If George discovers that a food brand has distributed contaminated peanut butter to several stores and after consuming this product, several people in his neighbourhood have become sick, he should file a complaint with the Food and Drug Administration (FDA). The correct option is C.
George discovers that a food brand has distributed contaminated peanut butter to several stores, and after consuming this product, several people in his neighbourhood have become sick. Filing a complaint is the right step to take in this situation, as it can prevent others from becoming sick.
The appropriate agency to file a complaint with in this case is the Food and Drug Administration (FDA). The FDA is responsible for regulating food safety and protecting public health by ensuring the safety, efficacy, and security of food products.
By filing a complaint with the FDA, George can help them identify potential problems with peanut butter and prevent further contamination. The FDA can investigate the food brand and take appropriate measures to ensure the safety of the public.
George can file a complaint through the FDA's online reporting portal or by contacting their consumer complaint coordinator.
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The office manager of a large New York City-based accounting firm needs to replace the aging and out-of-style office furniture in their New York offices. The firm has decided to purchase desk/chair/credenza furniture sets for all 2,000 offices in New York. The company has received bids from four different furniture companies who are willing to supply the furniture sets, as follows:
Carolina Woodworks has bid to deliver up to 1,000 furniture sets at a cost of $2,500 per set and with a one-time charge of $10,000.
Nashawtuc Millworks has bid to deliver up to 1,200 furniture sets at a cost of $2,450 per set and with a one-time charge of $20,000
Adirondack Furnishing Designs has bid to deliver up to 800 furniture sets at a cost of $2,510 per set with no additional charges.
Lancaster Artisan Company has bid to deliver up to 1,100 furniture sets at a cost of S2,470 per set and with a one-time charge of S13,000.
Formulate a mixed integer optimization model that could be used to determine how many furniture sets to purchase from each of the four potential suppliers in order to minimize cost
The model above ensures that the total number of furniture sets purchased is 2,000 or less, and that each supplier is only selected if the number of furniture sets requested is within their capacity. The binary variables ensure that only one supplier is selected for each order.
Let:
X1 = Number of furniture sets to purchase from Carolina Woodworks
X2 = Number of furniture sets to purchase from Nashawtuc Millworks
X3 = Number of furniture sets to purchase from Adirondack Furnishing Designs
X4 = Number of furniture sets to purchase from Lancaster Artisan Company
The objective is to minimize the total cost, which is a function of the number of furniture sets purchased from each supplier.
Minimize:
2,500X1 + 2,450X2 + 2,510X3 + 2,470X4 + 10,000(I1) + 20,000(I2) + 13,000(I4)
Subject to:
X1 + X2 + X3 + X4 = 2,000 (total number of furniture sets needed)
X1 <= 1,000(I1) (Carolina Woodworks can only deliver up to 1,000 furniture sets)
X2 <= 1,200(I2) (Nashawtuc Millworks can only deliver up to 1,200 furniture sets)
X3 <= 800 (Adirondack Furnishing Designs can deliver up to 800 furniture sets)
X4 <= 1,100(I4) (Lancaster Artisan Company can only deliver up to 1,100 furniture sets)
Where I1, I2, and I4 are binary variables that take on a value of 1 if the corresponding supplier is selected and 0 otherwise.
All variables are non-negative integers.
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A company is planning to install a new automated plastic- molding press. Two different presses are available. The initial capital investments and annual expenses for these two mutually exclusive alternatives are as follows: Press 1 Press 2 Capital Investment $49,600 $52,000 Annual expenses: $25,192 $22,880 Reject Rate 2. 6% 5. 6% Assume that each press has the same output capacity (120,000 units per year) and has no market value at the end of its useful life; the selected analysis period is five years, and any additional capital invested is expected to earn at least 10% per year. 1. If all non-defective units can be sold for $0. 375 per unit, which press should be recommended? 2. What can you tell me about the incremental IRR of the extra $2. 400 investment needed for Press 22 You can skip this part
Press 2 should be recommended as it has a higher NPV. The incremental IRR of the extra $2,400 investment needed for Press 2 is 17.4%, which is higher than the required rate of return of 10%, making it a good investment decision.
To determine which press should be recommended, we need to calculate the net present value (NPV) of each alternative. The formula for calculating NPV is:
NPV = -Initial Investment + PV of Cash Flows
where PV is the present value of cash flows, discounted at the required rate of return. The cash flows in this case are the revenues from the sale of non-defective units and the annual expenses.
For Press 1, the NPV can be calculated as follows:
NPV1 = -$49,600 + PV of Cash Flows1
[tex]PV_{Cash Flows1} = \Big[120,000 \text{ units/year} \times (1 - 0.026) \times $0.375/\text{unit} - $25,192 \Big] \times \Bigg[\frac{1 - \frac{1}{(1 + 0.1)^5}}{0.1}\Bigg]$[/tex]
PV of Cash Flows1 = $76,689
NPV1 = -$49,600 + $76,689
NPV1 = $27,089
For Press 2, the NPV can be calculated as follows:
NPV2 = -$52,000 + PV of Cash Flows2
[tex]PV_{Cash Flows2} = \Big[120,000 \text{ units/year} \times (1 - 0.056) \times $0.375/\text{unit} - $22,880 \Big] \times \Bigg[\frac{1 - \frac{1}{(1 + 0.1)^5}}{0.1}\Bigg]$[/tex]
PV of Cash Flows2 = $81,771
NPV2 = -$52,000 + $81,771
NPV2 = $29,771
Therefore, Press 2 should be recommended since it has a higher NPV.
The incremental internal rate of return (IRR) of the extra $2,400 investment needed for Press 2 can be calculated as follows:
NPV2' = -$54,400 + PV of Cash Flows2'
[tex]PV_{Cash Flows2'} = \Big[120,000 \text{ units/year} \times (1 - 0.056) \times $0.375/\text{unit} - $22,880 - $2,400 \Big] \times \Bigg[\frac{1 - \frac{1}{(1 + IRR)^5}}{IRR}\Bigg]$[/tex]
PV of Cash Flows2' = $82,536
NPV2' = -$54,400 + $82,536
NPV2' = $28,136
To calculate the IRR of the extra $2,400 investment, we need to solve for IRR in the following equation:
[tex]0 = -$2,400 + \Big[120,000 \text{ units/year} \times (1 - 0.056) \times $0.375/\text{unit} - $22,880 - $2,400 \Big] \times \Bigg[\frac{1 - \frac{1}{(1 + IRR)^5}}{IRR}\Bigg]$[/tex]
Solving for IRR gives us an incremental IRR of 17.4%. This means that the extra $2,400 investment for Press 2 has an expected return of 17.4%, which is higher than the required rate of return of 10%. Therefore, it would be a good investment decision to make the additional investment for Press 2.
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red bird manufacturing would like to avoid issuing new stock because new stock has a higher cost than retained earnings, but the company forecasts that if all of its existing financial policies are followed, its proposed capital budget would be so large that it would have to issue new common stock. which of the following actions would reduce its need to issue new common stock? a.reduce the percentage of debt in the target capital structure. b.increase the dividend payout ratio for the upcoming year. c.increase the percentage of debt in the target capital structure. d.increase the proposed capital budget. e.reduce the amount of short-term bank debt in order to increase the current ratio.
Reducing the percentage of debt in the target capital structure, would help reduce the need for Red Bird Manufacturing to issue new common stock. So, correct Option is A.
This is because issuing new common stock is typically more expensive than issuing debt or retaining earnings. By reducing the percentage of debt in the capital structure, Red Bird Manufacturing would have more flexibility to finance its capital budget with retained earnings or debt rather than issuing new stock.
Option B, increasing the dividend payout ratio, would have no impact on the need to issue new common stock. Dividends are paid from earnings and do not impact the company's financing decisions.
Option C, increasing the percentage of debt in the target capital structure, may increase the risk of financial distress and increase the company's cost of debt. It would also not necessarily reduce the need to issue new common stock.
Option D, increasing the proposed capital budget, would increase the need for financing and likely increase the need to issue new common stock.
Option E, reducing short-term bank debt to increase the current ratio, would not necessarily reduce the need to issue new common stock. The current ratio is a measure of liquidity, and reducing short-term bank debt may not impact the company's financing decisions.
So, correct Option is A.
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how does the monopoly determine the level of output that maximizes profit? group of answer choices by determining where marginal revenue is equal to marginal cost. by multiplying price by marginal cost. by determining where total revenue equals marginal cost. a monopoly does not need to calculate where maximum profit occurs because they have no competition and can set any price they want for their product.
By identifying the point when marginal income and marginal cost are equal, the monopoly may establish the output level that maximises profit.
What criteria does the monopoly use to calculate the output level that maximises profit?Profit maximisation is one trait shared by monopolists. In a monopolistic market, when there is no competition, a monopolist can regulate both the price and the quantity requested. A monopoly's profit maximisation level is determined by equating its marginal cost and marginal revenue.
How do marginal revenue and marginal cost decide on the output level that maximises profits?A manager increases revenue when the value of the last unit of product (marginal revenue) equals the cost of producing the last unit of production (marginal cost). Maximum profit is the level of output where MC equals MR.
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Several years ago, the nation of Equalia had a government-owned telecommunication system that lagged far behind other nations. In several rural areas, there was only a single landline phone for an entire village. The taxes collected for the purpose of maintaining the telephone system were very meager, so the notion of expanding service was almost impossible. The government of Equalia decided to sell the phone company to a private firm. The private firm expanded rapidly. It reported that even poor consumers were willing to pay for a private landline. This government decision and subsequent sale demonstrates move toward
This government decision and subsequent sale demonstrates move toward privatization.
Privatization refers to the transfer of ownership, control, and/or management of public assets and services to the private sector. This is typically done in order to improve efficiency, reduce costs, and increase innovation and competition. In the case of Equalia, the government's decision to sell the phone company to a private firm allowed for a rapid expansion of services and increased access to telephone communication for the rural population.
The private firm was able to invest in the infrastructure and technology necessary to provide more reliable and affordable service, while also generating profits from its operations. This example highlights the potential benefits of privatization, which include greater efficiency, innovation, and investment in infrastructure and technology.
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The Toyota Production System (TPS) is an integrated socio-technical system, developed by Toyota, which comprises its management philosophy and practices. The TPS organizes manufacturing and logistics for the automobile manufacturer, including interaction with suppliers and customers. The system is a major precursor of the more generic "Lean Manufacturing". Originally called "just-in-time production", it builds on the approach created by the founder of Toyota.
Using this concept of Lean Thinking and JIT you should answer the following questions by taking any Saudi Manufacturing company.
Discuss major types of Waste, companies must keep in mind during production
Lean manufacturing refers to a collection of principles, methods, and tools that help organizations eliminate waste and increase efficiency. These principles apply to all businesses, regardless of their size or industry. The following are the seven types of waste that Saudi Manufacturing companies must keep in mind during production:
Overproduction: This is a type of waste that occurs when a company produces more than it needs or produces too soon before demand arises. This can lead to a buildup of inventory and cash flow issues.Waiting: This occurs when workers or machines are idle for any length of time, resulting in a loss of efficiency.Transportation: This type of waste is linked to unnecessary movement of goods or products. This can occur when products are moved from one location to another without adding value to them.Processing: This type of waste occurs when a company uses more resources than necessary to produce a product. This can occur when a product is manufactured with features that customers do not need, resulting in increased costs and reduced efficiency.Inventory: This type of waste is linked to excess inventory. This can be costly and inefficient, leading to reduced cash flow.Motion: This refers to any unnecessary movement of people or equipment. This can lead to unnecessary work, wasted energy, and reduced efficiency.Defects: This type of waste occurs when a company produces products that are defective or not up to standard. This can result in lost productivity, wasted materials, and reduced customer satisfaction.Saudi Manufacturing companies must keep in mind these types of waste during production. They should aim to eliminate or minimize them to increase efficiency and productivity.
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Garcia Co. Sells snowboards. Each snowboard requires direct materials of $112, direct labor of $42, and variable overhead of $57. The company expects fixed overhead costs of $659,000 and fixed selling and administrative costs of $125,000 for the next year. It expects to produce and sell 11,200 snowboards in the next year. What will be the selling price per unit if Garcia uses a markup of 10% of total cost
Garcia Co. should sell each snowboard for $308.02 to achieve a 10% markup on the total cost per unit.
To calculate the selling price per unit, we need to determine the total cost per unit and then apply the markup of 10%.
First, let's calculate the total cost per unit:
Direct materials per unit = $112
Direct labor per unit = $42
Variable overhead per unit = $57
Fixed overhead per unit = ($659,000 ÷ 11,200 units) = $58.77
Fixed selling and administrative costs per unit = ($125,000 ÷ 11,200 units) = $11.16
Total cost per unit = Direct materials + Direct labor + Variable overhead + Fixed overhead + Fixed selling and administrative costs
Total cost per unit = $112 + $42 + $57 + $58.77 + $11.16
Total cost per unit = $280.93
Now, we can apply the markup of 10% to the total cost per unit to get the selling price per unit:
Markup price per unit = Total cost per unit x Markup percentage
Markup price per unit = $280.93 x 1.1
Markup price per unit = $308.02
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The bottleneck time of the system is ___minutes per unit (enter your response as a whole number).
10 minutes per unit is the required bottleneck time of the system.
The bottleneck time refers to the amount of time taken by the slowest process in a production line to complete its task, thereby limiting the output of the entire system. A bottleneck is defined as any part of the manufacturing process that has a lower capacity than the others.
As a result, the pace of a bottleneck limits the speed of the whole process, reducing the amount of production possible. In order to improve efficiency, bottlenecks should be identified and dealt with as quickly as possible to reduce lead times and increase productivity.
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Approximately ____ percent of professionals working on virtual teams have never met their teammates in person, Mutiple Choice a 25 b 40 c 75 d 90
Approximately 40 percent of professionals working on virtual teams have never met their teammates in person. The answer to this question is option d.
Virtual teams are groups of people who collaborate remotely to achieve a common goal. They use communication technologies to interact and share information as if they were in the same location. Virtual teams are becoming more common in today's interconnected world, thanks to advances in communication technologies, globalisation, and outsourcing. They bring together individuals from diverse locations, cultures, and backgrounds.
However, because members work remotely and communicate through digital media, they may feel isolated and disconnected from one another. Members of virtual teams must establish and maintain connections to ensure that they remain cohesive and effective.
The answer is option d.
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publicity gained through advertising, such as buying a 30-second super bowl commercial or sponsoring a college bowl game, is referred to as
Publicity gained through advertising, such as buying a 30-second super bowl commercial or sponsoring a college bowl game, is referred to as Paid Media.
External marketing initiatives including a sponsored placement are referred to as paid media. Branded content, display adverts, and PPC advertising are examples of paid media. For internet firms, paid advertising is a crucial part of revenue development and brand visibility.
Paid media is still useful and may support the growth of an internet business by combining with earned and owned media. Paid media can help open doors that might otherwise remain closed, even if only slightly. Paid advertising may guarantee that your content, whether it's a sale promotion, a charity or cause update, or an educational film meant to position you as a thought leader, is seen, circulated, and seen by the correct influencers.
Option A is the correct answer.
The complete question is, " Publicity gained through advertising, such as buying a 30-second super bowl commercial or sponsoring a college bowl game, is referred to as
A. Paid Media
B. Social Media
C. Owned Media
D. Earned Media."
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Land, labor, technology, and capital are all _____ of production. multiple choice question. modes monetary aspects means generators
Land, labor, technology, and capital are all modes of production.
Correct option is A.
Production is the process of creating goods and services to be used by consumers and businesses. Land refers to the physical resources used in production, including natural resources, such as land and water, as well as man-made resources, such as buildings and infrastructure. Labor refers to the human effort used to produce goods and services, such as physical labor and mental labor.
Technology refers to the machines, equipment, and tools used to produce goods and services. Finally, capital is the money used to purchase land, labor, and technology, as well as finance production. All of these modes of production are required for businesses to create goods and services that can be used by consumers and businesses.
Correct option is A.
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complete question is :
Land, labor, technology, and capital are all _____ of production. multiple choice question.
a. modes
b. monetary
c. aspects means
d. generators
I. You are valuing an investment that will pay you $26,000 per year for the first 9 years, $34,000 per year for the next 11 years, and $47,000 per year the following 14 years (all payments are at the end of each year). Another similar risk investment alternative is an account with a quoted annual interest rate of 9. 00% with monthly compounding of interest. What is the value in today's dollars of the set of cash flows you have been offered
To calculate the present value of the investment, we need to discount each cash flow to its present value and then add them up. the value in today's dollars of the set of cash flows you have been offered is $1,047,917.98.
First, let's calculate the present value of the first 9 years of cash flows of $26,000 per year. We can use the formula for the present value of an annuity:
PV = C x [tex]((1 - (1 + r)^{-n} ) / r)[/tex]
where PV is the present value, C is the cash flow per period, r is the interest rate per period, and n is the number of periods.
In this case, C = $26,000, r = 0.09/12 = 0.0075 (monthly rate), and n = 9 x 12 = 108 (number of months). Plugging these values into the formula, we get:
PV1 = $26,000 x ((1 - [tex](1 + 0.0075)^{-108} )[/tex] / 0.0075) = $217,904.05
Next, let's calculate the present value of the next 11 years of cash flows of $34,000 per year. We can use the same formula, but with n = 11 x 12 = 132 (number of months) and C = $34,000. Plugging in the values, we get:
PV2 = $34,000 x ((1 - [tex](1 + 0.0075)^{-132} )[/tex] / 0.0075) = $332,401.78
Finally, let's calculate the present value of the last 14 years of cash flows of $47,000 per year. Again, we can use the same formula, but with n = 14 x 12 = 168 (number of months) and C = $47,000. Plugging in the values, we get:
PV3 = $47,000 x ((1 - [tex](1 + 0.0075)^{-168} )[/tex] / 0.0075) = $496,611.15
The total present value of the cash flows is the sum of the present values of each cash flow:
PV = PV1 + PV2 + PV3 = $1,047,917.98
Therefore, the value in today's dollars of the set of cash flows you have been offered is $1,047,917.98.
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Forms of Business Ownership Math Quiz
QUESTION 2 of 10: A company has 450,000 shares of stock outstanding. You own 25,000 of those shares. What is your percentage
ownership of the company? (Round to the nearest percent. )
a) 5%
b) 6%
c) 7%
0 d) 8%
Submit
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percentage owneship of the company is: b) 6% if A company has 450,000 shares of stock outstanding. You own 25,000 of those shares.
To calculate your percentage ownership of the company, you need to divide the number of shares you own by the total number of shares outstanding, and then multiply by 100 to get a percentage:
25,000 / 450,000) x 100 = 5.56%
Rounded to the nearest percent, your percentage ownership of the company is 6%.
There are several different forms of business ownership, each with its own advantages and disadvantages. Here are some of the most common forms:
1. Sole proprietorship - a business owned and operated by a single individual. This is the simplest form of business ownership and offers the owner complete control over the business, but also exposes them to unlimited liability for the business's debts and obligations.
2. Partnership - a business owned by two or more individuals who share in the profits and losses of the business. There are several types of partnerships, including general partnerships, limited partnerships, and limited liability partnerships. Partnerships offer shared control and liability, but can also be subject to conflicts between partners.
3. Corporation - a business that is a separate legal entity from its owners, with the ability to issue stock and raise capital from investors. Corporations offer limited liability protection to their owners, but are subject to more regulations and taxes than other forms of business ownership.
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Scenario (fictional): Silvan Container Works is a mid-sized organization that is also global. They sell most of their containers internationally although they are based in the U.S. The company’s containers are made with natural raw materials such as clay, stone, and natural woven fibers to create containers that are safe for a multitude of personal and industrial uses. They have a customer service department call center that is located in Germany where the customer service representatives (CSRs) are quadrilingual. The CSRs’ first language is German because management required they be native born German citizens with at least 15 years customer service experience when they were hired. The CSRs are a close knit group, and share stories with each other regarding their customers between their shifts and during their scheduled breaks in the employee break room. Their biggest complaint has been their lack of control over affecting results or problem resolution for their customers on the job.
Lately there have been excessive complaints logged into the Customer Relationship Management (CRM) System to which all the managers have access. There are customer complaints that the CSRs misunderstand the customer’s concerns and that they demonstrate a lack of empathy.
Discuss the potential problems and opportunities based on the limited information in the scenario
The potential problems including limited problem-solving authority, communication barriers, cultural differences and opportunities based on the limited information in the scenario including employee empowerment and cultural sensitivity training.
In the scenario presented, Silvan Container Works is a mid-sized, global organization that manufactures eco-friendly containers using natural raw materials. They have a customer service call center located in Germany, staffed with quadrilingual, native-born German CSRs. The CSRs share their experiences and frustrations with each other, particularly regarding their lack of control over customer problem resolution.
Potential problems:
1. Limited problem-solving authority: The CSRs' inability to affect results or resolve issues for customers could lead to customer dissatisfaction and a negative impact on the company's reputation.
2. Communication barriers: Despite the CSRs being quadrilingual, there may still be potential language barriers with customers from other countries or who speak different dialects.
3. Cultural differences: The requirement for native-born German citizens with extensive customer service experience may limit diversity within the customer service team, which could hinder understanding and empathizing with customers from diverse backgrounds.
4. Potential for employee burnout: Sharing customer complaints and frustrations among the close-knit group of CSRs could lead to an increase in stress and potential burnout, affecting employee morale and performance.
Opportunities:
1. Employee empowerment: By providing the CSRs with more authority to resolve customer issues, the company could potentially increase customer satisfaction and foster a sense of ownership and pride within the customer service team.
2. Cultural sensitivity training: Offering training in cultural sensitivity and effective communication could help the CSRs better understand and assist customers from various backgrounds.
3. Diversification of staff: Expanding the hiring requirements to include candidates with diverse backgrounds and experiences could lead to a more well-rounded customer service team and improve the company's ability to connect with a wider range of customers.
4. Support and stress management: Encouraging open communication and providing resources for stress management could help alleviate potential burnout among CSRs, leading to improved employee morale and performance.
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barry cuda is considering three different investments. he, like most investors, is concerned about minimizing risk. using the following information, which investment appears to have the least amount of risk relative to its expected return? investment a: expected return was calculated to be 18% with a standard deviation of 7%. investment b: expected return was calculated to be $15,000 with a standard deviation of $6000. investment c: expected return was calculated to be 20% with a standard deviation of 9%.
If minimizing risk is Barry Cuda's primary concern, investment A would be the best option for him.
To determine which investment has the least amount of risk relative to its expected return, we need to compare the coefficients of variation (CV) of each investment. The CV is calculated by dividing the standard deviation by the expected return, expressed as a percentage.
For investment A, the CV is 7%/18% = 0.39.
For investment B, the CV is $6,000/$15,000 = 0.40.
For investment C, the CV is 9%/20% = 0.45.
Based on these calculations, investment A has the lowest coefficient of variation, and therefore appears to have the least amount of risk relative to its expected return.
This means that investment A has a more stable return compared to its expected return, which is an important consideration for risk-averse investors like Barry Cuda.
Investment B has a similar level of risk to investment A, but with a lower expected return. Investment C has the highest expected return, but also the highest level of risk, making it the riskiest investment of the three.
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Do you agree or disagree that the importance of warehousing and storage in health care delivery has been overrated by supply chain experts? solve
In general, the importance of warehousing and storage in healthcare delivery is critical. Efficient and effective management of healthcare supplies and equipment is essential for ensuring that healthcare facilities have the necessary items to provide quality patient care. This is particularly important in the context of emergency medical situations, where quick access to necessary supplies and equipment can mean the difference between life and death.
Additionally, warehousing and storage play a significant role in supply chain management within the healthcare industry. Proper inventory management and storage practices can help healthcare organizations reduce costs and minimize waste while ensuring that essential supplies and equipment are available when needed.
Supply chain experts generally recognize the importance of warehousing and storage in healthcare delivery and have developed best practices to optimize these processes. Therefore, it is unlikely that the importance of warehousing and storage in healthcare delivery has been overrated by supply chain experts.
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At the end of 2020, the records of Wolverine Corporation reflected the following.
Common stock, $10 par; authorized 100,000 shares: issued and outstanding throughout the year,
50,000 shares $500,000
Preferred stock, $50 par, 7%, cumulative, convertible into common stock, share for share;
authorized, 10,000 shares; issued and outstanding throughout year, 2,000 shares 100,000
Contributed capital in excess of par, common stock 80,000
Retained earnings (no dividends declared during the year) 470,000
Bonds payable, 10% nonconvertible, issued at par in 2016 150,000
Net income 120,000
Stock options outstanding (all year for 10,000 shares of common stock at $15 per share)
Income tax rate, 25%
Average market price of the common stock during 2020, $25 per share
Required
a. Is this a simple or a complex capital structure?
b. Compute the basic and Diluted EPS amounts
a. This is a complex capital structure
b. Basic EPS = (Net income - Preferred dividends) / Weighted average number of common shares outstanding.
Diluted EPS = $2.26
Diluted EPS = ($120,000 - $7,000) / 50,000 = $2.26 per share
Net income = $120,000
Preferred dividends = 2,000 shares x $50 par x 7% = $7,000
Weighted average number of common shares outstanding = 50,000 shares
Diluted EPS = (Net income - Preferred dividends) / (Weighted average number of common shares outstanding + potential common shares from options).
To calculate potential common shares from options, we use the treasury stock method:
Potential common shares from options = (Options exercisable at $15 - average market price) / $15
Potential common shares from options = (10,000 - $25) / $15 = -667 (rounded up).
Since the potential common shares from options are negative, we do not need to include them in the diluted EPS calculation.
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a company reported the following information for its most recent year of operation: purchases, $113,000; beginning inventory, $26,500; and cost of goods sold, $123,000. how much was the company's ending inventory?
The company's ending inventory is $16,500.
Inventory is a current asset on a company's balance sheet that represents the raw materials, parts, and finished products that a company has on hand.
The company's ending inventory can be found by reviewing the balance sheet. The balance sheet will show the closing inventory balance for the current period. This can be found in the current assets section under inventory.
From the question;
Purchases = $113,000
Beginning Inventory = $26,500
Cost of goods sold = $123,000
Cost of goods sold = Beginning inventory + Purchases - Ending inventory
Substitute the value:
123000 = 26500 + 113000 - Ending inventory
123000 = 139,500 - Ending inventory
Subtract 139,500 on both side, we get
-Ending inventory = - 16,500
We can write it as
Ending inventory = 16,500
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Cebreaker Company (a U. S. -based company) purchases materials from a foreign supplier on December 1, 2020, with payment of 16,000 dinars to be made on March 1, 2021. The materials are consumed immediately and recognized as cost of goods sold at the date of purchase. On December 1, 2020, Icebreaker enters into a forward contract to purchase 16,000 dinars on March 1, 2021. Relevant exchange rates for the dinar on various dates are as follows: Date Spot Rate Forward Rate (to March 1, 2021) December 1, 2020 $ 3. 40 $ 3. 475 December 31, 2020 3. 50 3. 600 March 1, 2021 3. 65 N/A a-1. Assuming that Icebreaker designates the forward contract as a cash flow hedge of a foreign currency payable, prepare journal entries for the import purchase and foreign currency forward contract in U. S. Dollars. A-2. What is the impact on 2020 net income
A-1. Journal entries for the import purchase and foreign currency forward contract are as follows in December 1, 2020, Credit Accounts Payable for $54,400, Credit Cash for $55,600 and in March 1, 2021 Credit Cash for $55,600. There is no impact on 2020 net income as the forward contract is designated as a cash flow hedge of a foreign currency payable.
December 1, 2020
Inventory (cost of goods sold) 54,400 dinars ($16,000 * 3.40)
Accounts payable (foreign payable) 54,400 dinars
December 31, 2020 (recording the change in fair value of the forward contract):
Forward contract asset $750 (16,000 dinars * [$3.60 - $3.475]/dinars)
Other comprehensive income 750
March 1, 2021
Accounts payable (foreign payable) 55,600 dinars ($16,000 * 3.50)
Forward contract asset $1,400 (16,000 dinars * [$3.65 - $3.475]/dinars)
Cash $55,600
The change in fair value of the forward contract, $750, is recorded in other comprehensive income and does not impact 2020 net income. The cost of goods sold related to the foreign purchase is expensed at the date of purchase and recognized in 2020 net income.
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Michael and jacob work for competing companies in the tech industry. While out socializing one night, michael tells jacob about a new product that his company is very close to releasing. This is an example of which type of security loss?.
The scenario described here is an example of an intellectual property (IP) security loss. Intellectual property refers to creations of the mind, such as inventions, designs, and artistic works, that can be protected by law.
In the tech industry, IP is often the most valuable asset that a company has, and companies invest significant resources in developing and protecting their IP. By sharing confidential information about a new product that his company is close to releasing, Michael has potentially compromised his company's IP and given Jacob's company an unfair advantage. This type of security loss is particularly concerning in the tech industry, where innovation and new products can make or break a company's success.
The unauthorized disclosure of confidential information can lead to financial losses, reputational damage, and legal consequences. It can also undermine trust and collaboration between companies in the industry, which can have broader implications for the industry as a whole. Therefore, it is crucial for employees to understand the importance of protecting their company's IP and to follow strict policies and procedures to prevent any unauthorized disclosure.
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Nimrat,naina and kabir are partners sharing profits in the ratio of 2:2:1. nimrat is guaranteed minimum profit of
Nimrat, Naina, and Kabir are partners in a business venture where they share profits in the ratio of 2:2:1. This means that Nimrat and Naina each receive two parts of the profits while Kabir receives only one part. However, there is a guarantee that Nimrat will receive a minimum profit amount, regardless of how well the business performs.
The concept of a guaranteed minimum profit is common in partnership agreements and is usually put in place to protect a partner who has made significant contributions to the business or has taken on a greater level of risk than the other partners. In Nimrat's case, it may be that she invested more money into the business or is responsible for a key aspect of its operations.
The specific amount of the guaranteed minimum profit is not stated in the question, but it is likely a fixed amount that is agreed upon by all partners at the start of the partnership. This means that even if the business does not make enough profits to cover this amount, Nimrat will still receive it.
It is important to note that the guaranteed minimum profit does not come out of the profits that are shared among the partners. Instead, it is a separate expense that is paid out to Nimrat before the profits are divided among the partners according to their agreed-upon ratios.
Overall, the guaranteed minimum profit is a way to ensure that each partner is treated fairly and that the risks and rewards of the partnership are shared equitably.
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Demand-side inflation occurs when Increases in aggregate demand are not matched by increases in aggregate supply. Increases in aggregate supply outstrip increases in aggregate demand. Aggregate demand falls more rapidly than aggregate supply. Long-run aggregate demand rises faster than short-run aggregate supply.
Demand-side inflation is a situation where there is an excess demand for goods and services in the economy, leading to an increase in prices.
This happens when there is a significant increase in aggregate demand, which is the total demand for goods and services in an economy. When this increase in demand is not met by a corresponding increase in aggregate supply, which is the total production of goods and services in an economy, prices rise.
This is because there are not enough goods and services to meet the demand, and suppliers can increase prices to take advantage of the situation. If increases in aggregate supply outstrip increases in aggregate demand, there will be no inflationary pressures. However, if aggregate demand falls more rapidly than aggregate supply, there will be deflationary pressures in the economy.
In the long run, aggregate demand is expected to rise faster than short-run aggregate supply, which could lead to sustained inflationary pressures.
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consider a bond with a coupon rate of 8 percent that pays semiannual interest and matures in eight years. the market rate of return on bonds of this risk is currently 11 percent. what is the current value of a $1,000 face value bond? group of answer choices $929.17 $843.07 $830.58 $854.08 $893.30
The current value of a $1,000 face value bond is 843.08. So the option B is correct.
A face value bond is a bond with a par value that is equal to the amount of money the issuer agrees to pay the bondholder at maturity, also known as its par value.
Semi annual Coupons = 8% × 1000 × 2
Semi annual Coupons = 8/100 × 1000 × 2
Semi annual Coupons = 0.08 × 1000 × 2
Semi annual Coupons = 40
I + 11%/2 = 5.5% ,
N = 8 × 2
N = 16
Present value of bond = Coupon × PVIFA (N , I) + Face Value × PVIF (N , I)
Present value of bond = 40 × PVIFA (16 , 5.5%) + 1000 × PVIF ( 16 , 5.5%)
Present value of bond = 40 × 10.4622 + 1000 × 0.4246
Present value of bond = 843.08
So the option B is correct.
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Aces inc. , a manufacturer of tennis rackets, began operations this year. The company produced 5,600 rackets and sold 4,500. Each racket was sold at a price of $86. Fixed overhead costs are $70,560, and fixed selling and administrative costs are $64,800. The company also reports the following per unit costs for the year:
variable production costs $ 24. 60
variable selling and administrative expenses $ 1. 60
required:
prepare an income statement under variable costing.
aces inc variable costing income statement sales $ 387,000 less: variable costs variable production costs variable selling and administrative expenses variable overhead costs $110,700 7,200 117,900 contribution margin fixed overhead costs $70,560 64,800 fixed selling and administrative costs total fixed expense net income (loss) 135,360
Based on the given information, we can prepare an income statement under variable costing for Aces Inc. for the current year. Variable costing is a method of costing that includes only the variable costs associated with production and sales, and does not include fixed costs.
The first item on the income statement is the sales revenue, which is calculated by multiplying the number of rackets sold (4,500) by the selling price per unit ($86). Therefore, the total sales revenue for Aces Inc. for the current year is $387,000.
The next item on the income statement is the deduction of variable costs, which include variable production costs and variable selling and administrative expenses. The total variable production costs can be calculated by multiplying the number of rackets produced (5,600) by the per unit variable production cost ($24.60), which equals $138,360. The total variable selling and administrative expenses can be calculated by multiplying the number of rackets sold (4,500) by the per unit variable selling and administrative expense ($1.60), which equals $7,200. Therefore, the total variable costs for Aces Inc. for the current year are $145,560.
The contribution margin is calculated by subtracting the total variable costs from the sales revenue. Therefore, the contribution margin for Aces Inc. for the current year is $241,440.
The next item on the income statement is the deduction of fixed costs, which include fixed overhead costs and fixed selling and administrative costs. The total fixed overhead costs for Aces Inc. for the current year are $70,560, and the total fixed selling and administrative costs are $64,800. Therefore, the total fixed costs for Aces Inc. for the current year are $135,360.
The net income (or loss) for Aces Inc. for the current year is calculated by subtracting the total fixed costs from the contribution margin. Therefore, the net income for Aces Inc. for the current year is $106,080.
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bond x is a premium bond making semiannual payments. the bond has a coupon rate of 6.8 percent, a ytm of 6.2 percent, and 13 years to maturity. bond y is a discount bond making semiannual payments. this bond has a coupon rate of 6.2 percent, a ytm of 6.8 percent, and also 13 years to maturity. assume the interest rates remain unchanged and a $1,000 par value. what are the prices of these bonds today? note: do not round intermediate calculations and round your answers to 2 decimal places, e.g., 32.16. what do you expect the prices of these bonds to be in one year? note: do not round intermediate calculations and round your answers to 2 decimal places, e.g., 32.16. what do you expect the prices of these bonds to be in three years? note: do not round intermediate calculations and round your answers to 2 decimal places, e.g., 32.16. what do you expect the prices of these bonds to be in eight years? note: do not round intermediate calculations and round your answers to 2 decimal places, e.g., 32.16. what do you expect the prices of these bonds to be in 12 years? note: do not round intermediate calculations and round your answers to 2 decimal places, e.g., 32.16. what do you expect the prices of these bonds to be in 13 years? note: do not round intermediate calculations and round your answers to 2 decimal places, e.g., 32.16.
The prices of these bonds today are $1,222.45 and $846.18.
The prices of these bonds to be in one year are $1,174.98 and $896.59.
The price of these bonds in three years are $1,016.67 and $787.60.
The price of these bonds in eight years are $973.89. and $596.23.
The price of these bonds in 12 years are $985.40. and $383.86.
The price of these bonds in 13 years are $1,000 and $1,028.22.
Bond X is a premium bond, which means its coupon rate is higher than the YTM, so its price today will be higher than its face value of $1,000. Using the present value formula, we can calculate its price as follows:
PV = (C / 2) / (1 + r/2) + (C / 2) / (1 + r/2)^2 + ... + (C / 2 + F) / (1 + r/2)^26
PV = (34 / (1 + 0.031)^1) + (34 / (1 + 0.031)^2) + ... + (1034 / (1 + 0.031)^26)
PV = $1,222.45
Bond Y is a discount bond, which means its coupon rate is lower than the YTM, so its price today will be lower than its face value of $1,000. Using the same present value formula, we can calculate its price as follows:
PV = (C / 2) / (1 + r/2) + (C / 2) / (1 + r/2)^2 + ... + (C / 2 + F) / (1 + r/2)^26
PV = (31 / (1 + 0.034)^1) + (31 / (1 + 0.034)^2) + ... + (1031 / (1 + 0.034)^26)
PV = $846.18
In one year, we expect the prices of both bonds to change due to the change in market interest rates. Assuming that the YTM of Bond X increases by 20 basis points (0.2%), we can use the present value formula to calculate its new price:
PV = (C / 2) / (1 + r/2) + (C / 2) / (1 + r/2)^2 + ... + (C / 2 + F) / (1 + r/2)^25 + (C / 2 + F) / (1 + r/2)^26
PV = (34 / (1 + 0.043)^1) + (34 / (1 + 0.043)^2) + ... + (34 / (1 + 0.043)^25) + (1034 / (1 + 0.043)^26)
PV = $1,174.98
Assuming that the YTM of Bond Y decreases by 20 basis points (0.2%), we can use the same formula to calculate its new price:
PV = (C / 2) / (1 + r/2) + (C / 2) / (1 + r/2)^2 + ... + (C / 2 + F) / (1 + r/2)^25 + (C / 2 + F) / (1 + r/2)^26
PV = (31 / (1 + 0.052)^1) + (31 / (1 + 0.052)^2) + ... + (31 / (1 + 0.052)^25) + (1031 / (1 + 0.052)^26)
PV = $896.59
In three years:
Bond X: The number of semiannual periods is 3 * 2 = 6.
The semiannual coupon payment is $1,000 * 6.8% / 2 = $34. The present value of the semiannual coupon payments is
$34 * (1 - 1 / (1 + 3.1% / 2)^6) / (3.1% / 2) = $186.05.
The present value of the principal payment is $1,000 / (1 + 3.1% / 2)^6 = $830.62. Therefore, the price of Bond X in three years is $186.05 + $830.62 = $1,016.67.
Bond Y: The number of semiannual periods is 3 * 2 = 6. The present value of the principal payment is $1,000 / (1 + 7% / 2)^6 = $787.60. Therefore, the price of Bond Y in three years is $787.60.
In eight years:
Bond X: The number of semiannual periods is 8 * 2 = 16. The semiannual coupon payment is $1,000 * 6.8% / 2 = $34.
The present value of the semiannual coupon payments is
$34 * (1 - 1 / (1 + 3.1% / 2)^16) / (3.1% / 2) = $370.05.
The present value of the principal payment is $1,000 / (1 + 3.1% / 2)^16 = $603.84.
Therefore, the price of Bond X in eight years is $370.05 + $603.84 = $973.89.
Bond Y: The number of semiannual periods is 8 * 2 = 16. The present value of the principal payment is $1,000 / (1 + 7% / 2)^16 = $596.23.
Therefore, the price of Bond Y in eight years is $596.23.
In 12 years:
Bond X: The number of semiannual periods is 12 * 2 = 24.
The semiannual coupon payment is
$1,000 * 6.8% / 2 = $34.
The present value of the semiannual coupon payments is
$34 * (1 - 1 / (1 + 3.1% / 2)^24) / (3.1% / 2) = $595.17.
The present value of the principal payment is
$1,000 / (1 + 3.1% / 2)^24 = $390.23.
Therefore, the price of Bond X in 12 years is $595.17 + $390.23 = $985.40.
Bond Y: The number of semiannual periods is 12 * 2 = 24. The present value of the principal payment is $1,000 / (1 + 7% / 2)^24 = $383.86. Therefore, the price of Bond Y in 12 years is $383.86.
In 13 years, bond X will have reached maturity and will be redeemed at its face value of $1,000. Therefore, its price will be equal to its par value of $1,000.
On the other hand, bond Y will have only one more semi-annual coupon payment left before it reaches maturity, and it will be redeemed at its face value of $1,000. Therefore, its price will be the present value of that final coupon payment plus the present value of the face value. Using the same formula as before, we get:
P = 31.10/(1+0.034)^24 + 1000/(1+0.034)^26
P = $1,028.22
Therefore, we can see that the prices of the two bonds will converge as they approach maturity, and in this case, the premium bond X will have a higher price at the time of purchase, but the discount bond Y will have a higher price at the time of maturity.
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The ________ system encourages innovation by creating a powerful financial reward for creativity.
The patent system encourages innovation by creating a powerful financial reward for creativity.
A patent is a legal document granted by a government that gives the holder exclusive rights to make, use, and sell an invention for a specified period of time. In exchange for disclosing the details of the invention to the public, the inventor is granted a monopoly on the use of the invention for a period of time, typically 20 years from the date of filing the patent application.
The purpose of the patent system is to encourage innovation by providing inventors with a powerful financial incentive to create new and useful products, processes, and technologies. By granting the inventor exclusive rights to their invention, the patent system allows them to profit from their ideas, which can be used to fund further research and development.In this way, the patent system provides a financial reward for creativity and innovation, which in turn encourages more people to invest time, effort, and resources into developing new and innovative ideas.As a result, the patent system has been credited with spurring technological progress and economic growth and has played a key role in driving innovation in a wide range of industries and fields.
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3. Explain what Ross chose to do when his tour in New York came to an end
Ross chose to return to his hometown in Texas after his tour in New York came to an end.
He had been away from home for quite some time and was eager to be reunited with his family and friends.
Additionally, Ross had gained valuable experience during his time in New York and was excited to apply his new skills and knowledge to his work back home.
Ross was grateful for the opportunity to work in New York but ultimately decided that being close to his loved ones and continuing his career in Texas was the best decision for him.
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How have the monsoon seasons most affected the economic development of bangladesh?.
The monsoon seasons have both positive and negative impacts on the economic development of Bangladesh. On the one hand, the heavy rainfall during the monsoons provides much-needed water for agriculture, which is a major industry in the country.
This leads to increased crop yields and boosts the country's overall GDP. However, the monsoons can also cause devastating floods that can damage crops, homes, and infrastructure, leading to significant economic losses. In addition, the increased frequency and intensity of natural disasters associated with climate change, such as cyclones and storm surges, have further challenged Bangladesh's economic development.
To address these challenges, the government of Bangladesh has implemented various measures, such as investing in flood control infrastructure, improving early warning systems, and promoting alternative livelihoods to reduce reliance on agriculture. These efforts have helped to mitigate the negative impacts of the monsoon seasons and support continued economic development in the country.
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When should you consider getting umbrella insurance?.
We should consider getting umbrella insurance when you want additional liability coverage beyond your existing policies, such as homeowners, renters, or auto insurance. Umbrella insurance is useful when:
1. You have significant assets to protect: If your net worth exceeds the liability limits of your existing policies, umbrella insurance can safeguard your assets in the event of a lawsuit or a claim against you.
2. You face a high risk of liability: Occupations or hobbies that expose you to greater liability risks, such as owning rental properties, coaching sports teams, or volunteering, warrant umbrella insurance.
3. You own property: Homeowners with a pool, trampoline, or playground equipment should consider umbrella insurance, as these items increase the likelihood of an accident and potential legal claims.
4. You have teenage drivers: Since young drivers have a higher risk of accidents, additional coverage can protect you from the financial consequences of a serious collision.
5. You want peace of mind: Umbrella insurance provides a sense of security, knowing that you are protected against unforeseen legal and financial consequences.
In summary, you should consider getting umbrella insurance when your current liability coverage may not be sufficient to protect your assets, you have a higher risk of liability, or you desire added peace of mind.
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The customer segment known as ______ enjoy testing product prototypes and providing voluntary feedback that companies use to perfect their products. multiple choice question.
The customer segment known as "early adopters". enjoy testing product prototypes and providing voluntary feedback that companies use to perfect their products.
The customer segment known as "early adopters" enjoy testing product prototypes and providing voluntary feedback that companies use to perfect their products.
Early adopters are a group of customers who are eager to try out new products and technologies, often before they become widely available to the general public. They are known for their willingness to take risks, their enthusiasm for innovation, and their eagerness to provide feedback to companies.
Companies often rely on early adopters to help them refine their products and identify potential issues before launching them to a wider audience.
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Correct question:
The customer segment known as ______ enjoy testing product prototypes and providing voluntary feedback that companies use to perfect their products.