In Russia, as put forth in "Ensuring Energy Security," oil output slowed substantially recently because

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Answer 1

In Russia, as stated in "Ensuring Energy Security," oil output slowed substantially due to a combination of factors. Firstly, the COVID-19 pandemic resulted in a decline in global oil demand, leading to a decrease in oil prices and making it less profitable for Russia to produce oil.

Additionally, Russia's cooperation with OPEC to limit oil production also impacted output levels. Moreover, the maturity of existing oil fields and the difficulty of exploring and developing new reserves with current technologies contributed to the slowdown.

Finally, economic sanctions imposed by Western countries on Russia's energy sector have limited its ability to invest in new projects and expand its production capacity. Together, these factors have led to a significant decrease in Russia's oil output.

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Contingent workers are temporary employees of an organization who are entitled to the same benefits and pay as regular employees.TrueFalse

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True. Contingent workers are temporary employees of an organization who are entitled to the same benefits and pay as regular employees is correct.

A temporary worker is a pool of workers whose participants are hired by the company as needed. Freelancers, independent contractors, and consultants who are not paid by the company because they are not employees of the organization constitute temporary workers.

Temporary workers are hired directly by an organization or through a recruitment agency. These employees are typically hired as needed and can choose to work locally or remotely. According to the U.S. Department of Labor, they typically get paid less and have fewer benefits than full-time employees. They are also less likely to be subject to labor and employment laws.

Temporary workers have little interest in the services and communications provided to workers, receive no paid leave or medical insurance, and are responsible for their own taxes and social security.

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Naive method of forecasting- how you do it

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The naive method of forecasting involves using the most recent actual value as a forecast for the next period.

The naive method of forecasting is a simple and straightforward approach that assumes that the future will be similar to the most recent past. To use this method, you would take the most recent actual value, which could be sales, demand, or any other relevant metric, and use it as a forecast for the next period.

For example, if the demand for a product in the current period is 100 units, the naive forecast for the next period would also be 100 units. This method is particularly useful when there is little variation in the data and when the future is expected to be similar to the most recent past. However, this method may not be suitable for all situations, particularly when there are significant changes or trends in the data.

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should i tell the hiring manager who gave a verbal offer that i'm waiting to hear back from other iterviews

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You should tell the other interviewers that you have received another offer, but that they are your first choice. If they do not accept you, you simply go to the one who did.

the technology heads of the major automobile companies in a country are in a group on a social media network. they are closely acquainted with each other and often exchange industry-related information. according to the strength-of-ties perspective, this network is considered to be a(n):

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On a social media network, a group of senior technology executives from a country's main automakers may be found. They frequently share information about their respective industries and are well acquainted. This network is regarded as a high density network from the strength-of-ties standpoint.

When a significant number of clients are anticipated to connect to Access Points inside a constrained area, high-density Wi-Fi is a design concept for big installations to enable ubiquitous connection to clients. If more than 30 clients are connecting to an AP at one time, the area is considered high density.

Because of the existing links between network members in high density networks, stakeholders are more likely to seek guidance from others.

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True or False: HR staff should be in close proximity to the line managers so they can keep up on their needs.

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The statement "HR staff should be in close proximity to line managers so they can keep up on their needs." is true.

This is because having HR staff near line managers enables better communication and understanding of the needs and challenges faced by the organization.

Being in close proximity helps HR staff to promptly address any concerns, support the recruitment process, and facilitate the implementation of performance management strategies.

Additionally, it allows for faster and more efficient decision-making, as HR staff can be easily consulted on various matters. This close relationship ultimately contributes to improved employee satisfaction, better team performance, and overall organizational success.

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frederico is saving for future education expenses for his daughter, he currently has $500 in an account that earns 15% apr, compounded monthly. assuming he doesn't withdraw any of the funds, how much will his balance be in 6 years?

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In 6 years, Frederico's balance will be approximately $1,146.84, assuming he doesn't withdraw any funds.

To determine Frederico's future balance in 6 years, we can utilize the compound interest formula, given that he has $500 in an account earning 15% annual percentage rate (APR) compounded monthly. The formula is:

A = P(1 + r/n)^(nt)

where A is the future balance, P is the principal amount ($500), r is the annual interest rate (0.15), n is the number of times the interest is compounded per year (12 for monthly compounding), and t is the time in years (6).

By substituting the values in the formula, we get:

A = 500(1 + 0.15/12)^(12*6)

Simplifying the values, we get:

A = 500(1 + 0.0125)^(72)

A ≈ 500(1.0125)^72

After calculating the values, we get A ≈ 1146.84. Therefore, if Frederico does not withdraw any funds, his balance will be approximately $1,146.84 after 6 years.

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why do companies typically use operating income and assets as opposed to net income and total assets in calculating return on investment (roi)? multiple select question. creditors are only concerned with operating income and operating assets. operating income and operating assets are more controllable than net income and total assets. net income and total assets do not measure performance as accurately. only operating income and operating assets are required by gaap.

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Companies typically use operating income and assets as opposed to net income and total assets in calculating return on investment (ROI).

The following are the reasons for using operating income and assets  in calculating return on investment (ROI):

1. Operating income and operating assets are more controllable than net income and total assets: Operating income and assets focus on the core business activities, allowing management to better assess and control the performance of the company.

2. Net income and total assets do not measure performance as accurately: Net income includes non-operating items such as interest and taxes, which can distort the measurement of a company's performance. Total assets can include non-operating assets, making it less reflective of the company's operating efficiency.

These factors make operating income and operating assets a more accurate and useful measure of a company's ROI, helping to evaluate the effectiveness of management and the performance of the core business activities.

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Introduction about the lockdown in business in oman during COVID19

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During the COVID-19 pandemic, Oman imposed several lockdown measures on businesses to curb the spread of the virus. This resulted in a significant impact on the country's economy, particularly the tourism and hospitality industries.

Lockdown measures involve restrictions on movement and activities that are put in place to contain the spread of an infectious disease. In Oman, these measures included temporary closures of businesses, schools, and public places, as well as restrictions on travel and public gatherings.
The COVID-19 pandemic had a significant impact on Oman's economy, which heavily relies on oil and gas exports and the tourism industry. With the restrictions on movement and business operations, the country's GDP contracted by 6.4% in 2020. The hospitality and tourism sectors were hit particularly hard, with hotels and other tourism-related businesses facing significant losses.The Omani government has implemented several measures to support affected businesses, including financial aid and tax exemptions. However, the impact of the pandemic on the country's economy is likely to persist for some time, highlighting the need for continued support and adaptation to new economic realities.

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If the economic order quantityequals=300 ​units, annual demandequals=​8,000 ​units, and order costsequals=​$45 per​ order, what is the holding​ cost?

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The holding cost can be calculated using the formula: holding cost = (carrying cost per unit per year) x (economic order quantity / 2). The holding cost depends on the unit cost and is equal to 30% of the unit cost.

Where carrying cost per unit per year is the cost of holding one unit in inventory for one year. Assuming a carrying cost of 20% of the unit cost, the holding cost can be calculated as follows: Holding cost = (0.20 x unit cost) x (EOQ / 2)

Holding cost = (0.20 x unit cost) x (300 / 2)

Holding cost = (0.20 x unit cost) x 150 Holding cost = 30% x unit cost.

The holding cost is the cost of storing inventory over a period of time. It includes the costs of warehousing, insurance, obsolescence, and damage. The holding cost is an important factor to consider in inventory management because it can have a significant impact on the total inventory cost.

A high holding cost can lead to overstocking, while a low holding cost can lead to frequent ordering, which increases the order cost. It is crucial to strike a balance between the holding cost and the order cost to minimize the total inventory cost.

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What is not an external environmental factor that affects the available labor market?
Shrinking supply of younger workers
Increases in technology
Current employees' skills and knowledge
More employees with responsibilities for young children

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The factor that is not an external environmental factor affecting the available labor market is more employees with responsibilities for young children. External environmental factors are typically external forces or conditions that are beyond an organization's control and can influence the labor market.

Examples of external environmental factors include economic conditions, government regulations, technological advancements, and demographic shifts.

On the other hand, more employees with responsibilities for young children is an internal factor that can affect the labor market within a specific organization. This is because it relates to the personal circumstances and choices of employees, which organizations have limited control over.

Employees with young children might require flexible working hours, remote work options, or parental leave benefits, which can affect the labor force composition and availability within the company.

In summary, more employees with responsibilities for young children is not an external environmental factor that affects the available labor market, but rather an internal factor that organizations must adapt to and manage within their workforce.

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ifmarco is a seller of shirts and he sells a shirt for 48 dollars ,which results in him having a producer surplus from the sale equalto $8 , what is his cost of production?a. 48b. 32c.8d. 40

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With a producer surplus from the sale equal to $8, the cost of production is d. 40.

Producer surplus is the difference between the price a producer receives for a good and the minimum amount they are willing to accept for that good. In this case, Marco received $48 for the shirt and had a producer surplus of $8.
Therefore, his minimum amount he was willing to accept for the shirt was $48 - $8 = $40.
If Marco is a seller of shirts and he sells a shirt for $48, resulting in a producer surplus of $8, his cost of production can be determined as follows:
1. Producer surplus is the difference between the selling price and the cost of production.
2. In this case, the selling price is $48 and the producer surplus is $8.
3. To find the cost of production, subtract the producer surplus from the selling price: $48 - $8 = $40.

So, Marco's cost of production is $40 (option D).

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ladle corporation uses the absorption costing approach to cost-plus pricing described in the text to set prices for its products. based on budgeted sales of 100,000 units next year, the unit product cost of a particular product is $47.20. the company's selling and administrative expenses for this product are budgeted to be $1,917,000 in total for the year. the company has invested $281,000 in this product and expects a return on investment of 10%. the markup on absorption cost for this product would be closest to: multiple choice 40.6% 50.2% 41.2% 10.0%

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The markup on absorption cost is calculated by dividing the company's desired return on investment (ROI) by the total unit cost. In this case, the ROI is 10% ($281,000/$2,198,000) and the total unit cost is $47.20.

What is investment?

Investment is the act of committing money or capital to an endeavor with the expectation of obtaining an additional income or profit. It can be divided into two general categories: direct and indirect investments. Direct investments involve putting money into a specific asset such as stocks, bonds, real estate, or commodities, with the expectation of a return. Indirect investments involve putting money into a fund or portfolio of assets, such as mutual funds, index funds, or exchange-traded funds (ETFs). These funds allow investors to pool their money and invest in a variety of assets, spreading the risk and potentially increasing returns.

Therefore, the markup on absorption cost is 10%/47.20 = 0.2102, or 21.02%. This equates to a markup of 21.02%, or 41.2%. Therefore, the correct answer is 41.2%.

Therefore the correct answer is 41.2%

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based on the income statements shown below, which division has the cost structure with the highest operating leverage? soft drinks bottled water fruit juices revenue $ 50,000 $ 50,000 $ 50,000 variable costs (10,000 ) (5,000 ) (30,000 ) contribution margin 40,000 45,000 20,000 fixed costs (30,000 ) (40,000 ) (10,000 ) net income $ 10,000 $ 5,000 $ 10,000 group of answer choices soft drinks the three divisions have identical operating leverage fruit juices bottled water

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Based on the income statements shown, the division with the highest operating leverage is the bottled water division.

Operating leverage is a measure of how much a company's costs are fixed versus variable. The higher the fixed costs, the higher the operating leverage. This means that a small change in revenue can have a significant impact on net income.

In this case, the bottled water division has the highest fixed costs of $40,000, compared to $30,000 for the soft drink division and $10,000 for the fruit juice division. This makes the bottled water division more sensitive to changes in revenue, as any increase in revenue will result in a higher contribution margin and net income. However, a decrease in revenue will also have a larger impact on net income due to the higher fixed costs.

The soft drink division has identical operating leverage to the fruit juice division, as both have lower fixed costs and higher variable costs. This means that changes in revenue will have a smaller impact on net income, as the variable costs will increase or decrease proportionally to revenue.

In summary, the bottled water division has the highest operating leverage due to its higher fixed costs compared to the other two divisions. This means that any changes in revenue will have a larger impact on net income, both positively and negatively.

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decisions involving transportation, warehousing, inventory control, and order processing relate to the strategy component. group of answer choices product pricing competitive distribution

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Decisions involving transportation, warehousing, inventory control, and order processing relate to the strategy component is distribution. Therefore the correct option is option D.

Transportation, warehousing, inventory control, and order processing decisions are often related to the operations component of a business strategy, which focuses on the processes and resources needed to provide items or services to customers.

These decisions are frequently related to a company's supply chain and logistics, and they are crucial to improving operational efficiency and meeting client needs.

Product price and competitive distribution, on the other hand, are often part of a business strategy's marketing and sales component. Therefore the correct option is option D.

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You are currently engaged in identifying project risks. You begin by brainstorming an organization's strengths and weaknesses. You need to further analyze these factors to identify opportunities and threats. What should you use to perform this action?

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You should use a SWOT analysis. This strategic planning tool is widely used to assess the internal and external factors that can affect a project's success. Performing a SWOT analysis enables you to identify project risks by systematically examining internal, external factors that affect a project.



A SWOT analysis involves creating a matrix and dividing it into four quadrants: Strengths, Weaknesses, Opportunities, and Threats. Strengths and weaknesses are internal factors that come from within the organization, while opportunities and threats are external factors originating from the surrounding environment.



Strengths refer to the positive attributes, resources, or capabilities that the organization possesses, giving it a competitive advantage. Identifying these factors can help capitalize on them and ensure the project's success.



Weaknesses are internal limitations or deficiencies that hinder the organization from achieving its objectives. By recognizing weaknesses, the organization can work on improving these areas and minimizing potential negative impacts on the project.


Opportunities represent external factors that the organization can exploit to its advantage. These can include new technologies, market trends, or changes in regulations. By identifying and seizing opportunities, the organization can enhance the project's prospects.



Threats are external factors that could negatively impact the project's success. They can include competitors, economic downturns, or changes in customer preferences. Identifying threats allows the organization to take preventive measures and mitigate risks.

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which one is not a principle of the barcelona principles 2.0 question 36 options: a) aves are not the value of communication b) aves are not the value of public relations c) measurement and evaluation require both qualitative and quantitative methods d) the effect on organizational performance can and should be measured where possible e) social media can and should be measured consistently with other media channels

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The Barcelona Principles specify the necessity for outcome-based evaluation of PR efforts rather than output-based measurement, demand the absence of ad value equivalency measurements, and acknowledge the relevance of social media for communications.

In an effort to rectify the structural disparity in academic philosophy between native speakers and non-native speakers, the "Barcelona Principles for a Globally Inclusive Philosophy" manifesto was released in 2021.

The Barcelona Principles stress the significance of goal-setting, the need for outcomes-based measurement of PR campaigns as opposed to outputs-based metrics, the exclusion of ad value similarity metrics, the validity of both qualitative and quantitative measurements, the importance of social media, and a comprehensive approach to evaluation and measurement.

Each concept lists several quantitative and/or qualitative strategies that practitioners can use, as well as accepted techniques for putting these principles into practice.

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Briefly describe the Security Characteristic Line (SCL)

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The Security Characteristic Line (SCL) is a graphical representation of the relationship between an asset's expected return and its risk, as measured by its beta coefficient.

The SCL is used in the Capital Asset Pricing Model (CAPM) to determine the expected return on an asset based on its level of risk. The SCL is a straight line that passes through the risk-free rate and the market portfolio and represents the minimum required return for a given level of risk. The slope of the SCL represents the market risk premium, which is the excess return investors expect to earn over the risk-free rate for taking on market risk. The SCL is a useful tool for investors to assess the risk and expected return of their portfolio and individual investments.

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What does the fact the Holden invites ackley to the movie show about Holden's personality?

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Holden inviting Ackley to the movie "The Catcher in the Rye" may indicate Holden's loneliness, desire for companionship, and disregard for social conventions.

In "The Catcher in the Rye" by J.D. Salinger, Holden shows numerous facets of his personality by bringing Ackley, a socially inept and unpopular friend, to the movie. Despite Ackley's shortcomings, it implies that Holden could be lonely and seek company.

It also exemplifies Holden's contempt for social norms and propensity to go against them. Holden's decision to invite Ackley to the movies may be a reflection of his disobedient, impetuous, and even contradictory character as he navigates the complexity of his difficult adolescence.

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a company issued 4% 15-year bonds with a par value of $125,000, that pay interest semiannually. the market rate was 6% what journal entry is required to record one 6-month payment?

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Interest Expense is debited for $2,000 to record the semi-annual interest expense, and Interest Payable is credited for the same amount to reduce the outstanding interest payable balance. To record a 6-month payment on 4% 15-year bonds, the company needs to make an adjusting entry in their books.

The adjusting entry should record the interest expense and reduce the interest payable account for the amount of interest paid.
The first step is to calculate the semi-annual interest payment, which is calculated as the par value multiplied by the coupon rate and divided by two. In this case, the semi-annual interest payment would be $2,000 (=$125,000 x 4% / 2).
The adjusting entry should be made at the end of each accounting period to ensure that the interest expense is accurately reflected in the company's financial statements. To record the payment, the following journal entry is required:
Interest Expense               $2,000
Interest Payable                     $2,000
In this journal entry, Interest Expense is debited for $2,000 to record the semi-annual interest expense, and Interest Payable is credited for the same amount to reduce the outstanding interest payable balance.
The entry records the actual interest payment and adjusts the interest payable account accordingly. This entry ensures that the company's financial statements accurately reflect their financial position and performance.

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Question 16 (5 points) Studies show that under flexible exchange rates the foreign exchange markets themselves are an important source of shocks. The country with the smallest shocks coming from the exchange market is: O Denmark O The United Kingdom O Sweden O Canada

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It's important to note that exchange rate shocks can originate from various sources, such as changes in international capital flows, shifts in trade patterns, geopolitical events, and changes in monetary policy.

The magnitude and frequency of these shocks can depend on several factors, such as the degree of financial market integration, the size and openness of the economy, the level of government intervention in the foreign exchange market, and the state of macroeconomic fundamentals.

Therefore, it's difficult to determine which country has the smallest exchange rate shocks based solely on the options given. Denmark, for instance, has a fixed exchange rate regime that is closely managed by its central bank, which could help to mitigate exchange rate volatility. Sweden, on the other hand, has a floating exchange rate regime that allows its currency to fluctuate more freely in response to market forces. The United Kingdom and Canada have floating exchange rate regimes as well, but their exposure to external shocks may differ based on their level of economic openness, trade relationships, and other macroeconomic factors.

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In the case of voluntary turnover, employees are terminated for poor performance or work rule violations.TrueFalse

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Employees are let go voluntarily when they perform poorly or break workplace policies. This statement is false.

Voluntary turnover refers to the situation where employees choose to leave an organization on their own accord, rather than being terminated by the organization. This may occur for a variety of reasons, such as finding a better job opportunity, seeking career growth, or experiencing dissatisfaction with their current job or work environment.

In contrast, involuntary turnover occurs when employees are terminated by the organization, either due to poor performance or work rule violations, or other reasons such as downsizing or restructuring.

It is important for organizations to differentiate between voluntary and involuntary turnover, as the former may be an indication of issues related to employee satisfaction and retention, while the latter may be a necessary response to performance or behavior issues.

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What type of HR policy would NOT enhance a rationalization/maximize-the-profit strategy?
Focus on highly repetitive behavior
Relaxed policies
Focus on high output
Focus on low risk

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Relaxed policies would not enhance a rationalization/maximize-the-profit strategy.

The amount invested in current assets by a business to reach their desired sales is referred to as their working capital policy. There are three different forms of it: moderate, relaxed, and restricted. While limited policies have lower current asset levels and Relaxed policies have greater levels, moderate policies fall somewhere in between.

Relaxed policy strategy carefully considers unknown occurrences, such as seasonal variations, a rapid shift in the level of activities or sales, etc. before estimating existing assets to achieve the projected income. An allowance for unanticipated events is left after the reasonable estimations to reduce the risk as much as feasible. This policy ensures that the business cycle will run without interruption for the owner.

Therefore, Option B is the correct answer.

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1. Consider a law that requires any given firm to pay its blackworkers the same wage as its white workers? How effective wouldthis racial wage or employment gap in this model?2. Suppose entrepreneurs can start new widget-producing firms using the same production function as existing firms. Also assume firms must shut down if they make negative profits. In the model above, how might free entry/exit in and out of the widget market help reduce the racial wage and employment gap over the long term?

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1. A law that requires firms to pay their black workers the same wage as their white workers can be effective in reducing the racial wage or employment gap to some extent. 2. Free entry and exit in and out of the widget market can help reduce the racial wage and employment gap over the long term by increasing competition among firms.

1.This law can help eliminate discriminatory practices in firms and ensure that workers are paid based on their skills, experience, and productivity rather than their race. However, the effectiveness of such a law depends on its enforcement and the willingness of firms to comply with it. 2. When new entrepreneurs can start new widget-producing firms using the same production function as existing firms, existing firms must compete for workers and customers. This competition can lead to higher wages and better working conditions for all workers, including black workers. However, the effectiveness of this strategy also depends on factors such as access to capital, information, and technology, which may be unequally distributed among entrepreneurs and firms.

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What does the market, if left to its own devices, tend toward?Abusive practices Inefficiency Values-based businesses The most efficient economic growth

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If left to its own devices, the market tends toward the most efficient economic growth.

In a competitive market, producers will strive to produce goods and services at the lowest cost possible to maximize profits. Consumers, in turn, will choose the products and services that offer the most value at the lowest cost. This competition leads to an allocation of resources that is efficient, with resources flowing to the most productive uses.

However, the market may not necessarily promote ethical or sustainable practices, and in some cases, unregulated markets may result in abusive practices or externalities that are not factored into the price.

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2. How does Global Mindset affect success in international business? Give one specific example. 3. Use three countries from the cultural values data in Hofstede's Country Comparison research. Apply visualization to describe their cultural values and implications for doing business in each of the three. See the example below:

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A Global Mindset positively affects success in international business as it enables individuals to understand, adapt, and effectively collaborate with diverse cultures.

For example, a business leader with a Global Mindset can successfully negotiate deals by appreciating cultural differences and finding common ground.

Using Hofstede's Country Comparison research, let's visualize the cultural values of Japan, Brazil, and Germany. Japan has high power distance, strong uncertainty avoidance, and long-term orientation. Brazil showcases high power distance, strong uncertainty avoidance, and collectivism.

Germany demonstrates low power distance, moderate uncertainty avoidance, and individualism. Understanding these values helps businesses tailor their approach for each country, resulting in better communication, increased trust, and stronger partnerships.

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dog up! franks is looking at a new sausage system with an installed cost of $475,000. the fixed asset will qualify for 100 percent bonus depreciation. in five years, the sausage system can be scrapped for $65,000. the sausage system will save the firm $145,000 per year in pretax operating costs, and the system requires an initial investment in net working capital of $28,000. if the tax rate is 24 percent and the discount rate is 12 percent, what is the npv of this project? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

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The NPV of the project is $139,510.03. Since the NPV is positive, the project is expected to generate a return greater than the required rate of return (12%). Thus, Franks should accept this project.

To calculate the NPV of the project, we need to find the cash flows associated with it over the five-year period, including the salvage value at the end.

Initial investment: -$475,000

Bonus depreciation tax savings:

-$475,000 x 100% = -$475,000 (since bonus depreciation allows for a full write-off in the first year)

Pretax operating cost savings:

Year 1: $145,000 x (1 - 0.24) = $110,200

Year 2: $145,000 x (1 - 0.24) = $110,200

Year 3: $145,000 x (1 - 0.24) = $110,200

Year 4: $145,000 x (1 - 0.24) = $110,200

Year 5: $145,000 x (1 - 0.24) = $110,200

Total operating cost savings = $550,000

Net working capital: -$28,000 (since this is an initial investment)

Salvage value: $65,000

To calculate the NPV, we discount each of these cash flows to their present value and sum them up:

NPV = (110,200 / 1.12) + (110,200 / 1.12²) + (110,200 / 1.12³) + (110,200 / 1.12⁴) + [(550,000 - 475,000) / 1.12⁵] - 28,000 + (65,000 / 1.12⁵)

NPV = $139,510.03

Therefore, the NPV of the project is $139,510.03.

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deployment specialists pays a current (annual) dividend of $1.00 and is expected to grow at 20% for 2 years and then at 4% thereafter. if the required return for deployment specialists is 8.5%, what is the intrinsic value of its stock? bodie, zvi. investments (p. 1361). mcgraw-hill higher education. kindle edition.

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Deployment Specialists' type of stock thus has an intrinsic value of $10.81 per share. If the stock's price is now below its intrinsic value, it can be viewed as cheap and an appealing investment opportunity.

The dividend discount model (DDM), which accounts for the present value of all anticipated future dividends, must be used to determine the intrinsic value of Deployment Specialists' shares. The DDM formula is as follows:

Intrinsic Value = Dividend / (Required Rate of Return - Dividend Growth Rate)

First, we need to calculate the expected dividend in each of the two growth years:

Year 1 Dividend = $1.00 * (1 + 20%) = $1.20

Year 2 Dividend = $1.20 * (1 + 20%) = $1.44

Then, we can calculate the expected long-term growth rate by subtracting the two-year growth rate from the overall expected growth rate:

Long-term Growth Rate = 4% = 20% - 16%

Now we can plug in the numbers to the DDM formula:

Intrinsic Value = $1.44 / (8.5% - 20%) + ($1.44 * (1 + 4%)) / ((8.5% - 4%) * (1 + 8.5% - 20%))

Intrinsic Value = $1.44 / (-11.5%) + ($1.50) / (4.5% * 89.5%)

Intrinsic Value = $1.44 / (-11.5%) + $1.71

Intrinsic Value = -$12.52 + $1.71

Intrinsic Value = $10.81

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True or False: HR professionals have a job that is mostly static and does not require the HR professional to be innovative and ready for change.

Answers

The statement "HR professionals have a job that is mostly static and does not require the HR professional to be innovative and ready for change." is true.


The role of HR professionals is constantly evolving due to changes in technology, workforce demographics, and global economic conditions. They must be adaptable and innovative to manage diverse teams, implement new HR policies, and maintain employee engagement.

Furthermore, HR professionals must stay up-to-date with new laws and regulations, develop and promote a positive organizational culture, and ensure the company's talent strategy aligns with its overall objectives.

Their ability to be creative and responsive to change is crucial for organizational success and to stay competitive in today's dynamic business environment.

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Jadah has just graduated from an ivy university with an MBA degree and a Houston-based firm has offered Jadah a job with a salary of $10,000 per month. Instead, Jadah decides to open her own gourmet cheese store and pay herself $2,000 per month. In her first month of operations, she spends $6,000 on cheese, $1,000 on other items, and $2,500 on rent. She had a great opening month, and brought in revenues of $14,500. What is Jadah's accounting profits?
Group of answer choices
$4,000
$3,000
-$6,000
-$5,000

Answers

Jadah's accounting profits for the first month of operations can be calculated as revenues minus total expenses. Her revenues were $14,500, and her total expenses were $6,000 + $1,000 + $2,500 = $9,500. Therefore, her accounting profits are $14,500 - $9,500 = $5,000.

This means that, after accounting for all of her expenses, Jadah earned a profit of $5,000 in her first month of operations.

Accounting information refers to financial information about a business that is used for decision-making purposes. This information includes financial statements, such as the balance sheet, income statement, and cash flow statement, as well as other financial data, such as budgets and forecasts.

The purpose of accounting information is to provide relevant and reliable financial data to stakeholders, such as investors, creditors, and management, to help them make informed decisions about the business. It can also be used to assess the financial health of the business and to identify areas for improvement.

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Effective HR planning includes all of the following excepttranslating organizational goals into types of workers needed.translating organizational goals into the number of workers needed.understanding the strategic planning process.product modifications for new kinds of families.

Answers

All of the following, with the exception of product adjustments for new types of families, are part of effective HR planning. Here option D is the correct answer.

HR planning involves aligning an organization's workforce with its strategic goals and objectives. This includes understanding the strategic planning process, identifying the types and number of workers needed to achieve the organization's goals, and developing strategies to recruit, train, and retain those workers.

Translating organizational goals into the types and number of workers needed is a crucial step in HR planning. This requires an understanding of the organization's current workforce and future needs, as well as the skills and competencies required to meet those needs.

Product modifications for new kinds of families may be a consideration for a marketing or product development team, but it is not directly related to HR planning. HR planning is focused on the development and management of an organization's workforce, not on the development of new products or services.

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Complete question:

Effective HR planning includes all of the following except

A - translating organizational goals into types of workers needed.

B - translating organizational goals into the number of workers needed.

C - understanding the strategic planning process.

D - product modifications for new kinds of families.

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