both M1 and M2

B) A $100,000 certificate of deposit issued by a New York bank - Neither M1 nor M2

C) A $10,000 time deposit an elderly widow holds at her credit union - Neither M1 nor M2

D) A $50 traveler's check - Both M1 and M2

E) A $50,000 money market deposit account balance - Both M1 and M2

2 A) The money supply (M1) would not be affected by Bob finding $1000 in his front yard because it is not part of the official money supply.

B) When Bob deposits the $1000 in a bank with a reserve-deposit ratio of 0.05, the maximum amount of money that can be created is $20,000. This occurs through the money multiplier effect, where banks are able to create new loans and increase the money supply based on the reserve requirements set by the central bank.

3 A) When Bob buys a $1000 government bond from the Fed, the money supply (M1) remains unchanged as the money is transferred from Bob to the government. There is no increase or decrease in the money supply.

B) This transaction does not directly impact Bob's future spending as the money supply remains the same.

C) Bob may be likely to buy bonds when the economy is experiencing low inflation and he perceives bonds to be a relatively safe and stable investment option.

D) By selling the bond for $1000 and buying $1000 in common stock, Bob's investment portfolio changes from a fixed-income bond to equity ownership in a company.

The investment in common stock carries higher risks but potentially higher returns compared to government bonds. The returns on common stock are dependent on the performance of the company and the stock market.

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Mercedes maintains an inventory of sport utility vehicles. The vehicles are essentially similar, but were purchased from a variety of sources at widely different prices. Which method of accounting for inventory might provide misleading information regarding Merceds Motors?

a. FIFO
b. LIFO
c. Weighted average (AVCO)
d. Specific identification

Answers

The method of accounting for inventory that might provide misleading information regarding Mercedes Motors is the specific identification method.option d.

The specific identification method involves tracking and valuing each individual item in the inventory based on its specific cost. This method would be misleading for Mercedes Motors because their sport utility vehicles are essentially similar, but were purchased from a variety of sources at widely different prices. With the specific identification method, Mercedes Motors would have to allocate the exact cost to each individual vehicle, which could lead to inconsistencies and distortions in the valuation of the inventory.

Since the sport utility vehicles are essentially similar, using the specific identification method would not accurately reflect the cost of the inventory. It would be challenging for Mercedes Motors to determine the exact cost of each vehicle, especially if they were purchased from various sources at different prices. This method would not provide a meaningful representation of the overall cost of the inventory and could lead to misleading financial statements and decision-making.

Instead, a more appropriate method for Mercedes Motors would be the weighted average (AVCO) method. This method calculates the average cost of the inventory by dividing the total cost of the goods available for sale by the total number of units. It provides a more reasonable and representative value for the inventory, considering the varying purchase prices of the sport utility vehicles without the complexities of specific identification.option d.

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Which does impact the output of the irr calculation?

Answers

Initial Investment, Timing of Cash Flows, Cost of Capital,Expected Returns, Risk impact the output of the irr calculation

The Internal Rate of Return (IRR) is used to measure and compare the profitability of different projects or investments. The result of the IRR calculation can be affected by several factors that have an impact on the output.What impacts the output of the IRR calculation?The output of the IRR calculation is influenced by the following factors:1. Initial Investment: The initial investment amount is the amount of capital that is needed to begin a project or investment. The IRR calculation takes into account the size of the initial investment and the expected returns that will be generated by the project. A higher initial investment will usually lead to a lower IRR.

2. Timing of Cash Flows: The timing of cash flows can have a significant impact on the IRR calculation. If the cash flows are received earlier in the project, the IRR will be higher. If the cash flows are received later in the project, the IRR will be lower.3. Cost of Capital: The cost of capital is the rate of return that is required by investors to invest in a project. The higher the cost of capital, the lower the IRR will be.4. Expected Returns: The expected returns that will be generated by the project also have an impact on the IRR calculation. A higher expected return will usually lead to a higher IRR.5. Risk: The level of risk associated with a project or investment can also affect the IRR calculation. The higher the risk, the higher the required rate of return will be, which will lower the IRR.Therefore, these are the factors that impact the output of the irr calculation.

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Managerial accounting
Time left 0:26:15 9 d Tex's Manufacturing Company can make 100 units of a necessary component part with the following costs. Direct Materials f $120,000 Direct Labor 29,000 Variable Overhead 54,000 Fi

Answers

Therefore, the company is indifferent between making or buying when the external price for the 100 units is $223,000. Thus, the correct answer is e. None of the answers is correct.

To determine the external price at which Tex's Manufacturing Company is indifferent between making or buying 100 units of the component, we need to compare the costs of making it in-house versus purchasing it externally.

The total cost of making the component in-house can be calculated as follows:

Direct Materials: $120,000

Direct Labor: $29,000

Variable Overhead: $54,000

Fixed Overhead: $30,000 (minus $10,000 if purchased externally)

Total cost of making internally: $120,000 + $29,000 + $54,000 + $30,000 = $233,000

If the company decides to buy the component externally, it can avoid $10,000 of the fixed overhead costs, resulting in a total cost of:

Total cost of buying externally: $120,000 + $29,000 + $54,000 + ($30,000 - $10,000) = $223,000

Therefore, the company is indifferent between making or buying when the external price for the 100 units is $223,000.

Since none of the available answer options matches the calculated value, the correct answer would be E. None of the answers is correct.

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Complete question:

Time left 0:26:15 9 d Tex's Manufacturing Company can make 100 units of a necessary component part with the following costs. Direct Materials f $120,000 Direct Labor 29,000 Variable Overhead 54,000 Fixed Overhead 30,000 If Tex's Manufacturing Company purchases the component externally, $10,000 of the fixed costs can be avoided. At what external price for the 100 units is the company indifferent between making or buying? a. $190,000 O b. 180,000 c. $210,000 d. $229,000 e. None of the answers is correct.

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Investigation of the links between soil macroorganisms and human health has barely begun, and there is a need for a more holistic understanding of the soil ecosystem and its links to agronomic production and broader human health. As the global population grows, we will need to produce more food that maintains or enhances its nutrient content on essentially the same land area, assuming we can reverse our current losses of arable land to degradational processes. A large amount of work has focused on heavy metals pollution, plastics, pesticides, and related organic chemicals, but this work typically focuses on a given pollutant as a stand-alone issue. In actuality, the soil is a mixture of many chemicals that are in a very chemically and biologically active environment; research into the health effect of chemical mixtures and how those mixtures react and interact in the soil environment is badly needed. Beyond research, there is a need for scientists to effectively communicate their findings to the broader public, who will not be aware of the challenges and opportunities we face if scientists do not get the word out. Closing all these gaps will require multidisciplinary teams that are able to communicate across those disciplines, as, for example, soil scientists are not typically trained in human health issues and human health experts are not typically training in soil science, while neither of these groups are typically trained in effective large-scale public outreach. Therefore, we need agronomists, biologists, chemists, communications experts, medical doctors, public health experts, toxicologists, sociologists, soil scientists, and others working together toward common goals within the soil and human health realm. In some cases, achieving these collaborations will require a paradigm change in how we presently approach human health issues. if the moon were two times farther from earth than it is now, the gravitational force between earth and the moon would be _____ is NOT a popular tourist destination in the Coastal South portion of South Carolina.a. Southeast Virginiab. Corpus Christic. St. Johnsd. Cape Romain .Explain the concept of "Divine Coincidence" and clearly statethe cases where it holds and where it does not hold. The molecule(s) that violate(s) the Lewis octet rule among the following is/are:A.NO2B.SF4C.BeCl2D.All of the above Glenco in Alberta has four employees with total gross earnings of $322,780.00 and excess earnings of $21,834.00. Calculate the total assessable earnings for Worker's compensation, when the maximum assessable earnings for 2022 are $98,700.00. O $300,946.00 O $322,780.00 O $344,614.00 O $394,800.0 how technology and digital communications can help teams improveperformance and achieve organizational goals. A police department released the numbers of calls for the different days of the week during the month of October, as shown in the table to the right. Use a0.01significance level to test the claim that the different days of the week have the same frequencies of police calls. What is the fundamental error with this analysis?DaySunMonTuesWedThursFriSatFrequency153209221249178210234what is the test statisticwhat is the p valuedetermine the null and alternative hypotheseswhat is the conclusion for this hypothesis which empires and kingdoms existed during the bronze age, and which during the iron age? match each era to the correct empires and kingdoms. Create a hypothetical study that would use the following statistical test:a) paired-sample t-test?b) independent one-way ANOVA?c) Chi Square test? You're a forensic scientist who found a bone completely enveloped in tendon. What type of bone would you would guess right away that it was?Question 30 options:short bonelong bonesesamoid boneflat bone