FactsFrom The Time Of Its Incorporation In 2001, Hassle Pty Ltd Ran A Business Of Importing And Selling (2024)

Business High School

Answers

Answer 1

The Australian tax law allows businesses to carry forward tax losses to offset taxable income in future income years.

The answer to whether Hassle can carry forward to 2021/22 the $150,000 tax loss incurred in 2020/21 is yes. Hassle can carry forward to 2021/22 the $150,000 tax loss incurred in 2020/21.The amount of the loss must be calculated in accordance with the tax law, and the Australian Taxation Office (ATO) has detailed guidance on how to calculate the amount of tax loss that can be carried forward. Hassle can only carry forward the tax loss if it meets the continuity of ownership test or the same business test. Since Rick owns a majority of shares after purchasing the shares of the five shareholders, the continuity of ownership test would be satisfied. The new businesses conducted by Hassle, such as the property development business, may cause an issue if the same business test is applied.

The tax law provides that where a business changes its activities significantly, the same business test will not be satisfied. The new activities of Hassle must be sufficiently similar to the old activities for the same business test to be satisfied. Hence, Hassle may have to rely on the continuity of ownership test to carry forward the $150,000 tax loss incurred in 2020/21.

Since Rick owns a majority of shares after purchasing the shares of the five shareholders, the continuity of ownership test would be satisfied. However, the new activities of Hassle, such as the property development business, may cause an issue if the same business test is applied. The tax law provides that where a business changes its activities significantly, the same business test will not be satisfied. The new activities of Hassle must be sufficiently similar to the old activities for the same business test to be satisfied. Hence, Hassle may have to rely on the continuity of ownership test to carry forward the $150,000 tax loss incurred in 2020/21.

In conclusion, Hassle can carry forward the $150,000 tax loss incurred in 2020/21 provided it meets either the continuity of ownership test or the same business test.

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Related Questions

: 8-14 Preferred Stock Valuation Several years ago, Rolen Riders issued preferred stock with a stated annual dividend of 10% of its $100 par value. Preferred stock of this type currently yields 8%. Assume dividends are paid annually. a. What is the estimated value of Rolen's preferred stock? b. Suppose interest rate levels have risen to the point where the preferred stock now yields 12%. What would be the new estimated value of Rolen's preferred stock?

Answers

So, the answer is:a. The estimated value of Rolen's preferred stock is $125 per share.

Given,

Par value of the preferred stock = $100

Stated annual dividend = 10%

Yield on preferred stock = 8%

Dividends are paid annually.

Now we need to calculate the estimated value of Rolen's preferred stock.

Let's calculate the estimated value of preferred stock using the following formula:

Estimated value of preferred stock = D / R

Where,

D = Annual dividend

R = Yield on preferred stock

= $10 / 0.08 = $125 per share

Therefore, the estimated value of Rolen's preferred stock is $125 per share.

Now let's move to the second part of the question.

b. The new estimated value of Rolen's preferred stock is $83.33 per share.

Suppose yield on preferred stock has risen to 12%.

Now we need to calculate the new estimated value of Rolen's preferred stock using the above formula. Let's put the values in the formula.

Estimated value of preferred stock = D / R= $10 / 0.12= $83.33 per share

Therefore, the new estimated value of Rolen's preferred stock is $83.33 per share.

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a. What are the incremental earnings for this project for years 1 and \( 2 ? \) (Note: Assume any incremental cost of goods sold is included as part of operating expenses.) b. What are the free cash f

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The incremental earnings for this project for years 1 and 2 are $40,000 and $50,000, respectively. The free cash flow for year 1 is $65,000 and for year 2 is $85,000.

Incremental earnings refer to the additional earnings generated from a project compared to the earnings generated without the project. In this case, the incremental earnings for year 1 are $40,000 and for year 2 are $50,000.

This means that the project generates an additional $40,000 in year 1 and $50,000 in year 2, over and above what would have been earned without the project.

Free cash flow is the amount of cash generated from a project after all expenses have been paid, including capital expenditures. In this case, the free cash flow for year 1 is $65,000 and for year 2 is $85,000. This

means that after paying for all the expenses, including the cost of capital expenditures, the project generates $65,000 in year 1 and $85,000 in year 2, which can be used for additional investments or dividends to shareholders.

Overall, these figures show that the project is profitable and generates additional earnings and cash flow for the company.

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Name and describe any four of the HR activities that rely on job analysis and job description. What are the consequences to the organization for not conducting a proper/thorough job analysis to it's positions.

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Human Resource (HR) activities that rely on a job analysis and job descriptionThe following are four HR activities that rely on a job analysis and job description: Recruitment, position classification, performance appraisals, training, and development.

Recruitment: The HR team can use the job analysis and description as a basis for developing job postings. To ensure that the correct qualifications and competencies are emphasized, job analysis can help determine the critical knowledge, skills, abilities, and other characteristics required for success in a particular job.

Position classification: To assign the correct job titles, pay grades, and other benefits to employees, a job analysis may be used. It can also assist with ensuring equitable pay for similar positions within the organization.

Performance appraisals: Performance standards, employee expectations, and evaluation criteria can all be established using job analysis data. Employee goals and objectives should be directly tied to job descriptions and performance appraisals.

Training and Development: Job analysis and job descriptions can assist in the creation of training and development programs that target employee competencies that are essential for job performance. It can be used to assess training needs, establish training objectives, and evaluate the effectiveness of the training.

Consequences to the organization for not conducting a proper/thorough job analysis of its positions Poor or incomplete job analysis can lead to several consequences for the organization, including the following:

Poor hiring choices: If a job analysis is incomplete or inaccurate, it may lead to the selection of unsuitable candidates for the job. As a result, they may not have the required skills, experience, or qualifications, which can lead to lower job satisfaction, reduced productivity, and higher turnover rates.

Inaccurate performance assessments: A job analysis is necessary for establishing performance standards and criteria. If these criteria are not established or are inaccurate, the employees' performance will be assessed incorrectly. This can result in erroneous feedback, demotivation, and reduced productivity.

Equitable pay and benefits: Job analysis is essential in determining the appropriate pay grade and other benefits for employees. Without a thorough job analysis, employees may be compensated unfairly, resulting in lower job satisfaction, high turnover rates, and low morale.

Lack of training and development: Job analysis is a crucial component in determining the essential competencies that employees must possess for their jobs. Without it, training and development programs may be ineffective and fail to provide the skills needed for success on the job.

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Over the long run (90 or so years), the average annual rates of return in the United States have been highest for which of the following securities?
a. twenty-year corporate bonds
b. small-company stocks
c. five-year government bonds
d. large-company stocks

Answers

The average annual rates of return in the United States have been highest for Large-company stocks over the long run (90 or so years).Investing in securities provides the opportunity to earn money, but it is also accompanied by the possibility of losing money.

The securities market is known for its volatility, which is the tendency of prices to fluctuate frequently and drastically. As a result, it is essential to understand the risks involved before investing.There are various securities, including bonds and stocks.

An investor's financial goals, investment horizon, risk tolerance, and other factors will determine which securities they invest in. Investors' choices determine how much they earn from their investments. An investor should have some knowledge about each security before investing.

The following are the highest average annual rates of return in the United States over the long run (90 or so years):Large-company stocks have provided an average annual return of approximately 9% over the long term.

Small-company stocks have provided an average annual return of approximately 11% over the long term.Twenty-year corporate bonds provided an average annual return of 6% over the long term.

Five-year government bonds provided an average annual return of 5% over the long term.As a result, the answer to this question is D. Large-company stocks.

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Investigate the role of international institutions in
facilitating trade, explaining the World Trade Organisation in
detail. (Minimum 2 pages) (20)

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World Trade Organization (WTO) serves as a platform for negotiating and implementing trade agreements, resolving trade disputes, and providing a forum for member countries to address trade-related concerns.

The World Trade Organization (WTO) is an international institution that aims to promote and facilitate global trade. It was established in 1995 as the successor to the General Agreement on Tariffs and Trade (GATT). The WTO operates on the principles of non-discrimination, transparency, predictability, and promoting fair competition.

One of the key functions of the WTO is to negotiate and implement trade agreements among its member countries. These agreements cover a wide range of issues, including the reduction of tariffs, the elimination of non-tariff barriers, and the liberalization of trade in services.

The most significant of these agreements is the General Agreement on Trade in Services (GATS) and the Agreement on Trade-Related Aspects of Intellectual Property Rights (TRIPS)

The WTO also serves as a platform for resolving trade disputes between member countries. It has a Dispute Settlement Mechanism (DSM) that provides a legal framework for resolving trade disputes in a fair and impartial manner. The DSM has played a critical role in resolving numerous trade disputes and ensuring compliance with WTO rules.

Another important role of the WTO is to provide a forum for member countries to discuss and address trade-related concerns. The WTO holds regular ministerial conferences where member countries can negotiate and make decisions on trade issues. These conferences serve as an opportunity for countries to voice their concerns, exchange information, and seek solutions to trade problems.

In addition to its negotiating and dispute settlement functions, the WTO also focuses on providing technical assistance and capacity building to developing countries. It recognizes the need to help developing countries participate effectively in international trade by providing them with the necessary tools and knowledge.

This assistance includes training programs, workshops, and financial support to build institutional capacity and enhance trade-related infrastructure.

The WTO has contributed significantly to facilitating trade by establishing a rules-based trading system and providing a platform for negotiations, dispute resolution, and cooperation among member countries.

It promotes transparency and predictability in trade policies, which helps to reduce uncertainty for businesses and encourages investment. The WTO's efforts in reducing trade barriers, resolving disputes, and providing technical assistance have contributed to the expansion of global trade and the integration of developing countries into the global economy.

Overall, the World Trade Organization plays a critical role in facilitating trade by promoting a fair, transparent, and rules-based trading system. Its functions encompass negotiating trade agreements, resolving disputes, providing a platform for dialogue, and offering assistance to developing countries.

The WTO's work is essential in promoting global economic cooperation, fostering sustainable development, and ensuring the benefits of trade are accessible to all nations.

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1) Given the following Balance of Payments for Japan: Merchandise Exports Merchandise Imports Export of Services Imports of Services Unilateral Transfers (Billions of Dollars) 269 -192.74 143.91 -159.53 -4.29 a) Calculate the trade Balance. (2 Marks) b) Calculate the Current Account Balance. (2 Marks) (3 Marks) c) Is Japan increasing or reducing its claims on foreign assets? Why? (3 Marks) d) Mention three items that fall under the unilateral transfers. 2) If the current account balance has a surplus of $2 billion and the official settlements balance has a deficit of $5 billion. What is the balance of the capital account? (2 Marks) 3) The Balance of Payments for Zambia showed the following entries for 1998: a capital account surplus of $50 billion, a deficit in the services account of $15 billion and a visible trade deficit of $45 billion. The change in the official reserves was Zero. What was the balance of unilateral transfers for Zambia? (3 Marks)

Answers

The current account balance is obtained by summing the trade balance, the balance of services, and the balance of unilateral transfers.

a) The trade balance is calculated by subtracting the value of merchandise imports (-192.74 billion dollars) from the value of merchandise exports (269 billion dollars). The trade balance for Japan would be 269 - (-192.74) = 461.74 billion dollars.

b) The current account balance is derived by summing the trade balance (461.74 billion dollars), the balance of services (143.91 - (-159.53) = 303.44 billion dollars), and the balance of unilateral transfers (-4.29 billion dollars). Therefore, the current account balance for Japan would be 461.74 + 303.44 - 4.29 = 760.89 billion dollars.

c) To determine whether Japan is increasing or reducing its claims on foreign assets, we need additional information about its capital and financial account. The balance of payments accounts consists of the current account, capital account, and financial account. Without data on the capital and financial account, it is not possible to determine the change in Japan's claims on foreign assets.

d) Unilateral transfers include items that involve one-way transfers of funds without expecting anything in return. Examples of unilateral transfers include foreign aid, remittances sent by individuals working abroad, and gifts or grants received from other countries.

The capital account balance can be calculated by subtracting the current account balance from the official settlements balance. In this case, the current account balance is given as a surplus of $2 billion, and the official settlements balance is given as a deficit of $5 billion. Therefore, the balance of the capital account would be -$5 billion - $2 billion = -$7 billion.

The balance of unilateral transfers can be calculated by summing the capital account surplus, the deficit in the services account, and the visible trade deficit and then adjusting for the change in official reserves. Since the change in official reserves is zero, the balance of unilateral transfers for Zambia would be $50 billion (capital account surplus) - $15 billion (deficit in services account) - $45 billion (visible trade deficit) = -$10 billion.

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Internal controls can prevent or detect mistakes or irregularities in an organization. Which of the following is a danger? a. incompletely following the controls b. management override c. poor design of decision rights d. all of the above

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All of the above options (a. incompletely following the controls, b. management override, and c. poor design of decision rights) are dangers that can undermine the effectiveness of internal controls in detecting mistakes or irregularities. It is crucial for organizations to recognize these dangers and implement robust control mechanisms, along with a strong ethical culture, to mitigate risks and ensure the integrity of their operations.

Internal controls play a crucial role in preventing or detecting mistakes or irregularities within an organization. However, certain dangers can undermine their effectiveness in achieving this objective. One significant danger is incompletely following the controls. When employees fail to adhere strictly to established control procedures, the likelihood of mistakes or irregularities increases. This can happen due to carelessness, lack of awareness, or even intentional disregard for control measures. In such cases, mistakes may go undetected, potentially leading to financial losses or other negative consequences.

Another danger is management override. Despite the presence of robust internal controls, management may choose to bypass or override them for personal gain or to achieve certain objectives. This can involve overriding approval processes, ignoring segregation of duties, or manipulating financial records. By doing so, management can conceal mistakes or irregularities, making them harder to detect and increasing the risk to the organization.

A third danger is the poor design of decision rights. If decision-making authority is concentrated in the hands of a few individuals without appropriate checks and balances, it can create an environment conducive to mistakes and irregularities. Decisions may be made without proper scrutiny or oversight, enabling errors or fraudulent activities to occur without detection.

In conclusion, all of the above options (a. incompletely following the controls, b. management override, and c. poor design of decision rights) are dangers that can undermine the effectiveness of internal controls in detecting mistakes or irregularities. It is crucial for organizations to recognize these dangers and implement robust control mechanisms, along with a strong ethical culture, to mitigate risks and ensure the integrity of their operations.

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What are the "Big Five" personality dimensions as they apply to employment testing? 1) Extroversion, emotional stability, agreeableness, conscientiousness, and openness to experience (2) Visualization, emotional stability, agreeableness, conscientiousness, and cognitive abilities 3) Agreeableness, emotional stability, visualization, cognitive abilities, and openness to experience 4) Emotional stability, extroversion, visualization, conscientiousness, and memory 5)Memory, visualization, agreeableness, cognitive abilities, and openness to experience

Answers

The "Big Five" personality dimensions as they apply to employment testing are Extroversion, Emotional Stability, Agreeableness, Conscientiousness, and Openness to Experience.

The correct option is (1) Extroversion, emotional stability, agreeableness, conscientiousness, and openness to experience.

These five personality dimensions are frequently used in employment testing because they can be utilized to evaluate a person's work performance, potential, and characteristics that contribute to organizational success. These personality dimensions are defined as follows:

Extroversion: It is a person's sociability, assertiveness, and emotional expressiveness.

Emotional stability: It is the degree to which an individual can withstand stress and uncertainty.

Agreeableness: This is a person's degree of friendliness, cooperation, and empathy towards others.

Conscientiousness: It refers to a person's level of organization, persistence, and motivation to complete assigned tasks.

Openness to experience: This is a person's willingness to explore new ideas, experiences, and perspectives.

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Which of the following are general characteristics of bonds? Fixed coupon payments and no fixed period to maturity. Zero capital risk and no fixed period to maturity. Prior claim on the assets of issu

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Bonds refer to debt instruments that companies, municipalities, states, and governments issue to raise money for various purposes. The bondholder receives periodic interest payments (coupon payments) at a fixed interest rate, typically semiannually.

When the bond matures, the bondholder receives their principal back. Let us discuss the characteristics of bonds. Fixed coupon payments are one of the general characteristics of bonds. The interest rate is fixed at the time of issuance, and the bondholders receive periodic interest payments (coupon payments). The coupon payments are based on a percentage of the face value of the bond, and the rate is fixed for the life of the bond.

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Question 3 Suppose that quantity demand falls by 2% as a result of a 14% increase in price. The price elasticity of demand for this good is O inelastic and equal to 0.10 elastic and equal to 10 O inelastic and equal to 10 elastic and equal to 0.10

Answers

Price Elasticity of Demand = (-2% / 14%) = -0.143. the options provided are all positive values, none of the given options accurately represent the price elasticity of demand for this scenario.

To determine the price elasticity of demand, we use the formula:

Price Elasticity of Demand = Percentage Change in Quantity Demanded / Percentage Change in Price

In this case, quantity demand falls by 2% and price increases by 14%. Plugging these values into the formula:

Price Elasticity of Demand = (-2% / 14%) = -0.143

The price elasticity of demand is a negative value. However, since the options provided are all positive values, none of the given options accurately represent the price elasticity of demand for this scenario.

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Using one or more of the methods presented in this chapter,
calculate the present value of $50000 to be received 10 years from
today, discounted at 6 percent.

Answers

To calculate the present value, we can use the formula for present value of a single future cash flow. By discounting the future amount, we determine its equivalent value in today's dollars.

The formula for present value (PV) of a future cash flow is:

[tex]PV = FV / (1 + r)^n[/tex]

Where:

PV is the present value

FV is the future value

r is the discount rate

n is the number of periods

Plugging in the values:

[tex]PV = $50,000 / (1 + 0.06)^{10}[/tex]

[tex]PV = $50,000 / (1.06)^{10}[/tex]

PV ≈ $50,000 / 1.790847

PV ≈ $27,900.23

Therefore, the present value of $50,000 to be received 10 years from today, discounted at a 6% rate, is approximately $27,900.23. This means that if we want to have the equivalent value of $50,000 in today's dollars, considering a discount rate of 6% over a 10-year period, we would need approximately $27,900.23.

Discounting the future cash flow takes into account the time value of money, reflecting the notion that money today is generally worth more than the same amount in the future due to factors like inflation and opportunity cost. By calculating the present value, we can make more informed decisions about investments, loans, and financial planning.

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When an organization opens facilities in foreign locations, many
decisions must be carefully considered and confirmed to ensure that
the firm’s overall strategy is reflected in staffing policy. Part

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When an organization opens facilities in foreign locations, it is necessary to consider several factors and confirm the decisions made in order to ensure that the firm's overall strategy is reflected in staffing policy. The organization must take into account cultural differences, labor market regulations, and language barriers when hiring employees.

In addition, the company must ensure that the staffing policy is aligned with the overall strategy of the firm. One of the key decisions that an organization must make when opening facilities in foreign locations is whether to use expatriates or local hires. Expatriates are employees who are sent from the parent company to work in foreign locations. They are typically used when specialized skills are required or when local employees are not yet trained in the required skills. Local hires, on the other hand, are employees who are hired locally to work in foreign locations. They are typically used when local knowledge is required.
Another important factor to consider is cultural differences. Organizations must ensure that they understand the culture of the foreign location in order to successfully hire and retain employees. This includes understanding the cultural norms and values of the local population, as well as the legal and regulatory framework of the foreign location. In addition, organizations must be sensitive to language barriers and ensure that they provide appropriate language training to their employees.
Finally, organizations must ensure that their staffing policy is aligned with the overall strategy of the firm. This includes ensuring that the company's values and goals are reflected in the staffing policy. It also involves ensuring that the company has a clear understanding of the skills and competencies required to achieve its strategic goals. By carefully considering these factors, organizations can ensure that their staffing policy is effective and aligned with their overall strategy.

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Janice has recently renovated her shop, and she stores many premium handbags in a locked room at the back of the store. Janice is concerned as she has heard that criminal activity has drastically increased in the area. Janice is considering taking insurance to protect her shop and the belongings. She wishes to find out about the various kinds of insurances,
which exist.
5.1
Discuss the TWO (2) types of insurances, which exist.
5.2 Furthermore, you are required to advise Janice as to which type of insurance is more suitable to her needs.

Answers

5.1Types of insurance: Two types of insurances that exist are: General Insurance Life Insurance General Insurance: General Insurance is defined as insurance policies that do not fall under the category of life insurance.

It is any insurance that is not determined to be life insurance. General insurance is further classified into the following categories:Motor Insurance,Fire Insurance,Marine Insurance,Health Insurance,Home Insurance,Agriculture Insurance,Industrial Insurance, etc.Life Insurance:Life insurance is a kind of insurance that provides protection to the policyholder against the possibility of unexpected death. Life insurance policies provide protection against the death of an individual and give benefits to the beneficiary in exchange for a premium.

Life insurance policies are classified into the following categories:Term Insurance,Whole Life Insurance,Endowment Policy,Money-Back Policy,ULIP Policy, etc.5.2General Insurance would be more suitable to Janice's needs. General insurance policies provide protection to a variety of non-life assets. General insurance protects businesses and individuals from a variety of risks and dangers. Fire, burglary, theft, and other forms of damage that can occur to one's business can be covered by general insurance.

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The director of marketing for Starr Computer Co., Megan Hewitt, had the following discussion with the company controller, Cam Morley, on July 26 of the current year: Megan: Cam, it looks like I’m going to spend much less than indicated on my July budget. Cam: I’m glad to hear it. Megan: Well, I’m not so sure it’s good news. I’m concerned that the president will see that I’m under budget and reduce my budget in the future. The only reason that I look good is that we’ve delayed an advertising campaign. Once the campaign hits in September, I’m sure my actual expenditures will go up. You see, we are also having our sales convention in September. Having the advertising campaign and the convention at the same time is going to kill my September numbers. Cam: I don’t think that’s anything to worry about. We all expect some variation in actual spending month to month. What’s really important is staying within the budgeted targets for the year. Does that look as if it’s going to be a problem? Megan: I don’t think so, but just the same, I’d like to be on the safe side. Cam: What do you mean? Megan: Well, this is what I’d like to do. I want to pay the convention-related costs in advance this month. I’ll pay the hotel for room and convention space and purchase the airline tickets in advance. In this way, I can charge all these expenditures to July’s budget. This would cause my actual expenses to come close to budget for July. Moreover, when the big advertising campaign hits in September, I won’t have to worry about expenditures for the convention on my September budget as well. The convention costs will already be paid. Thus, my September expenses should be pretty close to budget. Cam: I can’t tell you when to make your convention purchases, but I’m not too sure that September items should be expensed in July’s budget. Megan: What’s the problem? It looks like "no harm, no foul" to me. I can’t see that there’s anything wrong with this—it’s just smart management. How should Cam Morley respond to Megan Hewitt’s request to expense the advanced payments for convention-related costs against July’s budget?

Answers

Cam Morley should respond to Megan Hewitt's request to expense the advanced payments for convention-related costs against July's budget by explaining the principles of accrual accounting and the importance of accurately reflecting expenses in the appropriate period.

Megan, I understand your concerns about budgeting and wanting to show favorable results, but it's important to adhere to accounting principles and accurately reflect expenses in the appropriate period. In accrual accounting, expenses should be recognized when they are incurred, not necessarily when they are paid.

By prepaying convention-related costs in July and charging them against the July budget, it would create a misrepresentation of expenses for both July and September. July's budget would show higher expenses than actually incurred, while September's budget would not reflect the true expenses related to the convention.

While it may seem like a way to manipulate the budgets in the short term, it can lead to misleading financial reports and inaccurate performance evaluation. It's crucial to present financial information that provides a true and fair view of the company's financial position and performance.

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An increase in the price of smartphones of 20.00% would cause the quantity demanded of smartphones to decrease by 20.00%. The absolute value of the price elasticity of demand is ____

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Since the price elasticity of demand is negative, it implies that smartphones are an elastic good. The absolute value of the price elasticity of demand is 1.

Given that an increase in the price of smartphones of 20.00% would cause the quantity demanded of smartphones to decrease by 20.00%. Price elasticity of demand is given as, Price elasticity of demand = (% change in Quantity Demanded) / (% change in Price)`Given that an increase in price of smartphones by 20% would cause a decrease in the quantity demanded by 20%. It implies that,% change in Quantity Demanded = -20 %And, % change in Price = 20 %Substituting the values in the above formula, we get; Price elasticity of demand = (-20) / (20) = -1.

Since the price elasticity of demand is negative, it implies that smartphones are an elastic good. The absolute value of price elasticity of demand is given as; Absolute value of Price elasticity of demand = |-1| = 1 Therefore, the absolute value of the price elasticity of demand is 1.

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what caused current ratio to increase from 2019 to 2020 for jp
morgan?

Answers

The current ratio is a financial metric that measures a company's ability to meet its short-term obligations. There are several possible reasons for an increase in the current ratio, such as increased current assets, decreased current liabilities, improved working capital management, debt restructuring, and changes in business operations. It is important to refer to JP Morgan's official financial reports or consult with financial analysts for an accurate assessment of the factors influencing their current ratio.

The current ratio is a financial metric that measures a company's ability to meet its short-term obligations. It is calculated by dividing current assets by current liabilities. An increase in the current ratio indicates that the company has improved its ability to cover its short-term liabilities.

There are several possible reasons for an increase in the current ratio:

1. Increase in current assets: If JP Morgan's current assets such as cash, accounts receivable, or short-term investments increased significantly from 2019 to 2020, it would contribute to a higher current ratio.

2. Decrease in current liabilities: If JP Morgan's current liabilities such as accounts payable or short-term debt decreased during that period, it would have a positive impact on the current ratio.

3. Improved working capital management: JP Morgan may have implemented more effective strategies to manage its working capital, such as better inventory management, optimizing accounts receivable collection, or negotiating favorable payment terms with suppliers. These actions could result in an increase in the current ratio.

4. Debt restructuring: If JP Morgan refinanced or extended its long-term debt into longer maturities, it could reduce the portion of debt classified as current liabilities, leading to a higher current ratio.

5. Changes in business operations: JP Morgan may have experienced changes in its business operations, such as a shift towards more liquid assets or a decrease in short-term obligations, resulting in an increase in the current ratio.

It's important to note that the actual factors influencing JP Morgan's current ratio can only be determined by analyzing the company's financial statements and specific events during that period. Therefore, it's recommended to refer to JP Morgan's official financial reports or consult with financial analysts for an accurate assessment of the factors affecting their current ratio.

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For questions 2-5, suppose that:
There are 3 firms that produce coal.
There is a constant coal price, p=$36/ tonne coal.
Coal produces 0.2 tonnes of CO2 emisslons/tonne coal.
The social cost of carbon is $100/ tonne CO2 emissions.
The private marginal cost for fim I is, as a function of firm I's quantity produced, ql: MCl=$5/ tonne coal+0.1ql/ tonnes coal

How much CO will this industry emit without regulation?
a. 180 tonnes
b. 120 tonnes
c. 900 tonnes
d. 300 tonnes

How much CO is socially optimal for this industry to emit?
a. 600 tonnes
b. 300 tonnes
c. 100 tonnes
d. 60 tonnes

Suppose that there is a carbon tax of $Yhonne CO2 (wa do not know what Y ie). How much CO2 wis this industry emit inder this carbon tiax, as a function of Y?
a. 100−12Y
b. 300+2Y
c. 100−6y
d. 30-y

What is the sociaby optimal carbon tax? le. the tax, in Slonne. that incentiveses the nocially optimal production and emitsions.
a. $10 tonnes
b. $50 tonnes
c. $100 tonnes
d. $120 tonns

Answers

CO will this industry emit without regulation 300 tonnes, Socially optimal emissions are 210 tonnes, industry will emit 0.6 times the quantity of coal produced, which depends on the carbon tax.

To answer these questions, we will analyze the given information and apply economic principles related to externalities and social optimization.

How much CO will this industry emit without regulation?

Without regulation, firms will produce coal at a quantity where their private marginal cost (MCl) equals the coal price. Since there are 3 firms and each produces independently, we sum up their quantities to determine the industry's emissions.

Total industry emissions without regulation: 0.2 ql + 0.2 ql + 0.2 ql = 0.6 ql

How much CO is socially optimal for this industry to emit?

To determine the socially optimal emissions, we consider the social cost of carbon ($100/tonne) and the industry's emissions. The socially optimal quantity is where the marginal social cost (MSC) equals the social cost of carbon.

MSC = MCl + cost of carbon emissions

0.5 ql = $5 + $100/tonne CO2

0.5 ql = $105

ql = 210 tonnes (since each firm's quantity is equal)

With a carbon tax, the firms' production decisions will be influenced by the additional cost incurred for emitting CO2. The firms will produce coal where their private marginal cost plus the tax equals the coal price.

Total industry emissions with a carbon tax: 0.2 ql + 0.2 ql + 0.2 ql = 0.6 ql .

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An asset has an average return of 10.71 percent and a standard deviation of 19.47 percent. What range of returns should you expect to see with a 68 percent probability? Multiple Choice Ο -28.23% to 49.65% Ο -4770% to 6912% Ο -8.76% to 30.18% Ο -8.76% to 12.66% Ο -18.49% to 39.91% An asset has an average return of 11.51 percent and a standard deviation of 24.45 percent. What is the most you should expect to lose in any given year with a probability of 2.5 percent? o o -12.94% o –61.84% o -2517% o -60.41%

Answers

A.) The range of returns you should expect with a 68 percent probability is -8.76% to 30.18%. Option C.

B.) The most you should expect to lose in any given year with a 2.5 percent probability is -12.94%. Option A.

A.) To determine the range of returns you should expect to see with a 68 percent probability, we can use the concept of one standard deviation. In a normal distribution, approximately 68 percent of the data falls within one standard deviation of the mean.

Given that the asset has an average return of 10.71 percent and a standard deviation of 19.47 percent, we can calculate the range as follows:

Lower Range = Average Return - (Standard Deviation)

Lower Range = 10.71% - (19.47%)

Lower Range = -8.76%

Upper Range = Average Return + (Standard Deviation)

Upper Range = 10.71% + (19.47%)

Upper Range = 30.18%

Therefore, with a 68 percent probability, you should expect returns within the range of -8.76% to 30.18%.

The correct answer is -8.76% to 30.18%.

B.) To determine the most you should expect to lose in any given year with a probability of 2.5 percent, we can use the concept of the left-tail probability.

Given the average return of 11.51 percent and a standard deviation of 24.45 percent, we want to find the value at the 2.5th percentile, which represents the loss you would expect to exceed only 2.5 percent of the time.

Using statistical tables or a calculator, we can find this value, which corresponds to the left-tail probability of 2.5 percent. The value is approximately -12.94%.

Therefore, the most you should expect to lose in any given year with a 2.5 percent probability is -12.94%.

The correct answer is -12.94%.

So Option C is correct for A and Option A is correct for Part B.

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Donald and his tech team are working on creating a new smartphone. They want companies to know be able to use location data to market to customers. Which feature of mobility are they concerned with? connectivity customization ubiquity localization

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The feature of mobility that Donald and his tech team are concerned with is localization.

The feature of mobility that Donald and his tech team are concerned with is localization.What is mobility?Mobility is the ability to move freely and easily. In the context of technology, mobility refers to the ability to connect to the internet and access data from anywhere at any time using mobile devices like smartphones and tablets.Mobility has four features which are connectivity, customization, ubiquity, and localization.

Out of the four features, localization is the feature of mobility that Donald and his tech team are concerned with.What is localization?Localization is the ability to determine an object's position using location data from a mobile device. It's the ability to customize data for a specific location. In this case, Donald and his tech team are working on a new smartphone that will allow companies to use location data to market to customers.

By using location data, companies will be able to customize their marketing messages for a specific location to increase the effectiveness of their marketing efforts. Therefore, the feature of mobility that Donald and his tech team are concerned with is localization.

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Describe the relationship between economic and political
globalization"

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Economic and political globalization have a complex relationship. Economic globalization refers to the integration of world economies into one global market and political globalization, on the other hand, refers to the spread of political influence across national borders. The relationship between the two can be described as follows:

Explanations of the Relationship between Economic and political globalization

Globalization has been driven by a combination of economic, technological, political, and cultural forces. As a result, it has brought about significant economic changes, and the political system has been forced to respond to these changes. Economic globalization has challenged traditional political systems and created new economic relationships between nations. Governments have had to adjust their economic policies to accommodate these changes, which has sometimes created political conflicts. For instance, some governments have responded to globalization by increasing protectionist policies, while others have promoted free trade.

Economic globalization has created new opportunities for nations to trade, and the increasing flow of goods, services, and capital across borders has led to the growth of the global economy. However, this growth has come at a cost. Economic globalization has led to income disparities between rich and poor countries, and some nations have been left behind in the process.

The relationship between economic and political globalization is also characterized by the tension between national sovereignty and global governance. The global economy has created new actors in international affairs, such as multinational corporations, which are not subject to the same rules and regulations as national governments. This has created tension between national governments and global governance institutions, such as the World Trade Organization (WTO). Overall, the relationship between economic and political globalization is complex, and the two are closely intertwined.

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evuii stands for? question 2 options: 1) expected value under immediate instance 2) expected value under imperfect information 3) expected value under immediate information 4) expected value under imperfect instance

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The acronym "EVUII" does not have a widely recognized or commonly used standard meaning.

Therefore, none of the provided options (1) "expected value under immediate instance," (2) "expected value under imperfect information," (3) "expected value under immediate information," or (4) "expected value under imperfect instance" can be considered as definitive explanations for the acronym "EVUII."

Acronyms can have different meanings depending on the context in which they are used. It is possible that "EVUII" represents a specific term or concept within a specialized field or organization that is not widely known outside of that context.

To determine the meaning of "EVUII," additional information or clarification is needed. If you can provide more details or context about the term, I can try to assist you further in understanding its meaning.

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You plan to purchase a house for $ 500,000 in Florida.. You will make a down payment of 20% of the purchase price. That is, you will borrow 80% of the purchase price. The loan officer at a local bank in Florida. has provided you with several options which you want to evaluate very carefully. The options are (1) a 30-year fixed rate mortgage (FRM) at 4.8% per year with no discount point, (2) a 15-year fixed rate mortgage (FRM) at 4.2% per year with no discount point, (3) biweekly mortgage at 4.8% per year (under this option, the mortgage payment will be exactly one-half of the monthly payment associated with the 30-year FRM at 4.8% per year), and (4) 7/1, a 30-year adjustable-rate mortgage (ARM) with no discount point. Under 7/1 ARM, the mortgage rate will be 2.5% per year for the first 7 years; but you expect the rate will go up to 7% during the 8th year.
(a). Please determine the monthly mortgage payments for options (1) and (2). If you plan to repay the remaining balance after 10 years of payment under option (1), how much would you have to pay at that time? How about under option (2)?
(b). If you obtain a 7/1, 30-year ARM under option (4), what will be the monthly mortgage payment for the first 7 years? What will be the monthly mortgage payment during the 8th year?
(c). Assume you have chosen option (1). If you wish to pay an additional $300 per month, how long would it take for you to pay off the mortgage?
(d). Assume you have chosen option (3). When would you pay off the mortgage?

Answers

(a) The monthly mortgage payment for option (1) is approximately $2,086.85. The monthly mortgage payment for option (2) is approximately $2,978.04. Using the calculation, the remaining balance after 10 years for option (2) is approximately $65,164.80.

A mortgage payment refers to the regular payment made by a borrower to a lender for a mortgage loan. When someone purchases a home or property using a mortgage, they typically enter into a loan agreement with a lender, such as a bank or mortgage company. The mortgage payment is the amount of money the borrower is required to pay on a regular basis (usually monthly) to repay the loan over a specified period of time.

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NEED IN 15 MIN WILL RATE HIGH PLEASE
Argyle Corporation has a net loss of $-67,400 in 2019.
A review of its accounts for 2019 reveals:
Dividends declared and paid = $46,800
Depreciation Expense = $40,000
Increase in Accounts Payable = $20,000
Issuance (sale) of shares = $250,000
Retirement of Long Term Debt = $75,000
No other event took place in 2019 and no other account reports a genuine change in its balance except for Retained Earnings. Ignore tax implications.
Required 1: what is the amount of cash provided (used) by operating activities? $
Required 2: what is the amount of cash provided (used) by financing activities? $
Required 3: Assume the opening balance of Retained Earnings was $150,000, what is the ending balance at the end of Year 2019? $

Answers

With the amount of cash provided (used) by operating activities Net loss = $67,400 Add: Depreciation expense = $40,000 Increase in accounts payable = $20,000 The ending balance at the end of Year 2019 is $129,400.

Given that Argyle Corporation has a net loss of $-67,400 in 2019, dividends declared and paid are $46,800, depreciation expense is $40,000, increase in accounts payable is $20,000, issuance (sale) of shares is $250,000 and the retirement of long-term debt is $75,000, we can calculate the following.

Required 1: the amount of cash provided (used) by operating activities Net loss = $67,400 Add: Depreciation expense = $40,000 Increase in accounts payable = $20,000 Net cash used in operating activities = $127,400 (Loss + depreciation expense + Increase in accounts payable) Required 2: the amount of cash provided (used) by financing activities

Cash inflow from issuance (sale) of shares = $250,000Cash outflow from retirement of long-term debt = $75,000Net cash provided by financing activities = $175,000 (Cash inflow from issuance (sale) of shares – Cash outflow from retirement of long-term debt) Required 3: Assume the opening balance of Retained Earnings was $150,000,

what is the ending balance at the end of Year 2019 Net loss = $67,400Dividends declared and paid = $46,800Therefore, change in retained earnings = Net loss – Dividends declared and paid= ($67,400) – ($46,800) = ($20,600)Hence, the ending balance at the end of Year 2019 would be: Opening balance of retained earnings = $150,000Change in retained earnings = ($20,600) Ending balance of retained earnings = $129,400 Therefore, the ending balance at the end of Year 2019 is $129,400.

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a) CJ Patel Ltd has a share price of $1.95. The company has made a renounceable rights issue offer and the offer is a two-for-six pro-rata issue of ordinary shares at $1.65 per share.
(i) Explain what does it mean by the offer being renounceable and to whom is this offer made?
(ii) Calculate the price of the right. (iii) Calculate the theoretical ex-rights share price.
b) Explain the reason for the Basel II and III accords. What are their purpose, and how do they restrict the operations of banks? In your answer, use a hypothetical example to show how capital adequacy standards work in the Australian setting.
[(2+2+3)+4] =

Answers

a. Theoretical ex-rights share price = $1.46.b. The equation at the end of your question [(2+2+3)+4] is equal to 11.

a) (i) A renounceable rights issue means that existing shareholders have the right to transfer their rights to someone else, allowing them to buy the new shares offered.

The offer is made to existing shareholders of CJ Patel Ltd.

(ii) To calculate the price of the right, we can subtract the subscription price from the current share price:

Price of the right = Share price - Subscription price

Price of the right = $1.95 - $1.65

Price of the right = $0.30

(iii) The theoretical ex-rights share price is the expected share price after the rights issue. To calculate it, we can adjust the current share price based on the rights issue ratio:

Theoretical ex-rights share price = (Current share price * Number of existing shares) / (Number of existing shares + Number of new shares)

Theoretical ex-rights share price = ($1.95 * 6) / (6 + 2)

Theoretical ex-rights share price = $11.70 / 8 = $1.46

b) The Basel II and III accords are regulatory frameworks that aim to strengthen the stability and risk management of the banking sector.

The purpose of these accords is to:

- Ensure banks maintain adequate capital to cover their risks.

- Promote risk management and supervision in banks.

- Enhance transparency and disclosure of banks' financial positions.

- Improve the resilience of the banking system during economic downturns.

Basel II and III accords impose capital adequacy standards on banks. Banks are required to maintain a certain level of capital relative to their risk-weighted assets. This restricts their operations by setting minimum capital requirements, limiting the amount of leverage and risk they can take.

For example, in the Australian setting, banks must comply with the Australian Prudential Regulation Authority's (APRA) capital adequacy standards. Suppose Bank ABC has risk-weighted assets of $1 billion and APRA requires a minimum capital adequacy ratio of 10%. Bank ABC would need to hold at least $100 million in capital (10% of $1 billion) to meet the standards. This restricts the bank from excessively leveraging its assets and helps safeguard against financial bility. [(2+2+3)+4] is equal to 11.

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You examine a pension obligation for your company and would like to immunize it from interest rate
movements. This obligation has a duration of 11.63 years, and if you only used two types
of bonds, how much would you allocate to PERPETUITIES if your only other bonds available were
6 year, zero coupon bonds? Interest rates currently yield 6.50%

Answers

To immunize the pension obligation from interest rate movements with a duration of 11.63 years, you would allocate 100% to perpetuities if they are available, assuming no allocation to the 6-year zero coupon bonds.

To immunize the pension obligation from interest rate movements, you would allocate a portion of the portfolio to perpetuities and the remaining portion to 6-year zero coupon bonds. The allocation would depend on the desired duration match.

Given that the duration of the pension obligation is 11.63 years and the available bonds are perpetuities and 6-year zero coupon bonds, we can calculate the allocation as follows:

Let x be the proportion allocated to perpetuities (as a decimal).

The remaining proportion allocated to 6-year zero coupon bonds would be (1 - x).

Using the duration formula:

11.63 = x * ∞ + (1 - x) * 6

Solving for x:

11.63 = x * ∞ + (1 - x) * 6

11.63 = x + 6 - 6x

5.63 = -5x

x = -5.63 / -5

x = 1.126

Since x cannot be greater than 1 (100%), we would allocate 100% to perpetuities, assuming they are available in the desired quantity.

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The principle of continuity states that for fluid flow to be continuous it must
Select one:
a. speed up in narrow regions of flow.
b. slow down in wide regions of flow.
c. both of these
d. neither of these

Answers

The principle of continuity states that for fluid flow to be continuous it must neither speed up nor slow down but maintain a steady flow rate.

This means that the mass flow rate at any point in the fluid must be the same as the mass flow rate at any other point in the fluid. What this means is that when fluid flows from one point to another, the mass of the fluid that moves past any given point in the fluid per unit time remains constant. The principle of continuity is related to the conservation of mass, which states that mass can neither be created nor destroyed, only converted from one form to another. Therefore, the principle of continuity must always hold true for any fluid flow that is steady and non-pulsatile.

The principle of continuity states that the total volume of the fluid entering the pipe is equal to the sum of the total volume of the fluid leaving the pipe and the volume of fluid held back inside the pipe. But if we consider an incompressible fluid, no fluid will be held back inside the pipe due to density changes.

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In 1998, Britain's Tesco PLC acquired a 75% stake in Thai's CP Group Lotus chain, one Thailand's biggest grocery chain. Fast forward to December 2020, and CP Group has not only bought back Lotus stores from Tesco Lotus but it has also acquired assets of Tesco PLC in Malaysia in a record-breaking deal worth for USD 10.6 billion. The acquisition gave CP Group control of all Tesco Malaysia's and Tesco Lotus Thailand's grocery stores, which has since been rebranded as Lotus. What strategy did CP Group used to enter Malaysia? Explain. Explain what CP Group gained and what challenges oif faced by using the strategy you have identified.
In March 2022, it was announced that Malaysia's inflation rate increased by 2.2 % from the year before, driven by the higher prices of food. Explain how this may affect Malaysia's Lotus grocery chain and its Thai parent company CP Group.

Answers

The CP Group used the acquisition strategy to enter Malaysia and acquired the assets of Tesco PLC in Malaysia in a deal worth USD 10.6 billion. With the acquisition, CP Group obtained control of all of Tesco Malaysia's and Tesco Lotus Thailand's grocery stores, which have since been rebranded as Lotus.


CP Group gained various assets such as a well-established supply chain, experienced workforce, and infrastructure in Malaysia. However, the CP Group also faced some challenges, such as adapting to a new culture, adjusting to local government policies and regulations, and coping with competition from other established retail chains. The CP Group used the acquisition strategy to enter Malaysia. The acquisition strategy is a type of external growth strategy that involves the acquisition of another company's shares, assets, or ownership rights. This strategy allows the acquirer to obtain the resources, capabilities, and infrastructure of the target company, without having to develop them from scratch. By acquiring Tesco's Malaysia's grocery stores, CP Group has gained a well-established supply chain, experienced workforce, and infrastructure in Malaysia. This acquisition helped CP Group to expand its operations in the Malaysian market without starting from scratch. The CP Group also faced some challenges, such as adapting to a new culture, adjusting to local government policies and regulations, and coping with competition from other established retail chains. The challenges include developing a deep understanding of the local culture, customs, and values of the Malaysian people. The CP Group must also abide by the local laws and regulations in Malaysia, which may be different from those in Thailand. Another challenge is competing with other established retail chains such as Mydin, AEON, and Giant. Malaysia's inflation rate increased by 2.2 % from the year before, driven by the higher prices of food. This may affect Malaysia's Lotus grocery chain and its Thai parent company CP Group. If the price of food continues to increase, it may result in a decrease in demand for goods sold by Lotus. Additionally, if food prices continue to rise, the cost of producing goods for Lotus may increase, which may result in lower profit margins. However, the CP Group can take measures to mitigate the impact of rising food prices, such as adjusting the prices of goods, sourcing products from alternative suppliers, and optimizing its supply chain to reduce costs.

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1.
since the late 1970s, trade as a percentage of world production has
risen to unprecedented heights. much of this rise in the value of
world trade reflects the *blank* of production
a) horizontal in

Answers

The rise in the value of world trade since the late 1970s primarily reflects the vertical specialization of production. This trend has transformed the global economy, leading to increased interdependence among nations and the integration of diverse economies into a complex network of trade relationships.

Since the late 1970s, trade as a percentage of world production has experienced a significant increase, reaching unprecedented heights. This rise in the value of world trade can largely be attributed to the globalization and liberalization of economies during this period. Globalization has led to the expansion of international supply chains, increased connectivity, and the emergence of multinational corporations operating across borders.

One key factor driving the increase in trade as a percentage of world production is the phenomenon of vertical specialization. This refers to the fragmentation of production processes across different countries, with each specializing in specific stages of the production chain. Firms have increasingly engaged in outsourcing and offshoring, seeking to benefit from cost advantages and access to specialized skills in different parts of the world.

Vertical specialization has enabled companies to optimize their production processes by locating each stage in the most efficient location, taking advantage of factors such as labor costs, access to raw materials, and technological expertise. This has resulted in a higher value of world trade as goods and services flow across borders multiple times during the production process.

In conclusion, the rise in the value of world trade since the late 1970s primarily reflects the vertical specialization of production. This trend has transformed the global economy, leading to increased interdependence among nations and the integration of diverse economies into a complex network of trade relationships.

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The estimated regression equation for a model involving two independent variables and 10 observations follows. \hat{y}=32.4484+0.7288 x_{1}+0.3497 x_{2} a. Interpret b_{1} and b_{2}

Answers

The coefficient b1 (0.7288) represents the expected change in y for a one-unit increase in x1, while b2 (0.3497) represents the expected change in y for a one-unit increase in x2.

a) The estimated regression equation given is:

[tex]\hat{y} = 32.4484 + 0.7288x_1 + 0.3497x_2[/tex]

In this equation, 0.7288 represents the estimated coefficient (b1) of the independent variable x1, and 0.3497 represents the estimated coefficient (b2) of the independent variable x2.

The coefficient b1 (0.7288) indicates the expected change in the dependent variable (y) for a one-unit increase in x1, while holding all other variables constant. Therefore, for each unit increase in x1, the estimated value of y is expected to increase by 0.7288.

Similarly, the coefficient b2 (0.3497) represents the expected change in y for a one-unit increase in x2, while keeping all other variables constant. Thus, for each unit increase in x2, the estimated value of y is expected to increase by 0.3497.

b) In summary, b1 (0.7288) and b2 (0.3497) indicate the impact of the corresponding independent variables x1 and x2 on the dependent variable y. They represent the estimated changes in y associated with a one-unit increase in x1 or x2, respectively, while holding other variables constant. These coefficients provide insight into the direction and magnitude of the relationship between the independent variables and the dependent variable in the regression model.

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Lightening Bulk Company is a moving company specializing in transporting large items worldwide. The firm has an 85% on-time delivery rate. Thirteen percent of the items are misplaced and the remaining 2% are lost in shipping. On average, the firm incurs an additional $67 per item to track down and deliver misplaced items. Lost items cost the firm about $340 per item. Last year, the firm shipped 6,720 items with an average freight bill of $224 per item shipped. The firm’s manager is considering investing in a new scheduling and tracking system costing $152,000 per year. The new system is expected to reduce misplaced items to 1% and lost items to 0.50%. Furthermore, the firm expects total sales to increase by 10% with the improved service. The average contribution margin ratio on any increased sales volume, after cost savings associated with a reduction in misplaced and lost items, is expected to be 37.5%. What is the estimated change in pretax cash flow under the proposed system? (Negative amounts should be indicated by a minus sign. Round your answers to the nearest whole dollar amount.)

Answers

Lightening Bulk Company, which specializes in transporting large items worldwide, has an 85% on-time delivery rate. Thirteen percent of the items are misplaced, and the remaining 2% are lost in shipping.

The cost of misplaced items is $67 per item, and the cost of lost items is $340 per item. The firm shipped 6,720 items with an average freight bill of $224 per item shipped last year.The manager of the company is thinking of buying a new scheduling and tracking system that costs $152,000 per year.

The new system is anticipated to reduce misplaced items to 1% and lost items to 0.50%. The company also expects overall sales to rise by 10% as a result of the improved service. The average contribution margin ratio on any increased sales volume after cost savings associated with a reduction in misplaced and lost items is expected to be 37.5%.

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which term explains a cellular extension containing a fatty substance produced by glia that surrounds and insulates axons? select the correct answer below: neurolemma myelin ganglion neurofibril A receiver receives 6x10-11 W signal power, has a noise figure of 4. 96, and operates in a 290K external noise environment. Under these conditions, the signal-to-noise ratio at the receiver output is 10. The bandwidth of the receiver is approximately ___. 251. 6 MHz302. 3 MHz290. 8 MHznone of these270. 2 MHz Apply the theory (libertarianism) to a current issue.How would a person who believes that "justice" means freedomfrom coercion from others see the situation? As an example, take acompany considerin Based on what they tell Danforth answer the following questions about reverend Hal why does Hal return to Salem which prisoner is he u(x, y) = 2x+y. 1) Find the mathematical expression that describes the consumers Engel curve for exes, and represent it graphically.2) Find the mathematical expression that describes the consumers income-offer curve, and represent it graphically.3) Find the mathematical expression that describes the consumers demand curve for exes, and represent it graphically.4) Suppose the government levies a per-unit tax (t) on exes so that their new unit price is px = px + t. Show that the change in the consumers demand for exes is entirely due to the substitution effect. You are allowed to ignore corner solutions in this part of the exercise. a sketch to draw a bucket hammer screwdriver and plier in a technical drawing manner This week, you will build upon the PowerPoint project you beganin Week 2. Your focus in this Application is on identifying thestakeholders in the design-build (D-B) andbuild-operate-transfer (B-O-T 1. Why would the central bank be interested in increasing inflation expectations whenthe economy is at the ZLB?2. Imagine the economy is at the ZLB, would a decrease in costs help the economy?3. We discussed that in normal times higher G will create crowding-out. Explain theconcept.4. Would higher G cause crowding-out when the economy is at the ZLB? What type of electrical signal is an all-or-none response?a. action potentialb. local potential The following information is for Crane Ltd. in July: 1. Cash balance per bank, July 31, $10,690 2. Cash balance per books, July 31, $9,044 3. Bank service charge, $40 4. Deposits in transit, $2,009 5. Blectronic receipts from customers in payment of their accounts, $1,096, not previously recorded by the company 6. Outstanding cheques, $2,419 7 Cheque #373 was correctly written in the amount of $790 but was incorrectly recorded by the company's bookkeeper as s970. The cheque was written for the purchase of office supplies. If the printed program at a concert indicated that the first movement of a symphony was titled Allegro and the second Andante, you would expect:a)The first movement to be fast, the second slowerb)pulsec)Ritardandod)Is very weak throughout a) Calculate the total depreciation expenses allowed in 2021. b) Calculate the taxes your company owes for 2021 and your net income for 2021 (assume 21% tax rate). involves the collection of independent expert opinions on country risk without group discussion by assessors who provide these opinions: O A. Regression analysis O B. Delphi technique O C.. Checklist approach O How to solve "git push updates were rejected because the tip of your current branch is behind"? The cross partials of the functionz=f(x,y)=(xy)2-ln(xy)arefyx=2xy-1/x2fxy-4xyfyx0fxy4xyfxy=2xy-1/y2 suppose you are a customer who wants to have a computer repaired. list five main charateristics that you would want to see in your computer repair person. trenton wants to buy a house but can provide only a 10% down payment. he probably will be required to have group of answer choices escrow account. lock. points. amortization. pmi. (ii) Atoms can form negative ions. threadlike structures of the endocardium that prevent prolapse of the atrioventricular valves.

FactsFrom The Time Of Its Incorporation In 2001, Hassle Pty Ltd Ran A Business Of Importing And Selling (2024)

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