What unique things would separate you from other applications applying for this money
The unique things that would separate the person from other people that are applying include
well-written essaygood educational backgroundvolunteering work that the person may have engaged in.What are the required things that the person applying should have?Good educational backgroundVolunteering works would be an added advantageA well-written essayHave good characters and there should be no previous issues that show that the person had broken a law.Therefore, the above statement would be beneficial for the person applying for the money.
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Construction crafts are what kind of jobs?
A: Academic
B: Theoretical
C: Physical
Answer:
C. Physical
Explanation:
Hope it help
While on vacation, Kyle Kingston, the president and chief executive officer of Remstat, Inc., is called by the CEO of Viokam Corporation, who asks Kingston if Remstat would be interested in buying 25 percent of the outstanding shares of Viokam. Remstat is a billion dollar conglomerate which has contemplated acquiring Viokam for some time. Kingston tells Viokam's CEO that Remstat is not interested. Kingston tells Viokam’s CEO, however, that KKIM, Inc., would be willing to buy the shares of Viokam. Kingston is the 100 percent shareholder of KKIM. Viokam sells the shares to KKIM for $35 million. A year later, KKIM sells the shares for $55 million to a mutual fund company. When Remstat's directors discover KKIM's purchase and sale of the Viokam shares, they bring an action against Kingston on behalf of Remstat. Which of the following is correct?
1. Kingston may be held liable to Remstat because he usurped a corporate opportunity.
2. Kingston may not be held liable to Remstat because he became aware of this opportunity outside the scope of his duties as an officer of Remstat.
3. Kingston may not be held liable to Remstat because he acted within the discretion afforded him under the business judgment rule.
4. Kingston may be held liable to Remstat because he exceeded his authority to act for the corporation.
Answer: A. Kingston may be held liable to Remstat because he usurped a corporate opportunity.
Explanation:
Based on the information given in the question, the correct option is that Kingston may be held liable to Remstat because he usurped a corporate opportunity.
Usurpation of a corporate opportunity is typically regarded as a form of breach of duty and it arises when a worker in a particular company uses the information that he has for his own personal gain.
In this case, Kingston is the 100 percent shareholder of KKIM and uses the information that he has regarding the sabres to his benefit.
Therefore, the correct option is A.
Which of the following are the three common risks of using email, text messaging, instant
messaging, and voice mail?
A. Over-communication, over-reliance, and too many acronyms
non-delivery, and over-reliance
B. Misinterpretation,
C. Misinterpretation, technical problems, and loss of self-awareness
D. Loss of self-awareness, lack of courtesy, and safety
Answer: option d is correct
Explanation:
it leads to loss of self awareness as we always check our phone and busy on mobile that distances ourself from the outside world
it leads to lack of courtesy and safety as there is always of a risk of hacking.
2. You are the human resources manager for a famous retailer and are trying to convince the president of the company to change the structure of employee compensation. Currently, the company’s retail sales staff is paid a flat hourly wage of $20 per hour for each eight-hour shift worked. You propose a new pay structure whereby each sales- person in a store would be compensated $10 per hour, plus 1 percent of that store’s daily profits. Assume that, when run efficiently, each store’s maximum daily profits are $25,000. Outline the arguments that support your proposed pla
The goal of any reasonable firm is to optimize its earnings. Providing incentives to the workers is one of the management methods to induce maximum effort from them in order to achieve the objective of the firm.In the present structure of employee settlement where the retail personnel is paid a fixed wage of $20 per hour, there's no reward for the retail sales staff to push more difficult for the sales and increase the profits. There is no penalty on them in case the sales go down and the profits are negatively affected.In the proposed worker compensation structure where each of the retail personnel is paid 1 percent of the shop's daily revenues over and above a fixed wage of $10 per hour, the staff is motivated to work harder to increase the sales and the profits of the firm. Each of the retail staff members then will be motivated by self-interest and devise methods to increase their productivity so that they can maximize their everyday compensation. Hence, by taking care of their self-interest, they will indirectly help in attaining the company's objective of maximizing its daily earnings to $25,000 per shop.
The HR manager works as the management of the company and the employee relationship. The idea of sharing the profit adds the employee's encouragement, and the daily sales and profit will increase.
What is the role of the HR manager in sales?The sales and the profit to the company add to the growth of the employees and the HR manager as well.
To increase the interest and the attentiveness of the employees towards the profit, the proposed plan of share of profit will be beneficial.
The employees will push themselves to increase the profit to the company, and thereby the daily wage to themselves. Thus, the proposed plan can be supported to be beneficial to the company's profit as well.
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Elena works for a company that handles product testing for a company based in Germany. This work is an example of
Answer:
outsourcing
Explanation:
outsourcing is what companies use to reduce production costs by contracting some business activities to other businesses.
hope this helps:)
Answer:
Elena works for a company that handles product testing for a company based in Germany. This work is an example of Outsourcing.
Explanation:
Outsourcing is a form of the verb outsource. Outsource is usually defined as of a company or organization, to purchase (goods) or subcontract (services) from an outside supplier or source.
Outsourcing is the technique used by companies to reduce cost by transferring portions of work to third party suppliers opposed to performing the job internally.
Outsourcing benefits include savings, quality improvement, and the ability of the organization to concentrate time and resources on its core resources.
The ford motor company makes a car in 2020 and sells it to the Jones family in 2021. Use the information to do complete the statement below
This event increases consumption in ________ and increased GDP in ______
Due to this incident, GDP will grow in 2021 and consumption will rise.The use of products and services by people or families is referred to as consumption.
It is an essential element of economic activity and is intimately related to consumer spending and economic growth. Lower levels of consumption could signify an uncertain or slowing economy, while higher levels could indicate improved consumer confidence and a robust economy. Due to the frequent use of limited resources, production of trash, and pollution, consumption can also have an adverse effect on the environment and resources. Income, pricing, tastes, and preferences, as well as government policies like taxes and subsidies, can all have an impact on the level of consumption. The importance of sustainable consumption, which strikes a balance between economic growth and environmental conservation
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Answer the following questions: A) You feel that Belinda would be a good person for the employee satisfaction team because she is knowledgeable, invested in the outcome, trusted by the other team members, and is likely to introduce new ideas. Based on the __________, she is a good choice.
a. Hoy-Tarter Model of Shared Decision Making
b. Assimilate-Integrate-Accommodate Process
c. Personal Investment Theory
d. Collaborative Integration Model
You think Belinda would be a great addition to the employee happiness team because she is skilled, invested in the outcome, dependable, and prone to make novel suggestions. In light of the Personal Investment Theory, she makes sense.
What is Personal Investment Theory?Personal investment theory, a comprehensive theory of motivation, promotes learning by emphasizing three main elements: achievement goals (mastery, performance, social, and extrinsic), sense of self (sense of purpose, self-reliance, negative self-concept, and positive self-concept), and facilitating circumstances (parental, teacher, and peer support).
What does the term "personal investment" mean?
a sum of money invested in something by an individual as opposed to a business or organization, or these investments taken collectively: Real estate and precious metals are his go-to personal investing options.
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when the economy is in a liquidity trap, the federal reserve can use all of these policies to help the economy get out of a recession except:
When the economy is in liquidity trap, traditional monetary policy tools become less effective because interest rates are already very low and cannot be lowered further to stimulate economic activity.
What is a monetary policy?Monetary policy is a set of actions taken by a country's central bank to manage the money supply and interest rates in order to achieve specific economic goals. The primary goal of monetary policy is usually to promote price stability, which means keeping inflation within a desired range. To achieve this, central banks use tools such as open market operations, reserve requirements, and discount rates to influence the amount of money in circulation and the cost of borrowing. Changes in monetary policy can affect economic growth, employment, and the value of a country's currency. Central banks regularly adjust monetary policy based on changing economic conditions and the goals of policymakers.
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use the tax table below to determine each of the following values if you’re adjusted gross income it’s $20,000
1. Your tax liability if you are filing single using the standard deduction of $12,500 and
have no adjustments, itemized deductions, or tax credits.
2. Your tax liability if you are filing single using the standard deduction of $12,500, have
a child tax credit of $500 and no other adjustments, deductions or credits.
The tax liability after the child tax credit is $254.
To determine each of the following values using the tax table below if your adjusted gross income is $20,000:1. Your tax liability if you are filing single using the standard deduction of $12,500 and have no adjustments, itemized deductions, or tax credits:Here, the taxable income can be calculated by subtracting the standard deduction from the adjusted gross income.
Taxable Income = Adjusted Gross Income - Standard Deduction= $20,000 - $12,500= $7,500Now, find the row that corresponds to the taxable income in the tax table and determine the tax liability. From the table, the tax liability is $754.2.
Your tax liability if you are filing single using the standard deduction of $12,500, have a child tax credit of $500 and no other adjustments, deductions, or credits:First, calculate the taxable income as in the previous part.Taxable Income = Adjusted Gross Income - Standard Deduction= $20,000 - $12,500= $7,500.
Next, calculate the tax liability using the tax table that corresponds to the taxable income.From the table, the tax liability is $754.Then, subtract the child tax credit from the tax liability.Tax Liability = $754Child Tax Credit = $500Tax Liability after the Child Tax Credit = $754 - $500= $254.
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If the Mount Lemmon fire district attempts to implement age diversity initiatives, but these initiatives are defeated because the district is concerned that younger firefighters will be treated worse as a result, which of the following barriers mentioned in Section 4.6 is this an example of?
Answer:
Explanation:
fears of reverse discrimination
Why should you be able to create, share, and maintain documents?
Answer:
it helps the business run smoother
Explanation:
How can not having a checking account become expensive?
A checking account offers easy access to your money for your daily transactional needs and helps you cash secure.
In today's world it is important to have a checking account, for example in India even in rural areas people have checking accounts, which makes transactions easy and secure and it can become expensive if not have a checking account, for example, if a shopkeeper is not having change and you don't have a checking account then the transaction can become expensive, moreover, you will require to carry cash which will become expensive with less security.
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What scenario shows the best time to "play it safe" in investing because the law of diminishing returns is against the investor?
A Your children are 5 and 3 and you are in middle management in your company and you have extra money to invest for college funds.Your children are 5 and 3 and you are in middle management in your company and you have extra money to invest for college funds.
B You are 65 and have retired from your career and are looking at a very long and happy life of traveling and good times.You are 65 and have retired from your career and are looking at a very long and happy life of traveling and good times.
C You are 5 years from retirement and your friend knows a "sure" investment that will more than triple your retirement account.You are 5 years from retirement and your friend knows a "sure" investment that will more than triple your retirement account.
D You just hit a big jackpot in Las Vegas and decide to put it all back into another game to double your return.
The scenario that shows the best time to "play it safe" in investing because the law of diminishing returns is against the investor is option D: You just hit a big jackpot in Las Vegas and decide to put it all back into another game to double your return.
In this scenario, the investor has already experienced a significant gain by hitting a big jackpot in Las Vegas. However, investing the entire amount back into another game with the intention of doubling the return poses a high level of risk. The law of diminishing returns suggests that as an investment or activity continues, the incremental return or benefit diminishes over time. By putting all the winnings back into another game, the investor is exposing themselves to unnecessary risk. Instead, it would be wiser to consider diversifying the investment portfolio, preserving a portion of the winnings, and adopting a more conservative approach. This helps to protect the gained wealth and potentially generate more stable, sustainable returns in the long run. Hence the correct answer in Option D. you just hit a big jackpot in Las Vegas and decide to put it all back into another game to double your return.
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Individuals differ in their willingness to pay for air travel, and airlines would like to charge different prices to different individuals based on their willingness to pay. Airlines typically attempt to divide passengers into two types: leisure travelers and business travelers. Suppose that an airline is charging $400 per ticket for all passengers on flights between New York and Washington D.C. The accompanying tables provide information on quantity demanded for air travel for leisure travelers and business travelers.
Price
(per ticket) Quantity‑leisure travelers
(tickets per flight)
$400 100
$500 50
Price
(per ticket) Quantity‑business travelers
(tickets per flight)
$400 100
$500 90
a. What is the absolute value of price elasticity for leisure travelers if the airline increases the price to $500? Round your answer to the nearest whole number.
b.What is the change in total revenue for leisure travelers when the price increases to $500?
c. What is the absolute value of price elasticity for business travelers if the airline increases the price to $500? Round your answer to the hundredths place.
d. What is the change in total revenue for business travelers when the price increases to $500?
e. To maximize total revenue, the airline should charge
$400 to leisure travelers and $500 to business travelers.
$500 to both groups.
$400 to both groups.
$500 to leisure travelers and $400 to business travelers.
The price elasticity for leisure travelers, change in total revenue for leisure travelers, price elasticity for business travelers, change in total revenue for business travelers, and the price to be charged for the maximization of the total revenue are, 2, $5000, 0.4, $9000, and $400 to the leisure travelers and $500 to the business travelers respectively.
a. To find the price elasticity for leisure travelers the formula is,
percentage change in the the quantity demanded/percentage change in the price, according to this formula \(0.5/0.25=2\).
b. To calculate change in the total revenue, the formula is (new price\(-\)old price)* quantity demanded, According to this formula (\($500-400\))\(*50=5000\).
c. To find the price elasticity for business travelers same formula will be used, the price elasticity is \(0.1/0.25=0.4\)
d. The change in total revenue when price for business traveler reaches to $500, (new price\(-\)initial price)\(*\)quantity demanded at new price, \((500-400)*90=9000\)
e. To maximize the revenue from leisure travelers the airline should charge a lesser price that is $400, where as to maximize the profit from the business travelers the airline should charge a higher price that is $500.
Hence, The price elasticity for leisure travelers, change in total revenue for leisure travelers, price elasticity for business travelers, change in total revenue for business travelers, and the price to be charged for the maximization of the total revenue are, 2, $5000, 0.4, $9000, and $400 to the leisure travelers and $500 to the business travelers respectively.
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Mike and Sue McCloskey make sure to share their vision with their workforce, also known as the Fair Oaks family. They also welcome feedback on this vision. This allows for different sectors of the organization to be heard, and more closely work together. Which managerial challenge
answer:the answer is collaboration boost
performance
What can a borrower do to take control of their debt? O A. The borrower can apply for more credit cards. O B. The borrower can create a payment plan. O C. The borrower can make only minimum payments. O D. The borrower can pay bills selectively.
The thing a borrower can do to take control of their debt is The borrower can create a payment plan.
What is a debt?Debt refers to amount money borrowed or things someone owed a person and promises to refund or return back when it is available.
A borrower borrowed from the lender and it is the borrower that is in debt.
Therefore, The thing a borrower can do to take control of their debt is The borrower can create a payment plan.
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A long-term period of economic recession that leads to a low GDP and very
high unemployment is a(n)
Answer:
Depression
Explanation:
A long-term period of the economic recession that leads to a low GDP and very high unemployment is a(n) DEPRESSION
Depression is an economic term used to describe a deep tumble in an economy that occurs for a long period of more than six months. Depression lasts for years, and it is characterized by low real GDP and an awfully high level of unemployment.
Hence, in this case, the right answer is Depression.
The CPI is at a fifteen year high, which policy should be enacted
At the point when the CPI or expansion is at a significant level, policymakers frequently consider carrying out contractionary money related or financial strategies to assist with relieving inflationary tensions. The following are a couple of strategy choices that could be thought of: Money related Policy: Fiscal Policy: Supply-side Policies: and Pay and Value Controls:
Strategy is a conscious arrangement of rules to direct choices and accomplish sane results. A strategy is an assertion of policymakers and is executed as a methodology or convention. Strategies are for the most part taken on by an administration body inside an association.
Approaches can aid both abstract and objective independent direction. Strategies utilized in emotional direction for the most part help senior administration with choices that should be founded on the overall benefits of various variables, and accordingly, are frequently difficult to test dispassionately, for example balance between serious and fun activities strategy..
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(100 POINTS!) Craig is designing his website and looking for some free photos to help add visual appeal to his site. He wants general images of people working on computers and using social media. What kind of photography genre will Craig look in to find these images?
A. propaganda photography
B. creative stock photography
C. fashion photography
D. fine art photography
Craig is likely looking for images from the genre of creative stock photography to find photos of people working on computers and using social media. Creative stock photography is a collection of commercially licensed photographs that can be used in various media projects, including websites, brochures, and advertisements. These photos are usually taken with a specific use in mind, like demonstrating a particular lifestyle or concept, and are meant to be appealing and visually appealing to a wide audience.
4. What was the closing price of the corporation on July 26th?
The closing price of a security, such as a stock or a commodity, is the final price at which it was traded on a particular trading day. The calculation of the closing price depends on the market in which the security is traded.
What is closing price?If you have access to the historical data of the security, you can easily calculate the closing price by finding the last recorded price of the security on a given trading day. Many financial websites and data providers offer this information in their daily summary of a security's trading activity.
However, if you are looking to calculate the closing price in real-time, you can use a real-time data provider that offers the latest market quotes for the security you are interested in. The closing price is usually determined at the end of the trading day, which varies depending on the market and the security being traded.
In general, to calculate the closing price of a security, you need to find the last traded price of the security for the day. This information can be obtained from various sources, such as stock exchange websites, financial news websites, or real-time data providers. Once you have this information, you can use it to calculate the closing price of the security for that particular trading day. An overview was given.
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How does KARLEE provide a vertically integrated range of services that support customers from initial component design to a finished, assembled product?
a. Advanced design engineering support
b. Lack of value-added assembly
c. No prototype production
d. No manufacturing
Karlee provided a vertically integrated range of services that support customers by using A. Advanced design engineering support.
What is vertical integration?It should be noted that vertical integration simply means a process that involves acquiring business operations towards identical production.
In this case, Karlee provided a vertically integrated range of services that support customers by using advanced design engineering support.
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Sergei had to decide among watching a two-hour movie with a cost of $20, buying a book to read for $10 that would take about four hours to read, and going to a three-hour concert for $30. If he considers the benefit of each situation to be proportional to the amount of time, with a value of about $50 per hour, what is the opportunity cost of the best decision?
$80
$150
$190
$120
Answer:
D: $120
Explanation:
A: I just took the test and can view answers
B: Opportunity cost is the overall cost (in this case, financial/time) of an allocation of resources against another. So, we can thus reason, if his time is worth $50 per hour, we can calculate that...
Two hour movie costing $20: 2(50)-20=$80
Three hour concert costing $30: 3(50)-30=$120
Four hour book costing $10: 4(50)-10=$190
So the opportunity cost of the best decision (the cost of the second best option assuming he picks the best option) is $120, answer D
Prompt: In an essay, you will choose an entrepreneur and argue whether the free enterprise system was necessary for that individual to make an impact on the business world.
PLEASE ANSWER ASAP. I am writing my essay about Rihanna. If anyone could help me, I would appreciate it. Due in 1 week.
A free enterprise system was necessary because it allows people to do what they do best while trading for the rest, of free enterprise, works. Competition is a driving force behind the free enterprise, resulting in increased efficiency and lower consumer prices.
What is the advantage of free enterprises?The benefits of the US Free Enterprise System to producers and consumers include the freedom to own private property, producers producing at their own profit, consumers and producers having control over themselves, increased efficiency, and adequate use of available resources.
A free enterprise system allows individuals to make their own economic decisions without being constrained by the government. It enables consumer supply and demand to determine the success or failure of an economic venture.
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Which of these are advantages of increasing your market
share? (Select three answers.)
Building your reputation
Inspiring competition
Limiting capacity
Lowering costs through economies of scale
Increasing sales in slow markets
Unprofitable customers
Answer:
The three advantages of increasing market share are as follows:
Explanation:
1. Building your reputation:
Reputation in business terminology is called "Goodwill". Goodwill is measured in monetary terms and is shown on the assets side of the balance sheet. Higher goodwill indicates a higher reputation of the firm which in turn attracts potential buyers of the shares.
2. Lowering costs through economies of scale:
Lowering costs through economies of scale maximizes the profit, and the higher profits higher the dividends, and the higher dividends increase the demand for shares in the market.
3. Inspiring competition:
Inspiring competition tells the external and internal users of the company what makes them different from its competitors and when you stand unique from others in the market the market price of the share increases.
A company purchases supplies on account for $2,200. Indicate the amount of increases and decreases in the accounting equation.
Answer:
Assets increase by $2200: liabilities increase by $2200
Explanation:
The accounting equation is expressed as below.
Assets = Owners Equity + Liabilities.
Making purchases on account means buying on credit. Purchasing Supplies on credit will increases the debts( liabilities) of the company by $2200.
Supplies will belong to the business; hence assets will increase by $2200
Choose 2 multinational companies (1 U.S.-based company + 1 foreign-based company).
Visit the websites of the 2 companies and conduct research using databases such as Business and Company ASAP and Business
Source Complete.
How do these 2 multinational companies have organized their global business operations?
What are their similarities and differences, and what might explain those similarities and differences?
How might you characterize their business and international strategies?
Tools like nation portfolio analysis and political risk assessment, which primarily concentrate on the potential benefits from doing business in emerging countries, are used by companies that seek new markets.
How a Global Corporation Operates?An organisation is considered a global corporation if its operations span at least two nations. Some individuals would classify any business having an overseas branch as a multinational corporation. Some people might restrict the term to only include businesses with at least 25% of their revenue coming from sources outside of their own nation.
What Are Some of the Risks Facing Global Corporations?The various nations and regions in which multinational firms operate expose them to dangers. These include potential dangers to regulations or the law, political unpredictability, crime and violence, and cultural
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Boeing and Airbus Are in a Dogfight over Illegal Subsidies. Do you think that Boeing originally benefited from subsidies? If they did, could they be justified?
The largest single aspect explaining the upward push of Airbus was a type of subsidy called launch resource.
What is Airbus subsidies?Under this scheme, the governments of Germany, France, and Spain have given Airbus loans for developing new aircraft designs, which the manufacturer will only repay if the model is a commercial success.
Low-cost or no-cost loans enabled the European company to build a family of airliners much faster than any conventional industrial company should have, while also pricing its planes aggressively.
Is Airbus subsidised?
"For years, Europe has provided massive subsidies to Airbus, which have severely harmed the US aerospace industry and our workers."
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Nappon Co. has two products named X and Y. The firm had the following master budget for the year just completed: Product X Product Y Total Sales $ 243,000 $ 374,000 $ 617,000 Variable Costs 146,000 149,600 295,600 Contribution Margin $ 97,000 $ 224,400 $ 321,400 Fixed costs 130,000 108,000 238,000 Operating Income (Loss) $ (33,000 ) $ 116,400 $ 83,400 Selling Price per unit $ 100 $ 50 The following actual operating results were reported after the year was over: Product X Product Y Total Sales $ 366,800 $ 546,800 $ 913,600 Variable Costs 203,500 224,500 428,000 Contribution Margin $ 163,300 $ 322,300 $ 485,600 Fixed costs 210,400 116,500 326,900 Operating Income (Loss) $ (47,100 ) $ 205,800 $ 158,700 Units Sold 3,170 9,850 The sales quantity variance for Product Y is:
Answer:
Nappon Co.
The sales quantity variance for Product Y is:
= 740 units.
Explanation:
a) Data and Calculations:
Master Budget for the year
Product X Product Y Total
Sales $ 243,000 $ 374,000 $ 617,000
Variable Costs 146,000 149,600 295,600
Contribution Margin $ 97,000 $ 224,400 $ 321,400
Fixed costs 130,000 108,000 238,000
Operating Income (Loss) $ (33,000 ) $ 116,400 $ 83,400
Selling Price per unit $ 100 $ 50
Units sold 2,430 7,480
Actual Performance Results:
Product X Product Y Total
Sales $ 366,800 $ 546,800 $ 913,600
Variable Costs 203,500 224,500 428,000
Contribution Margin $ 163,300 $ 322,300 $ 485,600
Fixed costs 210,400 116,500 326,900
Operating Income (Loss) $ (47,100 ) $ 205,800 $ 158,700
Units Sold 3,170 9,850
Sales Price $115.71 $55.51
The sales quantity variance for Product Y is:
= (Actual quantity sold - Budgeted quantity)
= 3,170 - 2,430
= 740 units
Horford Co. has no debt. Its cost of capital is 8.9 percent. Suppose the company
converts to a debt-equity ratio of 1.0. The interest rate on the debt is 5.7 percent. Ignore
taxes for this problem.
a. What is the company's new cost of equity? (Do not round intermediate calculations
and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
b. What is its new WACC? (Do not round intermediate calculations and enter your
answer as a percent rounded to 2 decimal places, e.g., 32.16.)
Answer:
A. 12.1%
B. 8.9%
Explanation:
a. Calculation for What is the company's new cost of equity
Using this formula
New cost of equity=Cost of capital+[(Cost of capital- Debt interest rate ) *(Debt-equity ratio)*(1)]
Let plug in the formula
New cost of equity=[0.089+[(0.089-0.057)*(1)*1]
New cost of equity=[0.089+0.032*(1)*1]
New cost of equity=[0.121*(1)*1]
New cost of equity=0.121*100
New cost of equity=12.1%
Therefore the company's new cost of equity will be 12.1%
b. Calculation for What is its new WACC
Particular Weight Cost Weighted cost
Equity 0.5000 *12.1% = 0.0605
Debt 0.5000 * 5.7% =0.0285
WACC =0.089*100
WACC =8.9%
(0.0605+0.0285)
Therefore the new WACC will be 8.9%