if the expected average price increase per unit is 1.4% and the expected volume growth is 6.2%, what is the expected percent change in revenue? (enter your answer as a number with two decimal places but without the percent symbol. for example, if your answer is 89.12%, enter 89.12)

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Answer 1

The expected percent change in revenue is 8.47.The expected percent change in revenue can be calculated using the following formula.

Expected percent change in revenue = (Expected percent change in price) + (Expected percent change in volume) + (Expected percent change in price x Expected percent change in volume).Substituting the given values, we get: Expected percent change in revenue = (1.4) + (6.2) + (1.4 x 6.2)

Expected percent change in revenue = 1.4 + 6.2 + 0.868

Expected percent change in revenue = 8.468

Therefore, the expected percent change in revenue is 8.47 (rounded to two decimal places).

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which internal control is celina implementing when she asks her purchasing department to prepare a weekly report listing approved purchase orders? information and communication system risk assessment control activity monitoring process

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Celina requests her purchasing department to create a weekly report listing approved purchase orders as part of the monitoring process internal control she is implementing.

As part of  business activity Monitoring, you use a particular type of integration procedure called a monitoring process. The steps in a business process are tracked using a monitoring procedure. Multiple apps may be used to distribute the business process. The process of monitoring a programme or action entails gathering routine data that tracks advancement towards programme goals. It is employed to monitor how programme results and performance evolve over time. Monitoring is seen as a process that provides data that management uses it to evaluate the effects of projects, both intended and unintended, and their impact.

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on january 1 of the current year, jones company borrowed $20,000 on a five-year, 7% note payable. on december 31 of the current year, jones company should record:

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Interest Expense = $20,000 * 7% * (12/12) = $1,400 Note Payable = $20,000 - $1,400 = $18,600 The journal entry to record this would be: Debit: Interest Expense = $1,400 Credit: Note Payable = $18,600

At the end of the current year, Jones Company should record the following journal entry to account for the interest expense and the reduction in the note payable: Interest Expense = $20,000 * 7% * (12/12) = $1,400 Note Payable = $20,000 - $1,400 = $18,600 The journal entry to record this would be: Debit: Interest Expense = $1,400 Credit: Note Payable = $18,600

This entry reflects the interest expense accrued on the note payable for the year and the reduction in the outstanding balance of the note payable.

This journal entry will ensure that the company's financial statements reflect the correct amount of interest expense for the year and the remaining balance of the note payable.

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bernice took a job as a ticket taker at the baseball stadium. she has to arrive two hours before each event to work the gate. once the game reaches the bottom of the third inning, her gate is closed, and she can go in to watch the rest of the game. which intangible inducement is the organization offering bernice

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Bernice has been given the intangible inducement of being allowed to watch the rest of the game after closing her gate. One sort of reward or incentive is referred to as an intangible enticement.

This type of reward or incentive cannot be physically touched or measured.

Intangible inducements consist of things like praise, promotions, opportunity for growth and development, and a sense of accomplishment, among other things.

As a direct consequence of this, businesses frequently turn to intangible inducements in the role of incentives in order to inspire and motivate their workforce.

As a result, Bernice has been provided with the non-tangible incentive of being permitted to watch the remainder of the game after she has closed her gate.

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what landmark court decision allowed for police departments to create a job analysis to identify the important tasks that must be performed by a police officer?

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The landmark court decision allowed police departments to create a job analysis to identify the important tasks that must be performed by a police officer Guardians Association of New York City Police Department v. Civil Service Commission of New York.

Police Officers include: Discouraging wrongdoings and guaranteeing the local area through high-permeability policing. Watching relegated regions and checking exercises to safeguard individuals/property. Examining wrongdoings and catching thought regulation violators.

The police are essentially answerable for the upkeep of public requests, anticipation, and discovery of wrongdoings in the state. It additionally safeguards the life, freedom, and property of individuals. The wrongdoing is expanding step by step with the expansion in the intricacy of human advancement.

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he difference between gnp and gdp is group of answer choices gnp excludes exports and imports. gnp excludes income received from abroad and includes income paid abroad. gnp includes exports and imports. gnp includes income received from abroad and excludes income paid abroad

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The difference between GNP and GDP is option (d) GNP includes income received from abroad and excludes income paid abroad.

GNP (Gross National Product) is the total value of all final goods and services produced by a country's residents, regardless of their location, in a given period of time (usually a year). GNP takes into account the income generated by a country's residents both domestically and abroad.

On the other hand, GDP (Gross Domestic Product) measures the total value of all final goods and services produced within a country's borders in a given period of time, regardless of the nationality of the producers. GDP does not take into account the income generated by a country's residents outside of its borders.

Therefore, the correct option is (d) GNP includes income received from abroad and excludes income paid abroad.

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group life insurance is a single policy written to provide coverage to members of a group. which of the following statements concerning group life is correct? a premiums are determined by age, occupation, and individual underwriting. b 100% participation of members is required in noncontributory plans. c each member covered receives a policy. d coverage cannot be converted when an individual leaves the group.

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Group life insurance is a single policy written to provide coverage to group members. About group life, Noncooperative schemes require 100% participation of members this statement is true. Here option B is the correct answer.

Group life insurance is a type of life insurance policy that provides coverage to members of a group, such as employees of a company or members of an association.

In a noncontributory group life insurance plan, the employer or organization pays the entire cost of the premiums, and 100% participation of eligible members is required. This means that all eligible members of the group must be covered by the policy.

On the other hand, in a contributory group life insurance plan, the cost of the premiums is shared between the employer or organization and the members, and participation is not necessarily 100% required.

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Answer:

100% participation of members is required in noncontributory plans

Explanation:
If the employer pays all of the premium, then all employees must be included. 

the upward-sloping portion of the long-run average cost curve is a result of multiple choice economies of scale. constant returns to scale. diseconomies of scale. increasing marginal productivity.

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The upward-sloping portion of the long-run average cost curve is a result of "diseconomies of scale". Therefore the correct answer is c).

The upward-sloping portion of the long-run average cost curve (LRAC) is known as the "diseconomies of scale" region. In this region, as the scale of production increases, the average cost per unit of output also increases.

This occurs because the firm may experience difficulties in managing its operations as it grows, such as communication problems, coordination issues, and higher costs of monitoring and control. As a result, the LRAC curve slopes upward as the firm moves beyond the optimal scale of production, where it achieves the lowest average cost per unit of output.

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stocks offer an expected rate of return of 18%, with a standard deviation of 22%. gold offers an expected return of 10% with a standard deviation of 30%. in light of the apparent inferiority of gold with respect to average return and volatility, would anyone hold gold in his portfolio? b.assume that the correlation between stocks and gold is -0.5. find the weights ws and wg of the efficient risky portfolio which is invested in stocks and gold and which has an expected return of 15%

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The weights of stocks and gold that minimize the portfolio's standard deviation subject to the given constraints. The solution is: ws = 0.75 and wg = 0.25.

The decision to hold gold in a portfolio depends on the investor's risk preferences and their overall investment goals. While stocks offer a higher expected rate of return, they also have a higher level of volatility. On the other hand, gold may offer a lower expected rate of return but may be less volatile, making it a more stable investment option.

To find the weights of the efficient risky portfolio which is invested in stocks and gold and which has an expected return of 15%, we can use the formula for the expected return of a portfolio:

Expected Return of Portfolio = Weight of Stocks x Expected Return of Stocks + Weight of Gold x Expected Return of Gold

We want to find the weights of stocks (ws) and gold (wg) such that the expected return of the portfolio is 15%. Therefore, we have:

0.15 = ws x 0.18 + wg x 0.10

We also know that the correlation between stocks and gold is -0.5. Using this information, we can calculate the standard deviation of the portfolio as:

Portfolio Standard Deviation = sqrt[(ws^2 x Stock Standard Deviation^2) + (wg^2 x Gold Standard Deviation^2) + 2 x ws x wg x Stock Standard Deviation x Gold Standard Deviation x Correlation]

Substituting the given values, we have:

Portfolio Standard Deviation = sqrt[(ws^2 x 0.22^2) + (wg^2 x 0.30^2) + 2 x ws x wg x 0.22 x 0.30 x (-0.5)]

We want to find the minimum standard deviation of the portfolio subject to an expected return of 15%. Therefore, we can use the formula for the portfolio's Sharpe ratio:

Sharpe Ratio = (Expected Portfolio Return - Risk-Free Rate) / Portfolio Standard Deviation

Since we do not have information on the risk-free rate, we can assume it to be 0. Solving for the weights of stocks and gold that maximize the Sharpe ratio, we get:

Sharpe Ratio = (0.15 - 0) / Portfolio Standard Deviation

Maximizing the Sharpe ratio is equivalent to minimizing the portfolio's standard deviation subject to an expected return of 15%.

Therefore, the efficient risky portfolio should be invested 75% in stocks and 25% in gold to achieve an expected return of 15%.

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if equilibrium level of real gross domestic product (gdp) is less than the full-employment real gross domestic product (gdp) consistent with the position of the economy's long-run aggregate supply (lras) curve, then the difference between full-employment real gross domestic product (gdp) and current equilibrium real gross domestic product (gdp) is an aggregate demand shock. an aggregate supply shock. a recessionary gap. an inflationary gap.

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The difference between the full-employment real GDP and the current equilibrium real GDP is a recessionary gap.

When the economy is operating below its potential, there is a gap between the actual level of output and the potential level of output. This gap is called a recessionary gap. It occurs when the equilibrium level of real GDP is less than the full-employment level of real GDP. In this situation, the economy is not producing enough goods and services to fully utilize its resources. This gap can be caused by a variety of factors, including a decrease in aggregate demand or an increase in the costs of production due to supply-side shocks.

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how does an increase in interest rates affect the opportunity cost of holding money and the repayment to creditors?

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The interest rates affect the opportunity cost of holding money and the repayment to creditors by the opportunity cost of holding money will become greater.

The opportunity cost of present expenditure, calculated in terms of future consumption, is higher when interest rates are higher. Due to the fact that every dollar spent today would result in a greater loss of future consumption if it were invested at a higher interest rate, each dollar spent today would actually result in a smaller gain in future consumption. In contrast, the opportunity cost of future spending is smaller when compared to present consumption.

Opportunity costs are the possible advantages that a person, investor, or company forgoes while deciding between two options. Opportunity costs are by definition invisible, making it simple to ignore them. Making smarter decisions requires an understanding of the possible possibilities lost when a company or person choose one investment over another.

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when the two newly hired analysts compared notes, they found that their interviews had been quite different. each was long and involved, but the content of the questions varied based on previous employment and education. this means the hiring manager used interviews. group of answer choices unstructured situational behavioral-description structured

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This means the hiring manager used unstructured interviews. The right answer is a.

Unstructured interviews, also known as non-directive interviews, are interviews without a predetermined pattern in which the questions are asked. This lack of structure allows the hiring manager to ask any questions that immediately spring to mind. Unstructured interviews promote open communication and maturity.

Also, it fosters a sense of personal accountability. In an unstructured interview, there is also a chance that the subject could stray or that too much unrelated material will be shared, excluding certain facts that the interviewer wants or needs to know. Also, they take longer than a formal interview.

The correct answer is option a.

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process innovations invented in the health care delivery sector of developed high income markets are adopted in the delivery of health care in emerging markets. this is an example of reverse innovation. group startstrue or false

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The statement "process innovations invented in the health care delivery sector of developed high income markets are adopted in the delivery of health care in emerging markets" being an example of reverse innovation is true because it correctly defines the concpet of process innovation in the context of helath care delivery.

The term "reverse innovation" refers to the concept of innovations or ideas that are developed in and for emerging markets and then exported to developed countries. These innovations are often more affordable, efficient, and simple, making them appealing to businesses and consumers alike.

In the context of healthcare, it means that innovations developed in the healthcare delivery sector of developed high-income countries are transferred or adopted in the delivery of healthcare in emerging markets. It is a reverse process of innovation that is different from the traditional approach of exporting innovations from developed to developing countries.

In the healthcare sector, process innovations refer to new or improved methods, tools, or techniques that increase the efficiency, effectiveness, and quality of healthcare services. Some examples of process innovations include telemedicine, electronic health records, mobile health apps, and healthcare analytics.

These innovations have been widely adopted in developed countries and are now being transferred to emerging markets for improving healthcare delivery.

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according to the textbook, a hospital indemnity policy: multiple choice should be purchased at an early age. should be purchased only by older people. is almost always excellent buys. does not justify the premium cost. is meant for couples with two or three children.

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According to the textbook, a hospital indemnity policy should be purchased at an early age.

Hospital indemnity insurance is a form of coverage that pays a predetermined amount of money for each day that you are admitted to the hospital. The money may be used for any purpose, not just medical expenses. The policy can be purchased as a supplement to your health insurance policy, which is meant to cover your medical expenses.The benefits of purchasing a hospital indemnity policy are numerous. One of the most important is that it can provide financial assistance when you or a loved one are hospitalized. A hospital indemnity policy can help you pay for the cost of treatment, including medical and non-medical expenses such as transportation, lodging, and meals. The policy can also provide a cash benefit that can be used to pay for the deductibles, co-payments, or other expenses associated with your health insurance plan.

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calculating comparative advantage helps individuals, businesses, and companies decidecalculating comparative advantage helps individuals, businesses, and companies decidewhat consumers want.what to specialize in.what products are in demand.what the world needs more of.

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Comparative advantage is the ability of a country, business, or individual to produce a particular good or service at a lower opportunity cost than other countries, businesses, or individuals.

Calculating comparative advantage helps individuals, businesses, and companies decide what to specialize in,.By identifying and understanding their comparative advantage, individuals, businesses, and companies can make informed decisions about what products or services to specialize in and focus on producing. This can lead to increased efficiency and productivity, which can ultimately lead to higher profits and economic growth.

While understanding comparative advantage can also help in identifying what products are in demand and what consumers want, the main focus is on identifying where an individual, business, or company has a competitive advantage and can specialize to maximize their efficiency and productivity.

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lamar is researching a business opportunity and has asked his acquisition team to help him review and verify all of the information about the business. this process of research and verification is called

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The process of research and verification that Lamar is undertaking is called due diligence.

This is a comprehensive review of a potential investment opportunity, such as a business, to ensure that all of the relevant information has been verified and to identify any potential risks or red flags. The goal of due diligence is to provide a thorough understanding of the investment opportunity and to help investors make informed decisions based on accurate and reliable information. Lamar's acquisition team will likely review financial statements, legal documents, operational information, and other relevant information during the due diligence process.

Due diligence is a critical step in any business acquisition or investment process and is typically conducted by experienced professionals with expertise in finance, legal, and business operations.

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roth service co. experienced the following transactions for year 1, its first year of operations: provided $110,000 of services on account.collected $89,000 cash from accounts receivable.paid $41,000 of salaries expense for the year.roth adjusted the accounts using the following information from an accounts receivable aging schedule: number of days past dueamountpercent likely to be uncollectible allowance balancecurrent$9,500 0.01 0-30 4,000 0.05 31-60 2,500 0.10 61-90 2,000 0.30 over 90 days 3,000 0.50 requiredorganize the transaction data in accounts under an accounting equation.prepare an income statement for roth service co. for year 1.what is the net realizable value of the accounts receivable at december 31, year 1?

Answers

The accounting equation for Roth Service Co. is as follows: Assets = Liabilities + Equity. Accounts Receivable + Cash = Accounts Payable + Common Stock + Retained Earnings

Using the transaction data provided, the accounts can be organized as follows:

Accounts Receivable: $110,000 - $89,000 = $21,000

Allowance for Doubtful Accounts:

Current: $9,500 x 0.01 = $95

31-60 Days: $4,000 x 0.05 = $200

61-90 Days: $2,500 x 0.10 = $250

Over 90 Days: $3,000 x 0.50 = $1,500

Total Allowance: $2,045

The net realizable value of accounts receivable at December 31, year 1 is the difference between accounts receivable and the allowance for doubtful accounts:

$21,000 - $2,045 = $18,955

Using this information, we can prepare an income statement for Roth Service Co. for year 1:

Revenue: $110,000

Less: Allowance for Doubtful Accounts: $2,045

Net Revenue: $107,955

Expenses: Salaries Expense: $41,000

Net Income: $66,955

Therefore, the net realizable value of accounts receivable at December 31, year 1 is $18,955.

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the table illustrates the multiplier process resulting from an autonomous increase in investment by $5. the change in income in round two will be

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The multiplier process that results from a $5 autonomous increase in investment is shown in the table. In round two, the income will have changed by 3.75. Option 3 is Correct.

A permanent change in hours worked or salary, any adjustment to the amount of unearned income, or the start or stop of any revenue is considered a change in income.

Economics defines the income effect as a change in the consumer's purchasing power as a result of changes in the price of the good. As long as other conditions stay the same, consumers are more likely to purchase more products and services if their income increases.

change in income = increase in investment - assumed increase in investment

change in income = 5 - 1.25

change in income = 3.75. ( Option 3 is correct).

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Correct Question:

The table illustrates the multiplier process resulting from an autonomous increase in investment by $5. The change in income in round two will be:

1. $4.00.

2. $0.94.

3. $3.75.

4. $2.81.

the amount of time that a task's duration can be increased without affecting any other task is known as slack. a. free b. total c. independent d. safety

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The amount of time that a task's duration can be increased without affecting any other task is known as the total. The correct answer is b.

Total slack is the amount of time that a task's duration can be increased without affecting the project's completion date. In other words, it is the amount of time that a task can be delayed without delaying the project's overall completion.

Free slack, is the amount of time that a task's duration can be increased without delaying the start of any subsequent tasks. Independent slack and safety slack are not commonly used terms in project management.

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exporting is an arrangement whereby an organization grants a foreign firm the right to use intellectual properties such as patents, copyrights, manufacturing processes, or trade names for a specific period of time. group of answer choices true false

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False, licensing is an arrangement whereby an organization grants a foreign firm the right to use intellectual properties such as patents, copyrights, manufacturing processes, or trade names for a specific period of time.

In order to do, use, or own something, one must get permission and it is called a license. It can be attained from the government. As a component of their agreement, each party grants the other party a license.

Everyone, from large corporations to the smallest small businesses, uses licensing as a marketing and brand extension tool. Each license applicant has obligations to fulfill in order to maximize the results.

Even these obligations differ to some extent from agreement to agreement between the licensing parties due to the specifics of each agreement.

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a golden parachute is a prearranged contract with managers specifying that, in the event of a hostile takeover, the target company managers will not be paid a significant severance package. group startstrue or false

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The given statement  "a golden parachute is a prearranged contract with managers specifying that, in the event of a hostile takeover, the target company managers will not be paid a significant severance package" is false because a golden parachute is a prearranged contract with managers specifying that, in the event of a hostile takeover, the target company managers will be paid a significant severance package.

A golden parachute is an agreement in which an executive gets substantial benefits if their employment is terminated after a merger or acquisition. This agreement is established to protect the executives' interests in case of changes in the company's management, control, or ownership. A golden parachute is a term used to describe a special compensation package for executives of publicly held corporations in the event of a change in corporate ownership.

A hostile takeover is a situation in which one company acquires another without the target company's agreement. This acquisition is completed by purchasing the majority of the target company's shares or assets. In a hostile takeover, the acquiring company can attempt to take control of the target company's board of directors to facilitate the purchase. The acquiring company may or may not notify the target company's management or board of directors in advance.

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rosemarie just purchased a long-term iou from her town government. the funds are going to help the government build a new bridge in town. this iou can be best described as a

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Rosemarie's long-term IOU can be described as a form of government bond.

A government bond is a debt security issued by a government to raise capital. When individuals like Rosemarie purchase a government bond, they are essentially loaning money to the government in exchange for regular interest payments and the return of their principal investment at a future date.

In this case, the government is using the funds from the sale of the bonds to finance the construction of a new bridge. Long-term IOUs like the one purchased by Rosemarie typically have a maturity date several years in the future, and the government will make regular interest payments to bondholders until the IOU reaches maturity.

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in review of the general ledger there is a purchase for a macbook pro for $1,999 for a new hire posted to office equipment and supplies. how should this be handled for the business in accordance to gaap?

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The purchase of the MacBook Pro for $1,999 should be capitalized as a fixed asset and depreciated over its useful life in accordance with GAAP.

In accordance with GAAP, purchases of fixed assets, such as office equipment, should be capitalized and depreciated over their useful life. The MacBook Pro, being a high-value item with a useful life of more than one year, should be recorded as a fixed asset on the balance sheet.

The cost of the MacBook Pro, $1,999, should be recorded as the initial cost of the asset, and the depreciation expense should be recognized over the asset's useful life.

The depreciation expense will be recorded on the income statement, and the accumulated depreciation will be recorded on the balance sheet as a contra asset account to the MacBook Pro.

By capitalizing and depreciating the MacBook Pro, the business can accurately reflect the value of its assets and the expenses incurred in operating the business over time.

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beta company paid off $30000 of its accounts payable in cash. what would be the effects of this transaction equity net income cash flow

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The payment of accounts payable in cash would result in a decrease in the company's assets and liabilities by $30,000, and a decrease in its cash balance by the same amount, and it would not have an impact on the equity or net income.

The beta company paid off $30000 of its accounts payable in cash.

The transaction of $30,000 of accounts payable in cash would have the following effects on the company's financial statements :

Equity: There would be no impact on equity, as equity represents the residual value of assets minus liabilities, and payment of accounts payable reduces both assets and liabilities by the same amount.

Net-Income: There would be no impact on net income, as this transaction does not affect revenues or expenses.

Cash-Flow: The payment of $30,000 in cash would reduce company's cash balance by $30,000. it would result in a decrease in company's cash flow.

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which of the following best explains why expatriates leave their firms within one year of completing an international assignment? group of answer choices desire to spend more time overseas inadequate financial compensation inability to utilize skills learned abroad discord among family and friends

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The best statement that explains why expatriates leave their firms within one year of completing an international assignment inability to utilize skills. (option c).

Among the given options, the most likely reason for expatriates leaving their firms within one year of completing an international assignment is "inability to utilize skills." This refers to the situation where expatriates may not have the opportunity to apply their skills and expertise in their new role, resulting in frustration and dissatisfaction.

While desire to spend more time overseas and learned abroad discord among family and friends may also contribute to expatriates leaving their firms, these are generally not the primary reasons.

Inadequate financial compensation may also play a role in some cases, but it is typically not the primary reason for expatriates leaving their firms within one year of completing their international assignment.

Hence option (c) is the right choice.

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which is the correct term used in a resource-constrained project whenever leveling of over-allocated resources will result in the project duration being extended? multiple choice question.

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Resource Levelling is the correct term used in a resource-constrained project whenever leveling of over-allocated resources will result in the project duration being extended. So the option B is correct.

Resource Levelling is a process of allocating resources such as people, cost, and materials to a project in a way that keeps the project on track and on budget. It is used when the capacity of the resources is limited and needs to be shared among different tasks, deadlines, or projects.

Resource levelling ensures that the resources are allocated in a way that maximizes the efficiency of the resources and minimizes delays. It also ensures that the resources are used in the most cost-effective manner. So the option B is correct.

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The complete question is:'

Which is the correct term used in a resource-constrained project whenever leveling of over-allocated resources will result in the project duration being extended?

Multiple choice question.

a) Resource Smoothing

b) Resource Levelling

c) Resource Optimization

d) Resource Allocation

gnomes r us just paid a dividend of $1.80 per share. the company has a dividend payout ratio of 65 percent. if the pe ratio is 15.9 times, what is the stock price?

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The stock price is $44.03 if a dividend of $1.80 per share and the dividend payout ratio of 65 percent, the pe ratio is 15.9 times.

Dividend rate = $1.80 per share

Dividend payout ratio = 65 percent

Pe ratio =  15.9 times

To calculate the stock price, we need to utilize the dividend discount model formula,

P = D / (r - g) ----------equation 1

g =  Return on equity x Retention ratio

g  = 35% * Return on equity

P/E ratio = Stock Price ÷ Earnings per share

Earnings per share = Stock price ÷ P/E ratio

Using the dividend payout ratio and the earnings retention ratio to estimate the earnings growth rate:

g =  Return on equity x Retention ratio

g = 35% x (1 - Dividend payout ratio) * Earnings per share / Stock price

g = 0.35 x (1 - 0.65) * (Stock price / 15.9) / Stock price

g = 0.0082

substituting the g value in equation 1

P = D / (r - g)

Stock price = $1.80 / (r - 0.0082)

15.9 = Stock price / $2.77

r = 0.1327

Stock price = 15.9 * $2.77

Stock price  = $44.03

Therefore, we can conclude that the stock price is $44.03.

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suppose that you have purchased a chf bond issued by nestle. the bond matures in 3 years, pays a fixed 2% coupon bond, and has a face value of chf 100m. that is the expected ytm in usd if the spot rate is chf 0.9/usd, f1 is chf 1.0/usd, f2 is chf 1.05/usd, f3 is chf 1.1/usd? please enter your answer as % -- e.g. if your answer is 2.34% type in 2.34.

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The expected yield to maturity (YTM) in USD if the spot rate is CHF 0.9/USD, F1 is CHF 1.0/USD, F2 is CHF 1.05/USD, and F3 is CHF 1.1/USD is 0.00%.

Given that,a CHF bond issued by Nestl in 3 years, pays a fixed 2% coupon bond, and has a face value of CHF 100M.To determine the expected yield to maturity (YTM) in USD, we will apply the following formula;

YTM = (Coupon Payment + ((Face Value - Price)/Years to Maturity))/((Face Value + Price)/2)

where;

Coupon Payment = 2% of CHF 100

M = CHF 2,000,000Price = ?

Face Value = CHF 100M

Years to Maturity = 3 years we have;

Spot Rate = CHF 0.9/USD

We will compute the Forward Rate for Year 1 (F1), Year 2 (F2), and Year 3 (F3);

F1 = CHF 0.9/USD = 1/0.9 USD/CHF = 1.11

USD/CHFF2 = CHF 1.05/USD = 1/1.05

USD/CHF = 0.9524 USD/CHFF3 = CHF 1.1/USD = 1/1.1

USD/CHF = 0.9091 USD/CHF

Using the Forward Rates, we will calculate the Price of the Bond;

Price = (Coupon Payment / F1) + (Coupon Payment / (1+F2)^2) + ((Face Value + Coupon Payment) / (1+F3)^3)Price = (CHF 2,000,000 / 1.11) + (CHF 2,000,000 / (1+0.9524)^2) + ((CHF 100M + CHF 2,000,000) / (1+0.9091)^3)Price = CHF 62,764,698.49

The expected Yield to Maturity (YTM) in USD can now be calculated;

YTM = (Coupon Payment + ((Face Value - Price)/Years to Maturity))/((Face Value + Price)/2)

YTM = (CHF 2,000,000 + ((CHF 100M - CHF 62,764,698.49)/3))/((CHF 100M + CHF 62,764,698.49)/2)

YTM = 0.00%

Therefore, the expected Yield to Maturity (YTM) in USD if the spot rate is CHF 0.9/USD, F1 is CHF 1.0/USD, F2 is CHF 1.05/USD, and F3 is CHF 1.1/USD is 0.00%.

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using the comprehensive model for change, what should managers consider after they have set goals for change?

Answers

Managers can develop a comprehensive change plan that takes into account the resources, timeline, communication, resistance, and metrics necessary for successful implementation.

The Comprehensive Model for Change is a framework that outlines the key steps involved in successfully implementing change within an organization. After managers have set goals for change, the next step is to consider the following factors:

Resources: Managers should evaluate the resources needed to achieve the goals for change. This includes identifying the necessary personnel, financial resources, and technology required for the change initiative.

Timeline: Managers should determine the appropriate timeline for implementing the change initiative. This involves creating a realistic schedule for each phase of the change process and ensuring that it aligns with the organization's strategic objectives.

Communication: Effective communication is crucial for the success of any change initiative. Managers should develop a communication plan that outlines how they will communicate the change to employees and stakeholders, what information will be shared, and how feedback will be collected and addressed.

Resistance: Change often meets resistance from employees who may be hesitant to adapt to new processes or technologies. Managers should identify potential sources of resistance and develop strategies for addressing them.

Metrics: Managers should establish metrics to measure the success of the change initiative. This includes identifying key performance indicators and setting targets for improvement.

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if total planned expenditures exceed real gdp, the economy will contract, causing production of goods and services to decrease and unplanned inventories to rise. group of answer choices true false

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The given staement that "if total planned expenditures exceed real gdp, the economy will contract, causing production of goods and services to decrease and unplanned inventories to rise"  is false.

If total planned expenditures exceed real GDP, it would result in an increase in production of goods and services in the short run, as firms increase their output to meet the higher demand. This would also lead to a decrease in unplanned inventories as firms sell off their excess inventory to meet the increased demand.

However, in the long run, if the planned expenditures continue to exceed the real GDP, it can lead to inflation and other economic issues. Additionally, if the economy reaches full capacity, the increase in production may not be sustainable, and firms may not be able to meet the higher demand, leading to price increases and supply shortages.

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which of the following are effects of rising national incomes abroad on us exports? multiple select question. us aggregate demand curve shifts to the right. us exports rise. us aggregate demand curve shifts to the left. foreigners are encouraged to buy fewer us goods. us exports fall. foreigners are encouraged to buy more us products.

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Implications of foreign countries' rising national incomes on US exports The US aggregate demand curve turns right. Foreign buyers are urged to purchase more US goods increased US exports.

Income growth would lead to an increase in aggregate demand, while exchange rate growth would lead to an increase in aggregate demand. The combined demand curve will be directly impacted by a rise in net exports since it causes planned expenditure to increase. As a result, the market's equilibrium will change, which means that overall demand will rise. When foreign incomes rise, a country's net exports and overall demand rise; when foreign incomes fall, net exports and overall demand decline.

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