The maximum growth rate in sales that the company can achieve without issuing any new equity or debt is 29.24%. The closest option provided, 14.47%, is incorrect.
To calculate the maximum growth rate in sales without issuing any new equity or debt, we can use the DuPont formula. Let's break down the calculation step by step:
1. Calculate the Profit Margin:
Profit Margin = (Sales - Costs - Taxes) / Sales
Profit Margin = ($1000 - $800 - $68) / $1000
Profit Margin = 0.132
2. Calculate the Total Asset Turnover:
Total Asset Turnover = Sales / Total Asset
Total Asset = Net Current Assets + Net Fixed Assets
Total Asset = $100 + $200
Total Asset = $300
Total Asset Turnover = $1000 / $300
Total Asset Turnover = 3.33
3. Calculate the Equity Multiplier:
Equity Multiplier = Total Asset / Equity
Equity Multiplier = $300 / $150
Equity Multiplier = 2
4. Calculate the Return on Equity (ROE):
ROE = Profit Margin x Total Asset Turnover x Equity Multiplier
ROE = 0.132 x 3.33 x 2
ROE = 0.881
5. Calculate the Dividend Payout Ratio:
Dividend Payout Ratio = Dividends / Net Income
Dividends = Net Income x Dividend Payout Ratio
Dividends = $34
Dividend Payout Ratio = $34 / $85
Dividend Payout Ratio = 0.4
6. Calculate the Sustainable Growth Rate:
Sustainable Growth Rate = ROE x (1 - Dividend Payout Ratio)
Sustainable Growth Rate = 0.881 x (1 - 0.4)
Sustainable Growth Rate = 0.5286
So far, the calculated sustainable growth rate is 52.86%. However, since the firm's fixed assets are being used at full capacity, the growth rate will be restricted. Let's calculate the growth rate using the formula:
Growth Rate = ROA x (1 - Debt / Total Asset) x (1 - Dividend Payout Ratio)
7. Calculate the Growth Rate:
Growth Rate = ROE x Total Asset Turnover x (1 - Debt / Total Asset) x (1 - Dividend Payout Ratio)
Growth Rate = 0.881 x 3.33 x (1 - $150 / $300) x (1 - 0.8)
Growth Rate = 0.881 x 3.33 x 0.5 x 0.2
Growth Rate = 0.2924
Learn more about Profit Margin from the given link:
https://brainly.com/question/28180283
#SPJ11
8. A company with 750,000 shares outstanding that sell for $120 per share has announced a 3-for-5 reverse stock split. Assuming there are no market imperfections or tax effects, what will the stock sell for after the split?
The new stock price after the 3-for-5 reverse stock split is $200.
A reverse stock split is a reduction in the number of a company's shares outstanding that increases the par value of its stock. In a 3-for-5 reverse stock split, for every 5 shares outstanding, 3 new shares are issued. This means that the total number of shares outstanding is reduced, and the value of each share increases.
To calculate the new stock price after the reverse stock split, we can use the formula:
New stock price = (Old stock price * Old shares outstanding) / New shares outstanding
In this case, the old stock price is $120, the old shares outstanding is 750,000, and the new shares outstanding is (750,000 * 3) / 5 = 450,000.
So, the new stock price after the reverse stock split is:
New stock price = ($120 * 750,000) / 450,000 = $200
Therefore, after the 3-for-5 reverse stock split, the stock will sell for $200 per share.
Learn more about stock split here:
brainly.com/question/14247504
#SPJ11
Your knowledge of algorithms helps you obtain an exciting job with the Acme Computer Company, along with a 10,000signingbonus.Youdecidetoinvestthismoneywiththegoalofmaximizingyourreturnattheendof10years.YoudecidetousetheAmalgamatedInvestmentCompanytomanageyourinvestments.AmalgamatedInvestmentsrequiresyoutoobservethefollowingrules.Itoffersndifferentinvestments,numbered1throughn.Ineachyearj,investmentiprovidesareturnrateof rij .Inotherwords,ifyouinvestddollarsininvestmentiinyearj,thenattheendofyearj,youhave drij dollars.Thereturnratesareguaranteed,thatis,youaregivenallthereturnratesforthenext10yearsforeachinvestment.Youmakeinvestmentdecisionsonlyonceperyear.Attheendofeachyear,youcanleavethemoneymadeinthepreviousyearinthesameinvestments,oryoucanshiftmoneytootherinvestments,byeithershiftingmoneybetweenexistinginvestmentsormovingmoneytoanewinvestment.Ifyoudonotmoveyourmoneybetweentwoconsecutiveyears,youpayafeeof f1 dollars,whereasifyouswitchyourmoney,youpayafeeof f2 dollars,where f2>f1 $. a. The problem, as stated, allows you to invest your money in multiple investments in each year. Prove that there exists an optimal investment strategy that, in each year, puts all the money into a single investment. (Recall that an optimal investment strategy maximizes the amount of money after 10 years and is not concerned with any other objectives, such as minimizing risk.) b. Prove that the problem of planning your optimal investment strategy exhibits optimal substructure. c. Design an algorithm that plans your optimal investment strategy. What is the running time of your algorithm? d. Suppose that Amalgamated Investments imposed the additional restriction that, at any point, you can have no more than$15,000 in any one investment. Show that the problem of maximizing your income at the end of 10 years no longer exhibits optimal substructure.
An optimal investment strategy in this scenario would involve putting all the money into a single investment each year.
Does the optimal investment strategy involve putting all the money into a single investment each year?In this problem, the goal is to maximize the return on investment over a period of 10 years while following certain rules and constraints. The proof for the existence of an optimal investment strategy that puts all the money into a single investment each year is as follows:
Assume that there exists an optimal strategy that does not put all the money into a single investment in a particular year. Let's consider the case where the money is divided between two or more investments. By pooling the money into a single investment, we can achieve a higher return because the return rates are guaranteed. Therefore, the strategy of putting all the money into a single investment each year will always yield an equal or higher return compared to any strategy that divides the money among multiple investments.
This optimal investment strategy exhibits optimal substructure because the optimal solution to the problem can be derived from the optimal solutions to its subproblems. In this case, the subproblem is the investment decision for each year. By choosing the investment with the highest return rate in each year, we can maximize the overall return after 10 years.
In terms of designing an algorithm, we can use a dynamic programming approach to solve this problem efficiently. We can create a table to store the maximum return for each year and each investment, based on the previous years' returns. By iteratively updating the table, we can find the optimal investment strategy and the maximum return at the end of 10 years.
The running time of the algorithm depends on the number of investments (n) and the number of years (10). Since we only make investment decisions once per year, the algorithm has a time complexity of O(n * 10), which simplifies to O(n) in this case.
Learn more about dynamic programming
#SPJ11
Which quality term refers to the degree to which the product or service design specifications are met?
Conformance quality refers to the degree to which the product or service design specifications are met.
A product, service, or process's ability to adhere to design standards is known as quality of conformance. Design requirements are an interpretation of client requirements. However, if the person who generated the design specifications did not accurately grasp what the client desired, a product with high quality of conformity may still not be recognized by a consumer as being an acceptable product.
An sufficient tolerance range is used to measure the quality of conformance. For instance, if a flight's planned departure time is 10 minutes away, any departure that occurs within that window has a high grade of conformity, but those that occur at intervals of greater than 10 minutes do not. conformity to requirements within a reasonable tolerance range is considered to be of high quality of conformity.
Learn more about Conformance here:
https://brainly.com/question/14615134
#SPJ4
What Are Trader Joe's Store Hours?
Trader Joe's is a popular grocery store chain known for its unique and affordable products. The store hours for Trader Joe's can vary depending on the location, but most stores are open seven days a week.
Typically, Trader Joe's store hours are as follows:
Monday through Friday: 8:00 AM to 9:00 PMSaturday: 8:00 AM to 9:00 PMSunday: 8:00 AM to 9:00 PMIt's important to note that these are general store hours and may vary by location. Some stores may open earlier or close later, and some may have different hours on holidays. It is always best to check the specific store hours for the Trader Joe's location you plan to visit. You can find the store hours on the official Trader Joe's website or by calling the store directly.
Additionally, due to the ongoing COVID-19 pandemic, some Trader Joe's locations may have temporarily adjusted their hours or have implemented special shopping hours for senior citizens or other high-risk groups. So, it is always a good idea to check the store's website or call ahead to confirm the store hours before visiting.
To know more about supply chain refer to-
brainly.com/question/22732058#
#SPJ11
who is dixie damelio,noah beck and cole sprouse
Answer:
im pretty sure they are tiktokers if thats what youre asking?
Explanation:
I don't know
Answer dixie damelio is an American social media personality known for her videos on the social media platform TikTok. noah beck Before moving to LA to pursue TikTok, Noah played for the University of Portland's soccer team, the Portland Pilots, last year as a freshman. cole sprouse is an American actor, known for his role as Cody Martin on the Disney Channel series The Suite Life of Zack & Cody and its spinoff The Suite Life on Deck and from the show called river dale is really good show
4. What does the following formula illustrate? MUx/Px = MUY/Py
A)If a consumer likes Good X better than Y, than the price of X is of no concern.
B)If a consumer likes Product X better than Product Y, he should only buy as much X as possible and zero units of Y under all circumstances.
C)It reflects the ideal combination of two goods that a consumer should purchase relative to the price of those two goods.
D)Nothing - it's a bunch of mishmash meant to confuse me!
The formula \(MUx/Px = MUY/Py\) helps us under the concept of marginal utility. It reflects the ideal combination of two goods that a consumer should purchase relative to the price of those two goods.
What is marginal utility?The concept of marginal utility refers to the additional satisfaction or benefit gained by a consumer from consuming one more unit of a good or service.
In the case of the formula \(MUx/Px = MUY/Py\), where
MUx = the marginal utility of good X, Px = the price of good X.MUY = the marginal utility of good Y, andPy = the price of good Y.Overall, from a conservative standpoint, it reflects the ideal combination of two goods that a consumer should purchase relative to the price of those two goods.
You can learn more about marginal utility here https://brainly.com/question/14797444
#SPJ1
if the required reserve ratio
Answer:
4
Explanation:
Formula: 1 / Reserve money ratio -> 1 / 0.25 = 4
Describe factors that encourage conspicuous
consumption by the purchase of status sym-
bols.
Veblen's initial thesis said that better social standing and peer recognition were the two key factors influencing ostentatious consumption.
Conspicuous consumerism is the act of acquiring things or services specifically with the intention of flaunting one's affluence. When publicly exhibited products and services are too expensive for other people in a person's class, conspicuous spending is a way to demonstrate one's social position.
What is the conspicuous consumerism theory?
Conspicuous consumption is defined as. Displaying extravagant riches in order to improve one's standing and reputation in society is known as conspicuous spending.To Learn more about conspicuous consumption, click the links
https://brainly.com/question/13946603
https://brainly.com/question/8243645
#SPJ9
Brooklyn is paid biweekly. Her annual salary is $63,700. What is her biweekly gross pay?
Brooklyn's biweekly gross pay, given the amount that she is paid annually, is $ 2, 450
How to find the biweekly gross pay?A person's biweekly gross pay is the amount that they are paid every 2 weeks that is not adjusted for taxes and other deductions.
In a year, the number of two week periods are :
= Number of weeks / 2
= 52 / 2
= 26 biweekly periods
The biweekly salary of Brooklyn is therefore :
= Annual salary / number of biweekly periods
= 63, 700 / 26
= $ 2, 450
Find out more on biweekly gross pay at https://brainly.com/question/28772792
#SPJ1
how many ways can you make the change for a dollar?
The number of ways to make change for a dollar using traditional US currency (as of 2021) is 293.
Making change for a dollar is a classic problem in mathematics and computer science, which involves finding the number of combinations of coins and bills that add up to a specific amount, in this case, a dollar. The US currency has several denominations, including pennies (1 cent), nickels (5 cents), dimes (10 cents), quarters (25 cents), half-dollars (50 cents), and one dollar bills.The problem of making change for a dollar can be approached using a method called dynamic programming, which involves breaking down the problem into smaller subproblems and using the solutions to these subproblems to solve the main problem. In this case, the subproblems would involve finding the number of ways to make change for smaller amounts of money, starting with pennies and working our way up to dollars. We can start by creating an array with one element for each possible amount of money from 1 cent to $1.00, inclusive. The first element in the array, representing 1 cent, would have the value 1, since there is only one way to make 1 cent, and that is with a single penny. We can then use this array to find the number of ways to make change for each successive denomination. For example, to find the number of ways to make change for 5 cents, we would add up the number of ways to make change for 1 cent, 2 cents, 3 cents, and 4 cents, since these are the amounts that can be used to make 5 cents using only pennies and nickels. Similarly, to find the number of ways to make change for 10 cents, we would add up the number of ways to make change for each possible combination of coins and bills that add up to 10 cents.
This process would be repeated for each successive denomination until we reach the desired amount of $1.00. The final answer would be the number of ways to make change for a dollar, which is 293.
To know more about currency:
https://brainly.com/question/14372075
#SPJ4
Under what conditions should a sponsor approve a project change, and when is it okay for the project manager to authorize a change? a. Sponsor approval is needed if a change requires additional funding; a project manager is generally authorized to make most other decisions b. Sponsor approval is needed only if the project manager is not available c. Sponsor approval is always needed d. Sponsor approval is needed if a change requires a change to the project charter; a project manager is generally authorized to make most other decisions
Answer:
never
Explanation:
A business is defined as an organization or enterprising entity engaged in commercial, industrial, or professional activities. ... The term "business" also refers to the organized efforts and activities of individuals to produce and sell goods and services for profit.
what is a business strategy?
What is the type and number of competitors' openings considered when looking at supply and demand within HR?
External labor supply
Internal labor demand
Internal labor supply
External labor demand
External labour demand is the type and number of competitors' openings considered when looking at supply and demand within HR, option D is correct.
When considering supply and demand within HR, External labor demand is the number and types of job openings that are available in the external labor market, including those offered by competitor organizations. This is an important consideration when an organization is trying to attract and retain employees because they need to be competitive with other companies.
To gather information about external labour demand, an organization may conduct research on the job market by analyzing job postings, salary data, and trends in hiring for particular roles. By understanding the external labor demand for specific job roles, organizations can adjust their recruitment and retention strategies to remain competitive and attract the best candidates, option D is correct.
To learn more about labour follow the link:
https://brainly.com/question/16690539
#SPJ4
The Complete question is:
What is the type and number of competitors' openings considered when looking at supply and demand within HR?
A) External labor supply
B) Internal labor demand
C) Internal labor supply
D) External labor demand
Sheridan Company maintains a petty cash fund for small expenditures. These transactions occurred during the month of August. Aug. 1Established the petty cash fund by writing a check payable to the petty cash custodian for $225. 15Replenished the petty cash fund by writing a check for $220.30. On this date, the fund consisted of $4.70 in cash and these petty cash receipts: freight-out $96.00, entertainment expense $48.70, postage expense $41.70, and miscellaneous expense $32.50. 16Increased the amount of the petty cash fund to $325 by writing a check for $100.00. 31Replenished the petty cash fund by writing a check for $309.30. On this date, the fund consisted of $15.70 in cash and these petty cash receipts: postage expense $139.80, entertainment expense $96.40, and freight-out $71.80. (a) Journalize the petty cash transactions. (Credit account titles are automatically indented when amount is entered. Do not indent manually. Round answers to 2 decimal places, e.g. 52.75.)
Answer:
01-Aug
Dr Petty Cash $225
Cr Cash $225
15-Aug
Dr Freight Out $96
Dr Postage Expense $41.70
Dr Entertainment Expense $48.70
Dr Miscellaneous Expenses $32.50
Dr Cash Over and Short $1.1
Cr Cash $220
16-Aug
Dr Petty Cash $225
Cr Cash $225
31-Aug
Dr Postage Expense $139.80
Dr Entertainment Expense $96.40
Dr Freight Out $71.80
Dr Cash Over and Short $1.3
Cr Cash $309.30
Explanation:
Preparation of the petty cash transactions.
01-Aug
Dr Petty Cash $225
Cr Cash $225
(To Record Establishment of fund )
15-Aug
Dr Freight Out $96
Dr Postage Expense $41.70
Dr Entertainment Expense $48.70
Dr Miscellaneous Expenses $32.50
Dr Cash Over and Short $1.1
($220-$96-$41.70-$48.70-$32.50)
Cr Cash $220
(To Record Expenses)
16-Aug
Dr Petty Cash $225
Cr Cash $225
(To increase cash in fund )
31-Aug
Dr Postage Expense $139.80
Dr Entertainment Expense $96.40
Dr Freight Out $71.80
Dr Cash Over and Short $1.3
Cr Cash $309.30
($309.30-$139.80-$96.40-$71.80)
(To Record Expenses)
Which of the following would increase the speed of equity growth for a homebuyer?
A) making a down payment of 10 percent instead of 20 percent
B) obtaining a mortgage interest rate of 9 percent instead of 8 percent
C) obtaining a 15-year mortgage instead of a 30-year mortgage
D) making larger deposits to the escrow account
Obtaining a 15-year mortgage instead of a 30-year mortgage would increase the speed of equity growth for a homebuyer. The answer is C)
The shorter the mortgage term, the faster the equity growth. When a homebuyer takes out a 15-year mortgage instead of a 30-year mortgage, they pay off the loan in half the time, which means they build equity at a much faster rate.
A larger down payment (option A) will decrease the loan amount, but it will not necessarily increase the rate of equity growth. Similarly, obtaining a mortgage interest rate of 9 percent instead of 8 percent (option B) will increase the cost of borrowing and decrease the rate of equity growth.
Making larger deposits to the escrow account (option D) will not affect the rate of equity growth since the equity is built by paying off the mortgage principal. Therefore, option C is the correct answer as it is the only option that directly affects the mortgage term and therefore the rate of equity growth.
To know more about mortgage, refer here:
https://brainly.com/question/8084409#
#SPJ11
can someone who owns a successful business give me inspiration on achieving to be a successful business owner
Answer: Have a sellable plan, be innovative & consistent
Explanation:
There are some things to consider that would guide you on a successful part in any venture you going into.
1) Have a plan, a sellable one; people would only buy what they need, so going into business, are you selling what they need or what you feel like doing?
2) Be innovative; innovation is one item that keeps you in market above others for a long time, if you can't be innovative, you'll leave the market earlier than you would ever imagined.
3) Be consistent; doing business is really hard, especially when you intend succeeding. You have to be consistent both in good and bad days, the result of these speaks over time.
why are you interested in an opportunity with bj's restaurants, inc.?
A person might be interested in an opportunity with BJ's Restaurants, Inc. because of the company's strong reputation in the industry, commitment to quality food and service, and the potential for professional growth and development.
In general, individuals may be interested in an opportunity with BJ's Restaurants, Inc. due to factors such as career growth opportunities, a positive company culture, competitive benefits, and the potential to work with a reputable and successful organization within the restaurant industry.
Some general reasons why someone might be interested in an opportunity with BJ's Restaurants, Inc.
A person might be interested in an opportunity with BJ's Restaurants, Inc. because of the company's strong reputation in the industry, commitment to quality food and service, and the potential for professional growth and development. Additionally, working in a fast-paced and team-oriented environment could help improve one's interpersonal and communication skills, making it an attractive choice for those seeking to enhance their overall skill set.
Learn more about company here,
https://brainly.com/question/27778728
#SPJ11
Measures of student performance have not increased even though per-pupil government subsidies have increased because?
The lack of increase in measures of student performance despite the increase in per-pupil government subsidies can be attributed to various factors:1. Allocation of funds,2. Quality of education,
3. Socioeconomic factors,4. Time lag.
1. Allocation of funds: The increased subsidies might not have been utilized effectively to improve student performance. The funds may have been allocated to other areas, such as administrative costs or facility upgrades, rather than directly addressing educational needs.
2. Quality of education: Simply increasing subsidies does not guarantee an improvement in the quality of education. Factors like teacher qualifications, curriculum development, and teaching methods play a crucial role in student performance. Without focusing on these areas, the increase in subsidies may not lead to better outcomes.
3. Socioeconomic factors: Student performance is influenced by various socioeconomic factors outside the control of schools, such as parental involvement, home environment, and access to resources. Increased subsidies alone cannot overcome these challenges.
4. Time lag: It takes time for changes in funding to manifest in improved student performance. The impact of increased subsidies may not be immediately measurable, and long-term trends need to be considered.
In summary, the lack of improvement in student performance despite increased subsidies can be attributed to factors such as ineffective fund allocation, inadequate focus on educational quality, socioeconomic influences, and the time lag in observing changes. Efforts should be made to address these factors to ensure that increased subsidies lead to tangible improvements in student outcomes.
Learn more about subsidies :
https://brainly.com/question/33599036
#SPJ11
Sector in the economy which its income is not included in the GDP/GNP computation.
One sector in the economy whose income is typically not included in the computation of GDP/GNP is the underground or informal economy.
The underground economy includes various activities such as undeclared work, informal labor, black market transactions, and illicit activities like smuggling and drug trafficking. Participants in this sector often evade taxes, do not comply with regulations, and operate outside the purview of formal institutions and statistical reporting systems.
There are several reasons why income from the underground economy is not included in the computation of GDP/GNP:
Lack of Documentation: Underground activities often go unrecorded and are not reported to tax authorities or government agencies. Without proper documentation, it is challenging to measure and include their income in official national accounts.
Illegal or Unregulated Nature: Many activities in the underground economy are illegal or operate outside the regulatory framework. Including income from such activities in GDP/GNP computations would legitimize and provide recognition to unlawful or non-compliant behaviors.
Methodological Challenges: Estimating the size and income of the underground economy is inherently difficult due to its secretive and unobservable nature. Traditional statistical methods used for measuring GDP/GNP struggle to capture and quantify the underground economy accurately.
For more such questions on informal economy. visit:
https://brainly.com/question/20713470
#SPJ8
21. pls help will give brainliest
Revenues less costs, taxes, and interest equal net income (NI).NI is used to compute earnings per share. Because costs can be concealed via accounting techniques or revenues can be artificially overstated, investors should carefully examine the data used to calculate NI.
How do you calculate net income in accounting?The amount earned by an individual or business after costs, allowances, and taxes is referred to as net income. Net income in company is what remains after all costs, such as salaries and wages, the cost of goods or raw materials, and taxes, have been paid. You can figure out your net income if you know your total income and total outgoings: Complete revenue minus total expenses equals net income. Most business owners must produce an income statement, one of the three primary financial statements, in order to determine their net income. The change in assets less the change in liabilities must equal net income, according to logic, as assets must equal liabilities plus equity. Since it is the final indicator of a company's performance, net income is frequently used interchangeably with profit. You must take the recorded retained earnings from the prior financial period, known as beginning retained earnings, and add dividends back in to calculate net income using retained earnings.The Net Income =
Total revenue – total expenses.
Total expenses
= $448000+$96000+$71000
=$615000
The
net income
= $721000-$615000
=$106000
To learn more about net income, refer to:
https://brainly.com/question/28390284
#SPJ13
Option 1: 1,811 square feet, 2-3 bedroom, 2 bath house that arrives in 4 modules. It includes the upgraded PEX piping and fiber cement siding that Xavier saw on the tour. The price for Option 1 would be $180 per square foot.
Option 2: 2,600 square feet, 3-4 bedroom, 3 bath house that arrives in 5 modules. It also includes the upgraded PEX piping and fiber cement siding. The price for Option 2 is $195 per square foot.
Sabrina also explains that Xavier must have certain things ready ahead of time, such as electric, sewer, and water systems, as well as a foundation in place. She gives him the name of a transport company that would oversee bringing Xavier’s modules to his house site. On your math sheet, complete the following problems that will help Xavier choose from the two options Sabrina has presented him:
Math Problem 3: Calculate the total price for Option 1
Use this formula to help you solve the problem:
Total Square Feet × Number of Square Foot=Total Price
Math Problem 4: Calculate the total price for Option 2
Use this formula to help you solve the problem:
Total Square Feet × Number of Square Foot=Total Price
Xavier contacts the transport company and is put in touch with one of the drivers, Kevin. Because the modules need to be connected quickly once they reach his build site, Xavier wants to know if he can have them all delivered on the same day. Kevin says that this would be possible using one truck per module. The fee for transporting each module is 20 cents per truck per mile, plus the cost of fuel. The factory is 350 miles from Xavier’s build site, and Kevin estimates that each truck will need $500 worth of gas.
On your math sheet, complete the following problem to help Xavier find out how much he will spend on transportation costs:
Math Problem 5: Calculate Xavier’s transportation cost to have the modules delivered on the same day
Use this formula to calculate Xavier’s cost:
[(.20 × miles)+500]× number of modules
Part 2: Job Board
Xavier is excited but knows this is a huge project. Help Xavier stay organized by creating a job board for him. A job board is like a bulletin board that holds important information about a big project. This way, he can see the important aspects of his job, along with his costs. To do this, you will be taking the answers to the math questions above and creating items that Xavier can hang on his job board to remind him of the choices he should make in this project. You may select to create your job board in poster form or digitally in a word processing document. Either way, the job board should include the following pieces of content:
A rough drawing of Xavier’s lot that includes the lot measurements provided above.
Make sure that you include the total area of the lot that you calculated in Math Problem 1 somewhere on this drawing.
A sketch of the prefabricated house option that you suggest Xavier purchases (either Option 1 or Option 2).
Make sure that you include his final price that you calculated in Math Problem 3 or 4.
Also, be sure to label the upgraded technology that was included in the option you chose so that Xavier can point it out to his building inspector when the time comes.
A graphic representation (photo, clip art, etc.) of a truck with the final transportation cost on it (this is the answer to Math Problem 5).
If the price is $180 per square foot, the price of the lot will be $3,240,000
How to find the price of the lotTo calculate Xavier cost, we need to first calculate the area of the lot (trapezium)
Area of the trapzium = 1/2(a+b)h
h is the height of the trapezium
a and b are the sides
Area of the trapezium = 1/2(175+185)*100
Area of the trapezium = 1/2(360)*100
Area of the trapezium = 18000 square foot.
If the price is $180 per square foot, the price of the lot will be 18000 * 180 = $3,240,000
Read more about algebra here:
https://brainly.com/question/432678
#SPJ1
What can a boosted post help an advertiser achieve?
A boosted post helps an adviser to connect with the audience and gain trust.
Boosted post is a kind of post that is used on social media platforms in order to enhance the page of the platform and to attract audience to the page. Boosted post can help better communication with the audience along with the increase in a greater number of messages, calls and texts. Boosted posts help for better advertisements of the product. For example, A Chocolate brand may use Boosted posts to gain audience as well as consumers. Boosted posts helps an adviser to be discovered among people, to establish a benchmark in the market and to gain more and more customers. It's a kind of marketing strategy used for publicity purpose.
Learn more about Communication at:
brainly.com/question/25645043
#SPJ4
Could anyone who is good at business course help me on this question, please? :))
Identify three ways in which a study might be classified as bad research.
Answer:
The three ways in which a study might be classified as bad research is described below in detail.
Explanation:
Lack of Research: When a study does not satisfy the research process conditions, it is not recognized to be a legitimate one.No Evidence: When researchers displease to present compelling testimony of their conclusions then, such work is not be trusted and the research becomes unreasonable. Biased opinions: A study, which serves all the method, contributes proof but is biased in one approach or the other, then such research is also classified as void.when you are reading and come to an unknown word what should you do first? a.look for clues in the text b. skip it and keep reading c.look it up in a dictnoiry d.ask the teacher what it means. make sure to have an explanation
Answer:
I sound it out
Explanation:
and the word is conjunction
two important features that managers can adjust in an effort to improve the firm's strategic position are
Two important features that managers can adjust in an effort to improve the firm's strategic position are product features, customer service .
What is Strategic positioning ?
Strategic positioning refers to a company's choices regarding how to satisfy customers and outperform competitors. The competitive environment, the firm's internal resources and capabilities, the state of the industry, and information about the macroenvironment are all factors that a firm must consider in order to develop its position.
What is an example of a strategic position?
A computer corporation that concentrates on offering cutting edge technology at premium prices before its competitors would provide an excellent example of a positioning strategy.
A huge chain store that prioritizes offering well-liked products to many people at affordable prices is another example of a positioning strategy in action.
Learn more about the firm's strategic position
brainly.com/question/28284421
#SPJ1
Which act requires financial institutions to ensure the security and confidentiality of customer data and mandates that data must be stored on a secure medium and protected during storage and transmittal?.
The Gramm-Leach-Bliley Act requires financial institutions to ensure the security and confidentiality of customer information.
Data must be stored on secure media and special security measures must be taken to protect such data on storage media and during transmission. The purpose of the GLB Act is to ensure that financial institutions and their affiliates protect the confidentiality of personally identifiable information (PII) collected from customer records in paper, electronic, or other form. A security policy consists of statements that categorize information risks, identify acceptable security goals, and identify mechanisms for achieving those goals. The GLB Act requires financial institutions to fully disclose their consumer data sharing practices and protect consumer data. The GLB Act is formally known as the Financial Modernization Act of 1999.
Learn more about financial here-
https://brainly.com/question/1537763
#SPJ4
MARKING BRAINIEST
Type the correct answer in the box.
Spell all words correctly.
What does stand for in the formula to calculate moving averages?
The moving averages method of sales forecasting has the formula:
In this formula, stands for
Answer:
Sales
Explanation:
S stands for sales. The moving averages formula uses sales figures from the previous periods to forecasts future sales. For example,
say, sales for 2015 were 100; 2016 were 120; 2017 were 110; and 2018,..130. Using the formula, the forecast for 2019 will be
Forecast 2019 = Sales 2015 + Sales 2016+ Sales 2017+ sales 2019 / 4
Forecast 2019 = 100 + 120 +110 + 130 / 4
Forecast 2019=115
Answer:
"sales for the latest month"
Explanation:
I got it right :)
Would a decrease in the price of a complementary good cause its complement’s equilibrium price to increase or decrease? what about the equilibrium quantity?.
Due to the increase in demand of commodity Y, there will be excess demand. Therefore, the supplier will be motivated to increase the price of commodity Y. The equilibrium price and quantity would tend to increase.
A rise in supply, all other things unchanged, will cause the equilibrium price to fall; quantity demanded will increase. An increase in demand and a decrease in supply will cause a rise in equilibrium price, but the effect on equilibrium quantity can't be determined.
Goods are complementary if a price decrease in one good causes the demand for the opposite to extend. This can be because the 2 goods are typically consumed during a bundle. During this case, the availability of 1 good is increasing which implies its price will decrease.
An increase within the price of a complementary product will cause a fall within the quantity demanded of that product (shift along the demand curve) and a fall in demand for the complements (shift of the demand curve to the left) whose prices haven't changed.
When two goods are complements in consumption, then a rise within the price of 1 of the products will equilibrium decrease the Demand (shift left) for the opposite good and therefore the reverse for a decrease within the price of the primary good. This happens because the 2 goods are consumed together.
learn more about equilibrium: https://brainly.com/question/517289
#SPJ4
9.true or false: the 2021 estate tax exemption is $12,060,000, the 2021 generation skipping tax exemption is $12,060,000 and the 2020 gift tax exemption is $11,700,000?
This is false that the 2021 estate tax exemption is $12,060,000, the 2021 generation skipping tax exemption is $12,060,000 and the 2020 gift tax exemption is $11,700,000.
An exemption is a sum of money that can be subtracted from a person's overall income to lower it. taxable earnings There are two types of exemptions that taxpayers may be able to claim: Personal exemptions, which normally allow taxpayers to claim themselves (and possibly their spouse).
The generation-skipping tax (GST), sometimes known as the generation-skipping transfer tax, forbids you from intentionally omitting your children from your estate plan in favor of younger generations in order to avoid any estate taxes that might be owed once your children pass away. Individuals will be exempt from GST taxes up to $11.7 million as of 2021, double that amount for married couples. The only value subject to that 40% tax is that which exceeds this exemption.
To know more about tax refer to:
https://brainly.com/question/16423331
#SPJ4
Which of the following choices incur speculative risk?
a.stocks
b.fire insurance on a house
c.options
d.life insurance
e.high interest savings account
Answer: correct option is A.
Explanation: A speculative risk can be defined as risk that is taken willingly either it results in profit or loss and the stocks involve in probability of gain and loss making it a speculative risk.
Stocks incur speculative risk. Therefore option A is correct.
What are Stocks?A stock usually referred to as equity, is a type of investment that denotes ownership in a portion of the issuing company. Shares, also known as units of stock, entitle their owners to a share of the company's assets and income in proportion to the number of shares they possess.
Common stock and preferred stock are the two primary categories of stocks.
Owners of common stock are entitled to dividends and the right to vote at shareholder meetings.
Common stockholders often do not have voting rights, while preferred stockholders typically get dividend payments ahead of time and are given preference over common investors in the event of a firm bankruptcy and asset liquidation.
To learn more about Stocks follow the link.
https://brainly.com/question/14649952
#SPJ2