Problem 21 Early in 2022, Inez Marcus, the chief financial officer (CFO) for Suarez Manufacturing, was given the task of assessing the impact of a proposed risky investment on the firm's stock value. To perform the necessary analysis, Inez gathered the following information on the firm's stock. During the immediate past 5 years (2017-2021), the annual dividends paid on the firm's common stock were as follows: Year Dividend 2021 $1. 90 2020 $1. 70 2019 $ 1. 55 2018 $ 1. 40 $1. 30 2017 The firm expects that without the proposed investment, the dividend in 2022 will be $2. 09 per share and the historical annual rate of growth (rounded to the nearest whole percent) will continue in the future. Currently, the required return on the common stock is 14%. Inez's research indicates that if the proposed investment is undertaken, the 2022 dividend will rise to $2. 15/share. The annual rate of dividend growth will be 13% until 2024, and then at the beginning of 2025 onwards, would return to the rate that was experienced between 2017 and 2021. As a result of the increased risk associated with the proposed risky investment, the required return on the common stock is expected to increase by 2% to an annual rate of 16%, regardless of which dividend growth outcome occurs. Armed with the preceding information, Inez must now assess the impact of the proposed risky investment on the market value of Suarez's stock. To simplify her calculations, she plans to round the historical growth rate in common stock dividends to the nearest whole percent. FIN3201 Practice problems Investment Analysis TO DO a. Find the current value per share of Suarez Manufacturing's common stock. B. Find the value of Suarez's common stock in the event that it undertakes the proposed risky investment What effect would the proposed investment have on the firm's stockholders? Explain. C. On the basis of your findings in part b, do the stockholders win or lose because of undertaking the proposed risky investment? Should the firm do it? Why?

Answers

Answer 1

a. The current value per share of Suarez Manufacturing's common stock can be calculated using the dividend discount model (DDM). The formula for the DDM is as follows:

Current Value per Share = Dividend / (Required Return - Dividend Growth Rate)

Using the information given, the dividend in 2022 is $2.09 per share and the required return is 14%. The historical growth rate in dividends from 2017 to 2021 is 30%. Plugging these values into the formula, we can calculate the current value per share.

b. To find the value of Suarez's common stock in the event that it undertakes the proposed risky investment, we need to consider the changes in dividends and the required return. The proposed investment would increase the dividend in 2022 to $2.15 per share. From 2022 to 2024, the dividend growth rate would be 13%, and from 2025 onwards, it would return to the historical growth rate of 30%. The required return on the common stock would increase by 2% to 16%.

We can use the DDM again to calculate the value of the stock with the proposed investment. By applying the dividend growth rates and the adjusted required return to the future dividends, we can determine the value per share.

c. The effect of the proposed investment on the firm's stockholders can be evaluated by comparing the value of the stock with and without the investment. If the value per share with the investment is higher than the value per share without the investment, stockholders would benefit from undertaking the risky investment.

Based on the calculations in part b, we can assess whether stockholders win or lose from the investment. If the value per share with the investment is higher, it indicates that stockholders would benefit, and the investment would be favorable. Conversely, if the value per share with the investment is lower, stockholders would lose, and the investment may not be advisable.

Ultimately, the decision to undertake the proposed risky investment should consider the net impact on stockholders. If the investment increases the value per share and aligns with the company's strategic goals and risk appetite, it may be considered a favorable opportunity. However, if the investment leads to a decrease in stock value or poses excessive risk, the firm may need to reconsider its decision. The evaluation should take into account the long-term prospects, potential returns, and risk factors associated with the investment.

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Related Questions

Which of the following is true about competencies? they focus of average performance rather than optimal performance they discourage employees from assuming leadership roles they fail to provide a common basis for working together they create risks that need to be managed due to inferred proficiencies they make people lose their focus

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Competencies carry risks that need to be managed due to assumed proficiencies, necessitating alignment between stated competencies and actual performance through ongoing assessment and development. Option D.

Competencies refer to the knowledge, skills, abilities, and behaviors that individuals possess and can effectively apply in their roles. They play a crucial role in defining performance expectations and providing a framework for assessing and developing employees.

A.) Competencies do not focus on average performance but rather on the desired level of performance. They outline the skills and abilities required to excel in a specific role, emphasizing optimal performance rather than mediocrity.

B.) Competencies do not discourage employees from assuming leadership roles. In fact, competencies often include leadership skills and behaviors, encouraging employees to develop their leadership capabilities.

C.) Competencies provide a common basis for working together. They establish a shared language and understanding of the skills and behaviors necessary for effective collaboration and teamwork.

D.) This is the correct answer. Competencies create risks that need to be managed because they imply proficiencies that may not always align with actual performance. It is important to ensure that individuals possess the necessary skills and can demonstrate competence in real-world situations, not just in theory.

E.) Competencies do not make people lose their focus. On the contrary, they help individuals and organizations focus on the specific skills and behaviors required to succeed in their roles and achieve organizational objectives.

In summary, competencies are essential in defining performance expectations and guiding employee development. While they create risks related to inferred proficiencies, effective competency management involves ensuring alignment between stated competencies and actual performance through ongoing assessment and development efforts. So Option D is correct.

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Q5. How many types of activities can there be in the MS Project
program? What are the types of activities? Briefly describe.

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There are three types of activities in the MS Project program. The types of activities are duration, effort-driven, and fixed duration.

What are the details?

Below is a brief description of each of them:

Duration: This type of activity is time-based. In other words, it requires a specific amount of time to complete. For example, painting a room might take three hours, and writing a report might take ten hours.

Effort-Driven: This type of activity is effort-based. In other words, it requires a certain amount of effort to complete. For example, coding a program might take eight hours of work, but it might take sixteen hours of effort.

Fixed Duration: This type of activity is fixed in terms of its duration. For example, installing a new server might take three days.

No matter how much effort is put into it, the duration of the task will remain fixed.

Hence, there are three types of activities in the MS Project program: duration, effort-driven, and fixed duration.

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Valuation with pricelearnings multiples For the firm shown in the following table, use the data given to estimate its common stock value employing priceleamings (PjE) mutiplas. (Cick on the leon here P in order to copy the contents of the data table below into a spreadsheet.) The value of the femis common stock is (Round to the nearost cent)

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The value of the firm's common stock can be estimated using price/earnings (P/E) multiples. By multiplying the firm's earnings per share (EPS) by its P/E ratio, you can calculate the estimated value of the common stock.

The value of the firm's common stock using price/earnings multiples is estimated by multiplying the firm's earnings per share (EPS) by the price/earnings ratio (P/E). To calculate the value, you would multiply the EPS of the firm by its P/E ratio. The result will give you the estimated value of the firm's common stock.

In this case, you would need to refer to the data table provided to find the EPS and P/E ratio for the firm. Once you have these values, you can multiply them together to calculate the estimated value of the firm's common stock. Remember to round the answer to the nearest cent.

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businessfinancefinance questions and answersanswer is not -761420, which is what the last chegg expert said. it's supposed to be calculated using the pv factor table, rather than the excel method. perhaps that's what the problem was. hawke skateboards is considering building a new plant. bob skerritt, the company’s marketing manager, is an enthusiastic supporter of the new plant. lucy liu, the
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Question: Answer Is Not -761420, Which Is What The Last Chegg Expert Said. It's Supposed To Be Calculated Using The PV Factor Table, Rather Than The Excel Method. Perhaps That's What The Problem Was. Hawke Skateboards Is Considering Building A New Plant. Bob Skerritt, The Company’s Marketing Manager, Is An Enthusiastic Supporter Of The New Plant. Lucy Liu, The
Answer is not -761420, which is what the last Chegg expert said. It's supposed to be calculated using the PV factor table, rather than the excel method. Perhaps that's what the problem was.
Hawke Skateboards is considering building a new plant. Bob Skerritt, the company’s marketing manager, is an enthusiastic supporter of the new plant. Lucy Liu, the company’s chief financial officer, is not so sure that the plant is a good idea. Currently, the company purchases its skateboards from foreign manufacturers. The following figures were estimated regarding the construction of a new plant.
Cost of plant $4,400,000 Estimated useful life 15 years Annual cash inflows 4,400,000 Salvage value $2,200,000 Annual cash outflows 3,894,000 Discount rate 11% Bob Skerritt believes that these figures understate the true potential value of the plant. He suggests that by manufacturing its own skateboards the company will benefit from a "buy American" patriotism that he believes is common among skateboarders. He also notes that the firm has had numerous quality problems with the skateboards manufactured by its suppliers. He suggests that the inconsistent quality has resulted in lost sales, increased warranty claims, and some costly lawsuits. Overall, he believes sales will be $220,000 higher than projected above, and that the savings from lower warranty costs and legal costs will be $66,000 per year. He also believes that the project is not as risky as assumed above, and that a 9% discount rate is more reasonable.
Click here to view the factor table.
Answer each of the following.
(a)
Partially correct answer icon
Your answer is partially correct.
Compute the net present value of the project based on the original projections. (If the net present value is negative, use either a negative sign preceding the number e.g. -45 or parentheses e.g. (45). Round factor values to 5 decimal places, e.g. 1.25124 and final answer to 0 decimal places, e.g. 5,275.)
Net present value $Type your answer here

Answers

The net present value of the project based on the original projections is $2,642,485.

The given data can be presented as follows:

Cost of the plant: $4,400,000

Salvage value: $2,200,000

Estimated useful life: 15 years

Annual cash inflows: $4,400,000

Annual cash outflows: $3,894,000

Discount rate: 11%

As per the given data, the initial outflow is $4,400,000.

The annual cash inflow and cash outflow are $4,400,000 and $3,894,000, respectively.

The cash flows are relevant for 15 years.

Therefore, the NPV can be calculated as follows using PV Factor Table:

Net cash flow = Annual cash inflow - Annual cash outflow

= $4,400,000 - $3,894,000

= $506,000

PV factor (n=15, i=11%) = 5.21683

NPV = Net cash flow x PV factor

= $506,000 × 5.21683

= $2,642,484.98

≈ $2,642,485

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Volkswagen Emission Cheating Scandal: Matthias Müller's Big Challenge The case is about the worst scandal to affect Volkswagen in its 78-year history and how the newlyappointed CEO of the company, Matthias Müller, faced one of the biggest leadership challenges in business history. On January 5, 2016, The US Department of Justice sued Volkswagen AG (Volkswagen), Europe's leading automobile manufacturer, on behalf of the United States Environmental Protection Agency (US EPA), for installing 'defeat devices' on thousands of its diesel vehicles including around 499,000 diesel cars with 2.0 liter engines and some 85,000 cars with 3.0 liter engines. The automaker was also accused of misleading federal regulators. Volkswagen later admitted that it had manipulated emission tests on its diesel vehicles in the US and Europe. The crisis wiped billions of euros off the company's shares and affected its credentials as well as brand image. The case describes in detail the emission cheating scandal and its different aspects. Müller faced a particularly tough challenge as he strove to bring Volkswagen out of this crisis. At stake was not just the survival of the company but something bigger - Germany's pride, its global economic brand, its engineering. With the regulators in different countries relentlessly and vigorously pursuing the company, Müller had his work cut out for him. What could he do to win back the confidence of the shareholders and millions of customers in different countries? What could he do to boost the morale of the 600,000 employees he was leading who were feeling personally disgraced by this scandal? How was Volkswagen to be restored to its former glory? Questions: B. Discuss the factors that led to the ethical breaches and how this could have been averted?

Answers

The factors that led to the ethical breaches in the Volkswagen emission cheating scandal can be attributed to several key factors within the organization. These factors include:

1. Pressure for Results: There was a strong focus within the company on sales figures and market share, particularly in the highly competitive automobile industry. This pressure for results may have led to a willingness to take shortcuts or engage in unethical practices to meet targets.

2. Organizational Culture: There appeared to be a culture within Volkswagen that prioritized results and profitability over ethical considerations. This culture may have created an environment where employees felt compelled to achieve targets at any cost, including manipulating emissions tests.

3. Lack of Oversight and Accountability: There seemed to be a lack of effective oversight and accountability mechanisms within the company. This allowed the manipulation of emissions tests to go undetected for a significant period of time. There may have been inadequate checks and balances in place to prevent such ethical breaches.

4. Lack of Ethical Leadership: The absence of strong ethical leadership at the top level of the organization may have contributed to the ethical breaches. Leaders play a crucial role in setting the ethical tone and values of an organization, and their failure to prioritize ethical behavior can have far-reaching consequences.

To avert such ethical breaches, several measures could have been taken:

1. Strong Ethical Framework: Establishing a robust ethical framework within the organization that clearly defines the values, principles, and expected behavior of all employees. This framework should be communicated and reinforced at all levels of the organization.

2. Ethical Training and Education: Providing comprehensive training and education programs on ethics and compliance to all employees. This would ensure that employees are aware of the ethical standards expected of them and understand the potential consequences of unethical behavior.

3. Whistleblower Mechanisms: Implementing effective whistleblower mechanisms that allow employees to report any unethical practices or concerns without fear of reprisal. This would create a culture of transparency and accountability, encouraging employees to come forward with any information related to ethical breaches.

4. Strengthening Oversight and Controls: Implementing robust internal controls and oversight mechanisms to detect and prevent unethical practices. Regular audits and checks should be conducted to ensure compliance with ethical standards and regulatory requirements.

5. Ethical Leadership: Fostering a culture of ethical leadership throughout the organization, where leaders lead by example and prioritize ethical behavior. This includes holding leaders accountable for their actions and promoting ethical decision-making at all levels.

By addressing these factors and implementing preventive measures, organizations can reduce the likelihood of ethical breaches and create a culture of ethical conduct and responsibility.

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Explain five examples of products that display seasonality of
supply but uniformity of demand. Give a brief explanation to each
of the examples

Answers

Seasonality of supply and uniformity of demand occur in different products and services throughout the world.

What are the examples?

Below are five examples of products that display seasonality of supply but uniformity of demand:

1. Christmas trees

The supply of Christmas trees is seasonal, meaning that it's available only in November and December. However, the demand for Christmas trees is uniform, meaning that consumers are buying Christmas trees all throughout the period leading up to Christmas day.

2. Watermelons

Watermelons are mostly grown in warm climates. Therefore, the supply of watermelons is seasonal, especially in cooler climates. However, the demand for watermelons is uniform throughout the year.

3. Beach vacations
Beach vacations are most attractive during summer because it's the perfect time to enjoy the sun and the sea. The supply of beach vacations is seasonal due to seasonal weather changes, but the demand for beach vacations is uniform throughout the year.

4. Snow removal services

Snow removal services are required during winter, especially in regions that experience heavy snowfall. The supply of snow removal services is seasonal, but the demand for such services is uniform throughout the winter months.

5. Sunscreen

Sunscreen is mostly used during the summer because it's the time when people are most exposed to the sun. Therefore, the supply of sunscreen is seasonal, but the demand for sunscreen is uniform throughout the summer months.

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Suppose a spring frost destroys one third of the nations
artichoke crop

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One third of the nation's artichoke crop is destroyed by the spring frost.

What proportion of the artichoke crop is affected by the spring frost?

The spring frost has caused damage to one third of the nation's artichoke crop. This means that approximately 33.33% of the total artichoke crop has been destroyed.

The impact of the frost can have significant consequences for the artichoke market, leading to a decrease in the overall supply of artichokes available for consumption or sale.

Farmers and suppliers who rely on artichokes as a source of income may experience financial losses due to the reduced crop yield.

Consumers may also be affected by higher prices or limited availability of artichokes in the market.

The extent of the impact will depend on factors such as the geographic distribution of artichoke production and the ability of farmers to mitigate the effects of the frost through protective measures or alternative sources.

It is important for farmers, policymakers, and market participants to carefully assess the situation and consider appropriate measures to address the impact of the crop loss.

This may involve implementing support programs for affected farmers, exploring alternative sources of artichokes, or adjusting prices to maintain market equilibrium.

Natural disasters and extreme weather events can have a significant impact on agricultural production and supply chains.

Crop losses due to frost, drought, floods, or other weather-related factors can disrupt markets and affect both producers and consumers.

Understanding the vulnerabilities of agricultural systems and implementing strategies to mitigate risks is crucial for maintaining food security and stability in the face of such challenges.

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which foreign direct investment theory is prevalent in the
Caribbean region?

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The foreign direct investment (FDI) theory that is prevalent in the Caribbean region is the dependency theory. The dependency theory suggests that developing countries, including those in the Caribbean, are dependent on foreign investment and often face challenges in achieving economic independence and sustainable development. The Caribbean region has historically relied on FDI from foreign countries to stimulate economic growth, create jobs, and access capital and technology. However, the dependency on foreign investment can lead to vulnerabilities, such as limited control over economic decision-making, reliance on external markets, and potential exploitation of natural resources.

Which of the following was not one of the five large U.S. investment banks in existence prior to the great credit crisis of 2007-2009? Select one: A. Bank of America B. Morgan Stanley C. Bear Stearns D. Lehman Brothers E. Goldman Sachs

Answers

Correct option is A. Bank of America was not one of the five large US investment banks in existence prior to the great credit crisis of 2007-2009.The great credit crisis was a result of the housing bubble and the speculation that followed.

The five large U.S. investment banks at that time were Bear Stearns, Lehman Brothers, Goldman Sachs, Morgan Stanley, and Merrill Lynch. Bank of America, on the other hand, is a commercial bank that offers retail banking services to individuals, small businesses, and large corporations.The financial crisis of 2007-2009 was a complex event that exposed the vulnerabilities of the financial system and led to significant changes in regulations. Investment banks were some of the hardest hit by the crisis, and some of them, like Bear Stearns and Lehman Brothers, did not survive.

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3, You plan to purchase a house for $239,000 using a 15-year mortgage obtained from your local bank. You will make a down payment of 10 percent of the purchase price. You will not pay off the mortgage early. Assume the homeowner will remain in the house for the full term and ignore taxes in your analysis. a, Your bank offers you the following two options for payment. Which option should you choose? Option 1: Mortgage rate of 6.6 percent and zero points. Option 2: Mortgage rate of 6.15 percent and 3 points. b, Your bank offers you the following two options for payment. Which option should you choose? Option 1: Mortgage rate of 6.25 percent and 1 points. Option 2: Mortgage rate of 6.08 percent and 2 points

Answers

Comparing the total costs, we can see that option 1 has a total cost of 6.6 percent, while option 2 has a total cost of 6.15 percent + $7170.

Comparing the total costs, we can see that option 1 has a total cost of 6.25 percent + $2390, while option 2 has a total cost of 6.08 percent + $4780.

To determine which option to choose, we need to calculate the total cost of each option.

For option 1, the mortgage rate is 6.6 percent and there are zero points.

For option 2, the mortgage rate is 6.15 percent and there are 3 points.

To calculate the total cost, we need to consider both the mortgage rate and the points.

For option 1, the total cost can be calculated using the formula:

Total Cost = Mortgage Rate + (Points/100) * Loan Amount

For option 2, the total cost can be calculated using the same formula.

Now, let's calculate the total cost for each option.

For option 1:
Total Cost = 6.6 percent + (0/100) * $239,000
Total Cost = 6.6 percent + $0
Total Cost = 6.6 percent

For option 2:
Total Cost = 6.15 percent + (3/100) * $239,000
Total Cost = 6.15 percent + $7170
Total Cost = 6.15 percent + $7170

Comparing the total costs, we can see that option 1 has a total cost of 6.6 percent, while option 2 has a total cost of 6.15 percent + $7170.

Therefore, you should choose option 1 as it has a lower total cost.

Now let's move on to part b.

For option 1, the mortgage rate is 6.25 percent and there is 1 point.

For option 2, the mortgage rate is 6.08 percent and there are 2 points.

Using the same formula as before, let's calculate the total cost for each option.

For option 1:
Total Cost = 6.25 percent + (1/100) * $239,000
Total Cost = 6.25 percent + $2390
Total Cost = 6.25 percent + $2390

For option 2:
Total Cost = 6.08 percent + (2/100) * $239,000
Total Cost = 6.08 percent + $4780
Total Cost = 6.08 percent + $4780

Comparing the total costs, we can see that option 1 has a total cost of 6.25 percent + $2390, while option 2 has a total cost of 6.08 percent + $4780.

Therefore, you should choose option 2 as it has a lower total cost.

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39
Which of the below is the difference between economic profit and accounting profit a. Variable cost b. Fixed cost c. Explicit cost d. Revenue difference e. Opportunity Cost Clear my choice

Answers

The difference between economic profit and accounting profit is option E) opportunity cost.

Economic profit is the difference between the total revenue obtained by the business and the total opportunity cost incurred while producing the goods or services. Opportunity cost is the cost of the opportunity missed in terms of the next best alternative. It is the implicit cost associated with the economic decision that a firm makes.

Accounting profit is the difference between the total revenue obtained by the business and the total explicit cost incurred while producing the goods or services. Explicit costs are the actual expenses incurred by the business in terms of wages, rent, raw material cost, etc.

Difference between economic profit and accounting profit The primary difference between the two is the inclusion of opportunity cost in economic profit and the absence of it in accounting profit. Accounting profit considers only explicit costs while calculating profit, while economic profit considers both explicit and implicit costs.

Opportunity cost is the value of the next best alternative that is given up while making an economic decision. Therefore, while calculating economic profit, the opportunity cost is included in the total cost of production to give an accurate picture of the economic reality. While calculating accounting profit, the opportunity cost is not considered because it is an implicit cost that cannot be measured.

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3. (Price elasticity of demand) The demand for books is: P=8-Qd; the supply for books is: P=2+Qs, where P is the price of a book in dollars, Qd is the quantity of books demanded, and Qs is the quantity of books supplied. The books market is initially at equilibrium.
a. What is the equilibrium price and equilibrium quantity of books?
b. Suppose that the supply of books changes to: P= 2+1.5Qsfind the new equilibrium price and equilibrium quantity of books.
c. Based on this information, calculate the price elasticity of demand.

Answers

The equilibrium price of books is $4 and the equilibrium quantity is 4 books.

In the given scenario, the demand for books is represented by the equation P = 8 - Qd, where P is the price and Qd is the quantity demanded. The supply of books is represented by the equation P = 2 + Qs, where Qs is the quantity supplied.

To find the equilibrium price and quantity, we need to set the quantity demanded equal to the quantity supplied. So, we set Qd = Qs and solve the equations simultaneously.

By substituting Qd = Qs in the demand and supply equations, we get:

8 - Qd = 2 + Qs

Simplifying the equation, we have:

Qd + Qs = 6

Since Qd = Qs, we can rewrite the equation as:

2Qd = 6

Solving for Qd, we find:

Qd = 3

Substituting the value of Qd back into either the demand or supply equation, we can find the equilibrium price:

P = 8 - Qd

P = 8 - 3

P = 5

Therefore, the equilibrium price of books is $5 and the equilibrium quantity is 3 books.

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How can you use the career to-do list assignment to learn how majors relate to career choices? group of answer choices

Answers

The career to-do list assignment can be a useful tool to explore how majors relate to career choices. It provides an opportunity for individuals to reflect on their career aspirations, interests, and skills, and align them with the academic disciplines and majors that can support their goals.

By creating a career to-do list, individuals can identify the specific steps they need to take to achieve their career objectives. This can involve researching different majors and their corresponding career paths, evaluating the skills and knowledge required for each field, and considering the potential job prospects and opportunities associated with different majors.

Additionally, individuals can use this assignment to explore internship or job shadowing opportunities related to their desired career fields, seek guidance from career counselors or professionals in those fields, and develop a plan to acquire the necessary skills and experiences through their chosen major or academic program.

Overall, the career to-do list assignment serves as a practical exercise to connect majors with career choices by encouraging individuals to take a proactive approach in exploring their interests, researching potential career paths, and developing a plan to bridge the gap between their academic pursuits and their desired professional outcomes.

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when they are granted preemptive rights. Shareholders obtain the right

Answers

When shareholders are granted preemptive rights, they obtain the right to maintain their proportionate ownership in a company by purchasing additional shares before they are offered to the public or other investors. Preemptive rights give existing shareholders the opportunity to maintain their relative ownership stake and prevent dilution.

Here are some key points to understand about preemptive rights:

1. Purpose: Preemptive rights are designed to protect existing shareholders from dilution of their ownership when new shares are issued. Dilution occurs when new shares are issued without the participation of existing shareholders, which reduces their percentage ownership in the company.

2. Exercise: When a company plans to issue new shares, existing shareholders are typically offered the opportunity to purchase a proportionate number of those shares. This allows them to maintain their ownership percentage and prevent dilution. The price at which the shares are offered is usually based on a predetermined formula or the market price at the time.

3. Proportional ownership: Preemptive rights ensure that existing shareholders have the chance to maintain their proportional ownership in the company. For example, if a shareholder owns 10% of the company before the new shares are issued, they will have the right to purchase 10% of the new shares.

Overall, preemptive rights give shareholders the ability to protect their ownership percentage and prevent dilution when a company issues new shares. It ensures fairness and helps maintain shareholder value by allowing them to participate in future capital increases.

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Company Z needs $12,000,000 in a few years for purchasing a building. The company plans to invest $5,068,920 today in an account that pays 9% interest compounded annually. How many years will it take for Company Z to grow its initial investment to $12,000,000?

Answers

It will take approximately 10 years for Company Z to grow its initial investment to $12,000,000.

The present value of $5,068,920 invested at 9% compounded annually will grow to $12,000,000 after a few years. We can use the formula for the future value of a single sum to calculate how many years will it take for Company Z to grow its initial investment to $12,000,000. FV = PV × (1 + i)n where FV is the future value, PV is the present value,i is the interest rate, and n is the number of periods. Substituting the given values, we get: $12,000,000 = $5,068,920 × (1 + 0.09)n Dividing both sides by $5,068,920, we get: 2.36227 = (1 + 0.09)n Taking logarithms on both sides, we get: [tex]log(2.36227) = log(1 + 0.09)n[/tex]

Using the logarithm rule, we can bring the exponent down:

[tex]n × log(1.09) = log(2.36227)[/tex]

Dividing both sides by log(1.09), we get: n = log(2.36227) / log(1.09)

≈ 10.02

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when a job is completed in a service organization that uses job order costing, the job costs are transferred to the

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When a job is completed in a service organization that uses job order costing, the job costs are transferred to the appropriate cost accounts.

These cost accounts include the direct materials, direct labor, and overhead accounts. The total of these costs represents the cost of the job.

The job costs are then typically transferred to the Finished Goods or Work in Process accounts, depending on whether the job has been completed or is still in progress.

In this case, since the job is completed, the job costs would be transferred to the Finished Goods account.

When a job is completed in a service organization that uses job order costing, the job costs are transferred to the cost of services account. The cost of services account is a temporary account that is used to accumulate the costs of all jobs that have been completed but not yet billed to customers. Once the jobs are billed, the costs are transferred from the cost of services account to the accounts receivable account.

Gather the job costs. The first step is to gather all of the costs that have been incurred for the job. This includes direct materials, direct labor, and overhead.

Calculate the total job cost. Once all of the costs have been gathered, the total job cost is calculated.

Transfer the job cost to the cost of services account. The total job cost is then transferred to the cost of services account.

Update the job cost sheet. The job cost sheet is updated to reflect the fact that the job has been completed and the costs have been transferred to the cost of services account.

Bill the customer. Once the job has been completed, the customer is billed for the cost of the services.

Transfer the job costs from the cost of services account to the accounts receivable account. Once the customer has been billed, the job costs are transferred from the cost of services account to the accounts receivable account.

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XYZ Corp. originally sold 1,000,000 of its no par common shares at $ 13 a share. Later, XYZ bought back 6,000 shares of these shares at $ 17 a share. XYZ is incorporated under the CBCA and therefore retired these shares.
Instructions
Record the retirement of the shares

Answers

Journal entry is a type of a business transaction that records the financial effects of transactions in a company's accounting system. Therefore, the retirement of XYZ Corp's common shares would be recorded as follows:

To begin with, this is the given data:Number of Shares initially sold = 1,000,000

Share value initially sold = $ 13 each

Buyback shares at = $ 17 each

Number of shares bought back = 6,000

Formula to calculate total value of shares initially sold = 1,000,000 * $ 13 is $ 13,000,000

Formula to calculate the value of shares bought back = 6,000 * $ 17 is $ 102,000

Therefore, the total value of the remaining shares is: $ 13,000,000 - $ 102,000 = $ 12,898,000

The journal entry for the retirement of shares will be: DateAccountTitleDebitCredit$ $Retained Earnings 12,898,000 Common Share Capital 12,898,000(To record the retirement of common shares at $13 each)

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Describe the population of interest. OA all company presidents OB. all companies OC. companies from the country that use Al OD. all company presidents in the country Help me solve this A recent survey of 1000 company presidents in a certain country indicated that artificial intelligence (Al) is no longer seen as a side project. Eighty-four percent of company presidents think Al will significantly change the way they will do business in the next five years. At the same time, these company presidents are concerned about Al risks that could undermine investments. What risks concem company presidents most? Fifty-two percent cite new privacy threats. But company presidents also note growing concerns over how Al could affect cybersecurity, employment, inequality, and the environment. A sim majority of company presidents are already taking steps to address these concems by developing and deploying Al systems that are trustworthy. Complete parts (a) through (d) View an example Part 1 of 4 Tech help Points: 0 of 1 Save Clear all Check answer

Answers

The answer is OD, and the group of people to whom the study's results are expected to be generalized, which are all company presidents in the country.

The population of interest refers to the group of individuals to whom the results of a study are expected to be generalized. These individuals usually share common characteristics, and the research question is usually centered around them.

In the case of the recent survey of 1000 company presidents in a certain country, the population of interest is OD. This is because the survey was conducted specifically on all company presidents in the country.

The population of interest is the group of people that researchers are interested in and to whom they would like to generalize their findings from a given study. In this case, the survey was conducted on all the company presidents in the country; hence, the population of interest is OD which is all company presidents in the country.

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Georgia will retire in 15 years. She currently has $300,000 saved, and she thinks she will need $2,000,000 at retirement. What annual interest rate must Georgia earn to reach her goal, assuming that she doesn't save any additional funds.

Answers

To determine the annual interest rate that Georgia must earn to reach her goal, we will make use of the future value formula.

FV = PV(1+r)^nwherePV = present value (the amount Georgia currently has saved)FV = future value (the amount Georgia wants to have at retirement)n = number of yearsr = annual interest rateLet us substitute the given values in the formula:$2,000,000 = $300,000(1+r)^{15}$2,000,000/$300,000 = (1+r)^{15}6.67 = (1+r)^{15}Taking the 15th root of both sides, we get:1+r = 1.046r = 0.046 or 4.6%Therefore, Georgia must earn an annual interest rate of 4.6% to reach her retirement goal of $2,000,000. The explanation is as follows:To find the annual interest rate that Georgia must earn to reach her goal, we used the future value formula. We substituted the given values in the formula and solved for the annual interest rate.

Georgia needs to earn an annual interest rate of 4.6% to achieve her retirement goal of $2,000,000 assuming that she does not save any additional funds.

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You are the treasurer at Ohio Wire, a medium-size manufacturer of cable and wire used in building and bridge construction. Since most construction is seasonal, Ohio Wire tends to have far more cash inflows during the summer months. Further, during the winter their cash outflows are often greater than their inflows. How do you manage the excess cash accumulated during the summer months knowing that cash will be needed during the winter?

Answers

As a treasurer at Ohio Wire, a medium-sized manufacturer of cable and wire used in building and bridge construction, to manage the excess cash accumulated during the summer months knowing that cash will be needed during the winter, there are several ways that can be adopted which are as follows:

Invest the excess cash in short-term financial instruments such as Treasury bills, commercial paper, and certificates of deposit. The use of these financial instruments generates returns on idle cash and can be converted to cash in a short period of time.

Opt for credit lines: You could obtain a credit line from a bank that would be available in the winter months. The interest cost of such a credit line would be less than the cost of maintaining excess cash balances.

Utilize zero balance accounts: Zero balance accounts can help maintain cash flows for a company. By having a zero balance account, the account will be automatically credited when cash comes in and debited when cash goes out, with the result that the account is always maintained at zero balance.

Ask customers for early payments: To ensure cash flow during winter, businesses could ask customers to pay early. This strategy can be used to collect cash during the summer months when business is good.

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What is the socio-economic
view of CSR? State five arguments that support it.

Answers

The socio-economic view of Corporate Social Responsibility (CSR) emphasizes the interconnectedness between business activities and broader societal well-being.

It considers the social and economic impacts of a company's actions and argues that businesses have a responsibility to contribute positively to society. Here are five arguments that support the socio-economic view of CSR:

1. Enhancing Reputation and Stakeholder Relations: Engaging in CSR initiatives can improve a company's reputation and strengthen relationships with various stakeholders, including customers, employees, communities, and investors. By demonstrating a commitment to social and economic well-being, companies can build trust and loyalty, which can have long-term benefits for their business success.

2. Fostering Sustainable Development: CSR practices that address environmental, social, and economic issues contribute to sustainable development. By promoting sustainable practices, companies can minimize negative environmental impacts, support local communities, and contribute to economic growth. This long-term perspective aligns business interests with societal needs, ensuring the well-being of future generations.

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2. a. What is Future Value of Money? Identify the Decision-support Value of FV Knowledge.
b. What is Present Value of Money? Identify the Decision-support Value of PV Knowledge.
Kindly help. I will put a thumb up for you. Thank you.

Answers

Understanding the present value of money allows individuals and organizations to make better financial decisions by accurately assessing the current worth of future cash flows or investments.

a. Future Value of Money (FV) refers to the value that a sum of money will grow to over a specific time period, assuming a certain interest rate or rate of return. It takes into account the compounding effect, where interest or returns earned on an investment are reinvested to generate additional earnings. FV is calculated by applying the interest rate or rate of return to the initial investment or principal amount.

The decision-support value of FV knowledge lies in its ability to help individuals and organizations make informed financial decisions. Some examples include:

1. Investment Planning: FV knowledge allows individuals to project the growth of their investments over time, helping them determine the potential returns and make decisions about investment strategies, such as the choice between short-term and long-term investments.

2. Retirement Planning: By estimating the future value of savings and investments, FV knowledge helps individuals plan for their retirement and make decisions regarding the amount they need to save and the investment options they should consider.

3. Loan and Debt Management: Understanding the future value of money enables individuals and businesses to assess the impact of interest rates and the compounding effect on their debt obligations. This knowledge assists in making decisions about borrowing, refinancing, or early repayment.

b. Present Value of Money (PV) refers to the current value of a future sum of money, discounted at a specific interest rate or rate of return. PV is used to determine the worth of future cash flows in today's terms, accounting for the time value of money.

The decision-support value of PV knowledge is as follows:

1. Investment and Capital Budgeting: PV knowledge enables individuals and organizations to evaluate investment opportunities by comparing the present value of expected cash inflows with the initial investment or cost. This assists in determining the profitability and feasibility of investment projects.

2. Valuation of Assets and Businesses: PV calculations are utilized in valuing assets, such as real estate or businesses, by discounting future cash flows to their present values. This helps in assessing the fair value of assets or estimating the worth of a business for mergers, acquisitions, or sales.

3. Financial Decision Making: PV knowledge aids in financial decision making, such as lease versus buy analysis, evaluating the cost-effectiveness of different financing options, or determining the present value of future income streams or cash flows.

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The Great Recession of​ 2007-2009 hit young people particularly​ hard, with​ long-lasting effects. In June​ 2010, 15. 3% of​ 20- to​ 24-year-old Americans were​ unemployed, compared to​ 8. 2% for older workers. As a​ result, more adult children moved back to live with their parents or asked for financial help than in previous years.  The share of​ 25- to​ 34-year-olds living in multigenerational households rose from​ 11% in 1980 to​ 20% in 2008. A recent survey finds that​ 41% of parents provide financial support to their​ 23- to​ 28-year old offspring. ​ Indeed, parents give​ 10% of their income on average to their adult children.

Part 2

Mimi wants to support her son Jeff if he looks for work but not otherwise. Jeff wants to try to find a job only if his mother will not support his life of indolence. Mimi and​ Jeff's payoff matrix is illustrated in the figure to the right.

Part 3

If Jeff and Mimi choose actions​ simultaneously, what are the​ pure- or​ mixed-strategy Nash​ equilibria?

Part 4

Determine the​ pure-strategy Nash equilibrium for this game.

Part 5

A. The Nash equilibrium is for Mimi to support and Jeff to look for work.

B. The Nash equilibrium is for Mimi to support and Jeff to loaf.

C. This game has no Nash equilibria.

Your answer is correct.

D. The Nash equilibrium is for Mimi to not support and Jeff to loaf.

E. The Nash equilibrium is for Mimi to not support and Jeff to look for work.

Part 6

Determine the​ mixed-strategy Nash equilibrium for this game.

Part 7

The​ mixed-strategy Nash equilibrium is for Mimi to support with probability

θM=enter your response here

and for Jeff to look for work with probability

θJ=enter your response here.

​(Enter your responses rounded to two decimal​ places. )

Answers

Part 3:

The pure-strategy Nash equilibria for this game are when Mimi supports and Jeff looks for work, or when Mimi does not support and Jeff loaf. These are the outcomes where neither player has an incentive to unilaterally change their strategy.

Part 4:

The pure-strategy Nash equilibrium for this game is for Mimi to not support and Jeff to loaf. In this case, Mimi's payoff is 1 and Jeff's payoff is 2, which means neither player can improve their payoff by unilaterally changing their strategy.;

Part 5:

The correct answer is D. The Nash equilibrium is for Mimi to not support and Jeff to loaf. This is the pure-strategy Nash equilibrium identified in part 4.

Part 6:

To determine the mixed-strategy Nash equilibrium, we need to calculate the probabilities that each player chooses their respective actions to maximize their expected payoff. Without specific information about the players' preferences or the payoff structure, it is not possible to determine the mixed-strategy Nash equilibrium.

Part 7:

Since we don't have the specific probabilities for the mixed-strategy Nash equilibrium, we cannot provide the values for θM and θJ. The mixed-strategy Nash equilibrium would involve a combination of Mimi supporting and not supporting, and Jeff looking for work and loafing, with certain probabilities that maximize their expected payoffs. Without further information, it is not possible to determine these probabilities.

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Suppose you invest $150,000 dollars in a savings account that earns 9% compounded monthly. How much money can you withdraw on a monthly basis from this account for the next 24 months? $9,757.36 $3,360.46
$4,568.47
$6,852.71

QUESTION 6 If you deposit $1,000 every year in 20 years in a savings account that earns 7% compounded yearly. What is the future value of this series at year 20 if payments are made at the beginning of the period? $65,500.45 $40,995,49 $43,865.18 $60,648.57

Answers

The amount of money that can be withdrawn on a monthly basis from the savings account for the next 24 months is $4,568.47.

To calculate compound interest the monthly withdrawal amount, we can use the formula for the future value of an ordinary annuity:

FV = P * [(1 + r)^n - 1] / r

Where:

FV = Future Value

P = Payment amount per period

r = Interest rate per period

n = Number of periods

In this case, the initial investment is $150,000 and the interest rate is 9% compounded monthly. The number of periods is 24 months.

First, we need to calculate the interest rate per period by dividing the annual interest rate by 12 (since it's compounded monthly):

r = 9% / 12 = 0.0075

Now, we can substitute the values into the formula:

FV = 150,000 * [(1 + 0.0075)^24 - 1] / 0.0075

FV ≈ 150,000 * [1.22019 - 1] / 0.0075

FV ≈ 150,000 * 0.22019 / 0.0075

FV ≈ 4,568.47

Therefore, the monthly withdrawal amount from the account for the next 24 months would be approximately $4,568.47.

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Xyth Corporation has a current stock price of $25, a beta of 1.25, depreciation of $10 per share, a price-earnings multiple of 12, and has 1,000,000 common stock shares outstanding. Using the price-earnings methodology, what is Xyth corporation's expected, next year's future earnings per share?
a. $2.08
b. $1.79
c. $2.02
d. $1.93

Answers

The correct option is a. Therefore, next year's future earnings per share is $2.08.

 How to Calculate Future Earning per share?

Xyth Corporation's expected, next year's future earnings per share can be calculated using the price-earnings methodology. The formula to calculate future earnings per share is:

Future Earnings per Share = Current Stock Price / Price-Earnings Multiple

Given that Xyth Corporation has a current stock price of $25 and a price-earnings multiple of 12, we can substitute these values into the formula:

Future Earnings per Share = $25 / 12

Calculating this, we find that Xyth Corporation's expected, next year's future earnings per share is approximately $2.08.

Therefore, the correct answer is option a. $2.08.

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Write an intro about Sharjah Islamic bank and how it was effected in 2020 And what it did to recover. And on the other hand, Write an intro about ADCB BANK and how they were effected in 2020 And what they did to recover (300 words)

Answers

SIB (Sharjah Islamic Bank) and ADCB (Abu Dhabi Commercial Bank) faced challenges in 2020 due to the pandemic. SIB focused on digital transformation and relief measures, while ADCB emphasized risk management and digitalization to recover.

Sharjah Islamic Bank:

Sharjah Islamic Bank (SIB) is one of the leading Islamic banks in the United Arab Emirates, offering a wide range of Sharia-compliant banking products and services. Like many other financial institutions, SIB faced significant challenges in 2020 due to the global COVID-19 pandemic and its economic repercussions. The pandemic disrupted the global economy, causing financial instability and uncertainty in the banking sector.

In 2020, SIB experienced a decline in profitability and faced higher provisions for potential loan losses as businesses and individuals struggled to meet their financial obligations. The bank's revenue was affected by reduced economic activity, lower consumer spending, and increased credit risk. SIB had to adapt quickly to the changing market conditions and implement strategic measures to mitigate the impact of the crisis.

To recover from the challenges posed by the pandemic, SIB adopted several key initiatives. Firstly, the bank focused on strengthening its digital banking infrastructure to enhance customer experience and promote contactless banking services. This included the expansion of its online and mobile banking platforms, enabling customers to conveniently manage their accounts and conduct transactions remotely.

Secondly, SIB implemented cost optimization measures to improve operational efficiency and reduce expenses. This involved reassessing business processes, streamlining operations, and optimizing staffing levels. By controlling costs, SIB aimed to maintain financial stability and protect its profitability amid the challenging economic environment.

Furthermore, SIB actively supported its customers through various relief measures, such as payment deferrals, loan restructuring, and offering financial assistance to affected businesses. These measures aimed to alleviate the financial burden on customers and help them navigate the economic uncertainties caused by the pandemic.

ADCB Bank:

Abu Dhabi Commercial Bank (ADCB) is a prominent banking institution in the United Arab Emirates, offering a wide range of financial services to individuals, businesses, and government entities. In 2020, ADCB, like many other banks, faced significant challenges as a result of the global COVID-19 pandemic and the associated economic downturn.

The pandemic had a profound impact on ADCB's financial performance, primarily driven by increased provisions for potential loan losses and reduced business activity. As businesses faced closures, layoffs, and financial constraints, the bank had to grapple with a surge in non-performing loans and credit risk. ADCB also witnessed a decline in its overall revenue as economic activities slowed down.

To recover from the adverse effects of the pandemic, ADCB implemented a series of strategic measures. Firstly, the bank focused on risk management and credit quality by increasing provisions and closely monitoring loan portfolios. This proactive approach aimed to mitigate potential losses and ensure the stability of the bank's asset quality.

Secondly, ADCB embraced digital transformation to enhance customer experience and improve operational efficiency. The bank invested in digital banking technologies, offering customers seamless access to banking services through online and mobile channels. This digital shift allowed customers to manage their finances remotely and reduced the reliance on physical branch visits.

Additionally, ADCB actively supported its customers and the community by introducing relief measures, including loan deferrals, fee waivers, and financial assistance programs. These initiatives aimed to alleviate the financial burden on individuals and businesses affected by the pandemic, providing them with much-needed support during challenging times.

Through these initiatives, ADCB demonstrated resilience and adaptability in navigating the unprecedented challenges posed by the pandemic. By focusing on risk management, embracing digitalization, and providing customer-centric solutions, ADCB aimed to recover from the setbacks of 2020 and position itself for sustainable growth in the future.

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The three primary functions of physical distribution are: Group of answer choices purchasing, inventory management, and transportation. transportation, warehousing, and procurement. inventory management, warehousing, and transportation. supply-chain management, inventory management, and warehousing. procurement, supply-chain management, and transportation.

Answers

Physical distribution involves the activities involved in the movement of products from the manufacturing facility to the point of consumption. The three primary functions of physical distribution are inventory management, transportation, and ware housing. Inventory  management .

This involves the ordering, receipt, and storage of raw materials and finished goods to ensure that there is sufficient inventory to meet customer needs. Inventory management is critical because it helps to avoid stockouts, and it minimizes the costs associated with excess inventory.

Transportation The primary purpose of transportation is to move the product from one location to another. Transportation is important because it ensures that the product is delivered to the right location at the right time. Ware housing Ware housing is the process of storing products in a facility that is specifically designed for that purpose.

Warehousing is critical because it helps to ensure that the product is stored in a safe and secure environment. Additionally, warehousing enables companies to manage inventory levels, reduce transportation costs, and improve customer service levels. In conclusion, the three primary functions of physical distribution are inventory management, transportation, and warehousing.  

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Which best describes the purpose of recording past income in spending in a budget?
To know the historic cost of goods?
To serve as the basis for future planning?
To learn why having savings is important?
To learn why expenditures are likely to increase?

Answers

Answer:

To serve as the basis for future planning.

Explanation:

Recording past income and spending in a budget allows individuals or organizations to analyze their financial history and patterns. By understanding how money was earned and spent in the past, it becomes easier to make informed decisions and create realistic plans for the future.

Analyzing past income and spending helps identify trends, areas of overspending, and opportunities for savings. It provides insights into which expenses are necessary, which can be reduced, and where adjustments need to be made to achieve financial goals.

By examining past financial data, individuals and organizations can make more accurate projections, set realistic budgets, and allocate resources effectively. It serves as a foundation for planning and helps in making informed financial decisions moving forward.

Final answer:

Recording past income and spending in a budget is primarily for future planning. It helps to understand financial habits, anticipate future income and expenses accurately, and make informed decisions about managing money.

Explanation:

The primary purpose of recording past income and spending in a budget is to serve as the basis for future planning. By understanding your past income and expenses, you can make informed decisions about your financial future. For example, if you consistently spent too much on dining out last year, you might decide to budget less for this category next year. Conversely, if you had a high income one month due to overtime work, you might not factor this into your regular income planning.

This process helps to identify trends and anticipate future income and expenses accurately. It doesn't primarily offer insight into the historical cost of goods, the importance of saving, or why expenditures are likely to increase. These are side benefits or different aspects of budgeting and financial planning.

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Commercial Law
1- State five functions of Law in a country.
2- Give five reasons why a contract can be void.
3- Malaysian Law can be classified into written and unwritten law.

Answers

Commercial law refers to the study of legal principles that govern business activities. It provides a legal framework that governs businesses and helps in the resolution of disputes in the commercial sector. There are several functions of law in a country, which include the following:

1. Maintaining order and control: Law helps to maintain order and control in a country by enforcing rules and regulations that govern the behavior of individuals and businesses. This helps to prevent chaos and anarchy, which can have negative consequences for society.

2. Protecting individual rights: The law provides a framework for protecting the rights of individuals against infringement by others. This includes the right to life, liberty, property, and freedom from discrimination.

3. Resolving disputes: Law provides a means for resolving disputes between individuals and businesses. This includes the use of courts, arbitration, and other methods of alternative dispute resolution.

4. Promoting social justice: Law can be used to promote social justice by ensuring that everyone is treated fairly and equally under the law. This includes the protection of vulnerable groups such as children, the elderly, and the disabled.

5. Regulating business activities: Law regulates business activities by providing a legal framework that governs the conduct of businesses and helps to prevent fraud and other forms of commercial misconduct.

A contract can be void if any of the following reasons exist:

1. Lack of capacity: If one of the parties to the contract lacks the legal capacity to enter into a contract, such as a minor or someone who is mentally incapacitated, the contract is void.

2. Misrepresentation: If one of the parties to the contract makes a false statement that induces the other party to enter into the contract, the contract is void.

3. Mistake: If both parties to the contract are mistaken about a material fact that goes to the heart of the contract, the contract may be void.

4. Duress: If one of the parties to the contract is forced to enter into the contract under duress, such as the threat of violence or harm, the contract is void.

5. Illegality: If the contract involves an illegal activity, such as the sale of illegal drugs, the contract is void.

Malaysian law can be classified into written and unwritten law. Written law refers to the law that is contained in written statutes, regulations, and other legal documents. This includes the federal constitution, federal statutes, state constitutions, state statutes, and subsidiary legislation. Unwritten law, on the other hand, refers to the law that is not contained in written statutes or other legal documents. This includes common law, which is derived from judicial decisions, and customary law, which is derived from traditional customs and practices.

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The green revolution was based in part on extensive experimentation. The following data illustrates the relationship between nitrogen fertilizer (in pounds of nitrogen) and the output of a particular type of wheat (in bushels). Each observation is based on one acre of land and all other relevant inputs to production (such as water, labor, and capital) are held constant. The fertilizer levels are 20, 40, 60, 80, 100, 120, 140 and 160 and the associated output levels are 47, 86, 107, 131, 136, 148, 149 and 142. a. Use Excel to estimate the short-run production function showing the relationship between fertilizer input and output. (Hint: Use trendline option to regress output on fertilizer input. Try a linear function and try a quadratic function and determine which function fits the data better) Does fertilizer exhibit the law of diminishing marginal returns? What is the largest amount of fertilizer that should ever be used, even if its free?

Answers

To estimate the short-run production function and determine whether the fertilizer exhibits the law of diminishing margin .

the fertilizer levels (in pounds of nitrogen) in column A and the associated output levels (in bushels) in column B.

2. Select the data in both columns.

3. Click on the "Insert" tab in Excel's ribbon and choose the "Scatter" chart type. Select the scatter plot with markers only.

4. Right-click on any data point in the chart and choose "Add Trendline."

5. In the "Format Trendline" pane, select the "Linear" trendline  and check the box for displaying the equation on the chart.

6. Repeat step 5, but this time select the "Polynomial" trendline  and choose a polynomial order of 2 (quadratic function). Display the equation on the chart.

7. Evaluate the R-squared values and the shape of the trendlines to determine which function fits the data better.

If the R-squared value is closer to 1 and the quadratic trendline appears to fit the data better (curving upwards), it suggests that the quadratic function better represents the relationship between fertilizer input and output.

Once we determine the better-fitting function, we can observe the coefficients in the equation to analyze the law of diminishing marginal returns. In a quadratic function, if the coefficient of the squared term is negative, it indicates diminishing marginal returns.

To find the largest amount of fertilizer that should ever be used, even if it's free, we can look at the point where the quadratic function reaches its maximum value. The input level (fertilizer) corresponding to this maximum point represents the largest amount that should be used.

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After having a few drinks and reassuring her friends that she is fine to drive, Sara gets into her car and heads home. On her way home, she is stopped at a roadblock, where she is asked to take a breathalyzer test. Sara blows well over the legal limit and is charged with driving under the influence. Sara is now worried that she will now have a criminal record. She is strongly considering not telling BCCNM or her school because she does not want to be kicked out of the program.which Practice Standards and Professional Standards for LPNs are applicable. Hint: pay close attention to standards that relate to ethical practice and honesty and integrity. Be sure to include specific indicators from these Standards that apply to the case scenario.include What factors might contribute to this issue?What consequences might occur?What might prevent this issue from occurring?Professional and practice standard indicators were clearly represented and appropriately chosen for the topic.shared a minimum of 6 indicators from the Standards.Questions from the assignment were thoroughly Determine the value of a share of DuPont Series A $5.50 cumulative preferred stock to an Investor who requires a 7.85% rate of return. please show step by step working Kilauea in Hawaii is the world's most continuously active volcano. Very active volcanoes characteristically eject red-hot rocks and lava rather than smoke and ash. Suppose a large rock is ejected from the volcano with a speed of 30.1 m/s and at an angle 39 above the horizontal. The rock strikes the side of the volcano at an altitude 23 m lower than its starting point. (reference example 3.5) (a) Calculate the time it takes the rock to follow this path. t= units (b) What are the magnitude and direction of the rock's velocity at impact? V= units units Submit Question A tennis player moves in a straight-line path as shown in the figure below. Find her average velocity in the following time intervals. Find (a) - 0 to 1.0 s, find (b) 0 to 4s, find (c) - 1.0 s to 5.0 s, find (d) - 0 to 5.0 s. A red laser beam emitting monochromatic light with a wavelength of 660 nm is aimed at a 1.0-cm-thicksheet of (crown) glass at an angle 30o above the glass. Use the relevant index of refraction given in the appropriate Lookup Table, and assume that air is the medium on either side of the glass. (Note: 1 cm = 0.01 m.)(a.) What is the laser beams direction of travel in the glass?(b.) What is its direction in the air on the other side of the glass (as the beam exits)?Please show all work A single slit of width 0.3 mm is illuminated by a mercury light of wavelength 405 nm. Find the intensity at an 11 angle to the axis in terms of the intensity of the central maximum. I = Io Additiona Identify one heritage resource from where you come from (ie ur hometown) and in a paragraph explain why it is regarded as a heritage resource.*NB:Indicate ur hometown *from the Ghanaian perspective2-3 pages full*Date of submission:6th July,2022(our next meeting)* Which of the following structures initiates the cardiac cycle? Select one: O a. atrioventricular node O b. fossa ovalis O c. ductus arteriosis d. sinoatrial node (SA) O e. right bundle branch Of. datingdat doesit Og. bundle of HIS Oh purkinje fibers Clear my choice Granulocgtyes and Agranulocytes are classified as types of these cells... Select one: O a platelets O b. erythroblast Oc erythrocytes O d. megakaryocyte e. leukocytes Clear my choice Which of the following represents ventricular depolarization Select one: a. SA node b. QRS complex OC. ST depression Od. Pwave Oe. Twave Clear my choice Which of the following comes from a larger cell known as a Megakaryocyte? Select one: a platelet O b. Oc leukocyte O d. erythrocyte e. Of. erythroblast Og. lymphocyte Clear my choice Which of the following blood types is known as the universal recipient? Select one: O a type o O b. tyep A Oc type B Od. type could-B-normal e. type AB Clear my choice Calculate the work done, in Joules, by a gas undergoing a cyclic reversible process as illustrated in the figure: A small country emits 140,000 kilotons of carbon dioxide per year. In a recent global agreement, the country agreed to cut its carbon emissions by 1.5% per year for the next 11 years. In the first year of the agreement, the country will keep its emissions at 140,000 kilotons and the emissions will decrease 1.5% in each successive year. How many total kilotons of carbon dioxide would the country emit over the course of the 11 year period, to the nearest whole number? Please write 1 paragraph on the following 2 texts and use the outline I created to help discuss the 2 texts. Use evidence from the texts and include an in-text citation.WEB DuBoiss "Close Ranks" Article in Crisis (1918)andSoviet Union, The History of the Communist Party of the Soviet Union (1938)Fourth Body Paragraph (Gender)What does the Du Bois document reveal about genderWhat does the Soviet Union document reveal about gender why does continuous flash distillation would not need a highoperating temperature as compared to a batch process? Required informationSection Break (8-11)[The following information applies to the questions displayed below.)A pension fund manager is considering three mutual funds. The first is a stock fund, the second is a long-term government and corporate bond fund, and the third is a T-bill money market fund that yields a sure rate of 5.5% The probability distributions of the risky funds are:Stock fund (5)Expected Return 15Standard Deviation38Bond fund (8)291The correlation between the fund returns is 0.15.Problem 6-9 (Algo)Required:Solve numerically for the proportions of each asset and for the expected return and standard deviation of the optimal risky portfolio. (Do not round intermediate calculations and round your final answers to 2 decimal places.)Portfolio invested in the stock%Portfolio invested in the bond%Expected return%Standard deviation< Prevof 13Next > Steam Workshop Downloader