True/False: sourcing from multiple suppliers is used to ensure a degree of competition among suppliers and guarantee the possibility of a backup if a source fails to deliver.

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Answer 1

True. Sourcing from multiple suppliers is a common strategy used by many businesses to ensure a degree of competition among suppliers and guarantee the possibility of a backup if a source fails to deliver. By having multiple suppliers, businesses can benefit from increased bargaining power and potentially secure better pricing and terms.

Additionally, having multiple sources for critical goods and services can help mitigate the risk of disruptions to the supply chain, which can be especially important in industries with long lead times or high demand volatility. Overall, sourcing from multiple suppliers can provide businesses with greater flexibility and resilience in the face of unexpected events or changes in market conditions, making it a valuable strategy for many organizations.
True, sourcing from multiple suppliers is a strategy used to ensure a degree of competition among suppliers and guarantee the possibility of a backup if a source fails to deliver. By engaging multiple suppliers, companies can foster a competitive environment that may lead to better pricing, quality, and service. This competitive pressure encourages suppliers to improve their performance to retain the business of their clients.

Additionally, having multiple suppliers provides a safety net for companies in case one supplier fails to deliver, experiences production issues, or faces other unforeseen circumstances. This backup helps to reduce supply chain risks and maintain business continuity. In conclusion, sourcing from multiple suppliers is an effective approach to promoting competition among suppliers and safeguarding against potential disruptions in the supply chain.

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Related Questions

Which of the following is considered qualified property in the calculation of the deduction for qualified business income (§ 199A)? Please select the correct answer:
a. All business property (both tangible and intangible).
b. Tangible business property subject to depreciation.
c. Tangible property placed in service during the year, but not used in the production of qualified business income.
d. Fully depreciated tangible business property.

Answers

Your answer: b. Tangible  business property subject to depreciation.
In the calculation of the deduction for qualified business income (§ 199A), qualified property includes tangible business property subject to depreciation. This refers to property used in the production of qualified business income and is subject to depreciation over time.

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airlines measure revenues and cost by fuel used. number of passengers per flight. miles logged. available seat miles.\

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Airlines measure revenues and costs using a variety of metrics, including fuel used, number of passengers per flight, miles logged, and available seat miles. These metrics help airlines to understand their financial performance and make strategic decisions to improve profitability.

Fuel used is a key cost driver for airlines, and measuring fuel consumption helps them to manage costs and improve efficiency. Airlines may track fuel consumption by flight or over a longer period of time, and use this information to optimize routes and flight schedules to minimize fuel usage.

The number of passengers per flight and available seat miles are important revenue drivers for airlines. Airlines may track these metrics to monitor demand for their services and make pricing decisions to maximize revenue.

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The acid-test ratio is: Multiple Choice O Cash divided by accounts payable. O The liquidity ratio divided by the equity ratio. O Current assets minus inventory divided by current liabilities minus accounts payable. O Cash, net receivables, and current investments divided by current liabilities.

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The correct answer for the acid-test ratio is option D, which states that the ratio is calculated by dividing the sum of cash, net receivables, and current investments by the sum of current liabilities.

Acid-test ratio is also known as the quick ratio and is a measure of a company's ability to meet short-term financial obligations. By excluding inventory from the calculation, the acid-test ratio provides a more conservative view of a company's liquidity position.

A higher ratio indicates a better liquidity position as it implies that the company has enough liquid assets to cover its current liabilities.

However, a very high ratio may also indicate that the company is not investing its assets optimally.

Therefore, it is important to interpret the ratio in the context of the industry, company size, and other financial metrics.

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what is the accounting principle that doesn't allow companies to switch between lifo and fifo every year

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The accounting principle that doesn't allow companies to switch between LIFO and FIFO every year is the consistency principle. This principle requires that a company must use the same accounting method for similar transactions from year to year, which ensures comparability and consistency in financial reporting.

If a company changes its accounting method, it must disclose the change in its financial statements and explain the reason for the change. However, changes in accounting methods can have a significant impact on a company's financial statements, so they are not allowed to switch between LIFO and FIFO every year. This prevents companies from manipulating their financial statements to show better financial results, as the chosen method affects the reported figures, such as inventory values, cost of goods sold, and net income.

By following the consistency principle, companies can provide users of their financial statements with reliable and meaningful information for making informed decisions.
The accounting principle that prevents companies from switching between LIFO (Last-In, First-Out) and FIFO (First-In, First-Out) inventory valuation methods every year is called the Consistency Principle. This principle is part of Generally Accepted Accounting Principles (GAAP) and ensures that companies follow the same accounting methods and practices consistently from one accounting period to another.

The Consistency Principle is important because it allows for comparability and reliability in financial reporting. By maintaining a consistent approach, investors, creditors, and other stakeholders can easily compare the financial performance and position of a company over time. Switching between LIFO and FIFO frequently can lead to inconsistencies and manipulations in financial statements, as these methods can have significant effects on the reported cost of goods sold and inventory valuation.

In summary, the Consistency Principle is the reason companies are not allowed to switch between LIFO and FIFO inventory valuation methods every year, ensuring reliable and comparable financial information for stakeholders.

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What is the expected yield on the market portfolio at a time when Treasury bills yield 6% and a stock with a beta of 1.4 is expected to yield 18%?
A. 8.67%
B. 10.84%
C. 12.02%
D 14.57%

Answers

The correct answer is option C: 12.02%. The expected yield on the market portfolio at a time when Treasury bills yield 6% and a stock with a beta of 1.4 is expected to yield 18% is 12.02%.

To calculate the expected yield on the market portfolio, we need to use the capital asset pricing model (CAPM) formula:
Expected Return = Risk-free Rate + Beta * (Market Return - Risk-free Rate)
Given that Treasury bills yield 6%, we can assume that the risk-free rate is 6%. Also, we know that a stock with a beta of 1.4 is expected to yield 18%. We need to estimate the market return. Let's assume that the market is well-diversified and efficient, so we can use the historical average return of the market as a proxy for the expected return. Let's say that the historical average return of the market is 10%.
Putting these values in the CAPM formula, we get:
Expected Return = 6% + 1.4 * (10% - 6%) = 12.02%

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Exercise 7-64 Amortization of Intangibles On January 1, 2019, Boulder Investments Inc. acquired a franchise to operate a Burger Doodle restaurant. Boulder paid $225,000 for a 10-year franchise and incurred organization costs of $15,000. Required: 1. Prepare the journal entry to record the cash payment for the franchise fee and the organization costs 2019 3an 1 franchie25 00 Cash (Record purchase of franchise) 225,00 V 2019 Jan. 1 Organizational Costs150 Cash 15000 (Record organizational costs) Feedback 2. Prepare the journal entry to record the annual amo year. Amortization Expense Y Franchise (Record amortization of franchise) 2019 Dec. 31 Feedback

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The journal entry to record the annual amortization of the franchise for the year ended December 31, 2019 would be: Amortization Expense 22,500 Franchise 22,500.


1. Prepare the journal entry to record the cash payment for the franchise fee and the organization costs:

Date: January 1, 2019

a) To record the purchase of the franchise:
Debit: Franchise - 225,000
Credit: Cash - 225,000

b) To record the organizational costs:
Debit: Organizational Costs - 15,000
Credit: Cash - 15,000

2. Prepare the journal entry to record the annual amortization expense:

The franchise has a 10-year life, so the annual amortization expense for the franchise is $225,000 / 10 years = $22,500.

Date: December 31, 2019

Debit: Amortization Expense - 22,500
Credit: Accumulated Amortization - Franchise - 22,500

(Note: Organization costs are generally expensed as incurred, so there is no need to amortize them over time.)

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Which of the following describes an industry that experiences economies of scale, even at high levels of output? A. Monopolistic competition B. Perfectly competitive industry ws C. Oligopoly D. Natural monopoly

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An industry that experiences economies of scale, even at high levels of output, is a natural monopoly. (option D)

A natural monopoly occurs when an industry demonstrates decreasing average costs of production as output increases. In this type of industry, a single firm can efficiently produce goods or services at a lower cost compared to multiple competing firms.

The characteristics of a natural monopoly stem from high fixed costs and low marginal costs. Initial investments in infrastructure, such as extensive networks or specialized equipment, create substantial barriers to entry for potential competitors.

Once the infrastructure is established, the cost of producing additional units becomes relatively low, resulting in economies of scale.

Therefore, the correct answer is option D.

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the merit rating system bases the premiums for compensation on a particular company's safety record

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The merit rating system determines the premiums for compensation based on a specific company's safety record.

The merit rating system is a method used by insurance companies to determine the premiums a company pays for workers' compensation insurance. This system takes into account the company's safety record and past history of workplace accidents or injuries. The premise behind the merit rating system is that companies with better safety records should be rewarded with lower insurance premiums, while those with poor safety records may face higher premiums. Insurance companies analyze various factors such as the frequency and severity of workplace accidents, the company's safety policies and procedures, and its overall commitment to maintaining a safe working environment.

Companies that prioritize workplace safety and have implemented effective safety measures are more likely to have a favorable safety record, which can result in lower insurance premiums. By linking insurance premiums to safety performance, the merit rating system incentivizes companies to prioritize safety and implement measures to reduce the risk of accidents and injuries. It encourages companies to invest in safety training, provide adequate resources for maintaining a safe workplace, and continuously improve safety practices to reduce the likelihood of accidents. Ultimately, the goal is to create safer work environments and reduce the financial burden associated with workers' compensation claims for both companies and insurance providers.

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it is often said that agency data are not designed for research purposes. which of the following support that statement?

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Several factors support the statement that agency data are not designed for research purposes. These include:

1.

Focus: Agency data primarily serve administrative or operational purposes, such as managing programs, monitoring compliance, or making policy  decisions. The primary goal of agencies is to fulfill their administrative functions efficiently and effectively rather than collecting data specifically for research purposes. As a result, the data may lack certain attributes or variables that researchers require for rigorous analysis.

2. Data Collection Methods: Agencies typically collect data as part of their routine operations, often using standardized forms, databases, or systems. These data collection methods may prioritize efficiency and practicality over research design principles. As a result, the data may have limitations in terms of accuracy, completeness, or consistency, which can impact its suitability for research purposes.

3. Specific Context: Agency data are often collected within a specific context related to the agency's operations, regulations, or objectives. This context may not align with the specific research questions or hypotheses that researchers want to investigate. The data may lack the necessary variables or level of detail required to address research inquiries beyond the agency's administrative scope.

4. Legal and Ethical Considerations: Agency data collection is often subject to legal and ethical guidelines, such as privacy regulations or confidentiality requirements. These restrictions can limit the availability and accessibility of certain data elements or impose restrictions on how the data can be used for research purposes.

5. Data Quality and Documentation: Agency data may have varying levels of quality and documentation. Since the primary focus is not research, data validation, quality control, or documentation may not be as rigorous compared to research-oriented data collection efforts. Inadequate documentation and data quality can limit the reliability and validity of the data for research analysis.

While agency data may have limitations for research purposes, they can still be valuable sources for certain types of analysis, exploratory studies, or policy evaluations. However, researchers need to be aware of the potential constraints and limitations of using agency data and consider them in the context of their research objectives and methodologies.

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if the firms can collude, industry profits equal ________ and both firms would offer ________ rides each.
The table below shows the payoff matrix for two firms operating a Zipline duopoly in a resort town. If the firms can collude, industry profits equal Firm X's strategies 100 rides 60 rides $3,000 $1,000 100 rides $3,000 $6,000 Firm Y's strategies $6,000 $5,000 60 rides $1,000 $5,000 O a. $10,000; 60 O b. $6,000; 100 O c. $5,000; 60 O d. $5,000: 100

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If the firms can collude, the industry profits would be $10,000 and both firms would offer 60 rides each.

This is because when the firms collude, they can coordinate their strategies to maximize their joint profits. In this case, both firms would choose the strategy that results in the highest joint profit, which is for each firm to offer 60 rides. This would result in total industry profits of $10,000, which is the sum of the payoffs for both firms at the 60-ride level.
It's worth noting that collusion between firms can be illegal and can result in antitrust violations. In a competitive market, firms are supposed to compete with each other to provide the best products and services to consumers, which helps to keep prices low and quality high. When firms collude, they are essentially working together to limit competition and increase profits at the expense of consumers.

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Melody Manufacturing produces a hip-hop CD that is sold for $20. The contribution margin ratio is 40%. Fixed expenses total $9,200.
Instructions
a. Compute the vaiable cost pe unit.
b. Compute how many CDs Melody Manufacturing will have to sell in order to break even.
c. Compute how many CDs Melody Manufacturning will have to sell in order to make a target net income of $16,200.
*Please show work were calculations are necessary.

Answers

a. The variable cost per unit can be calculated using the contribution margin ratio.

In this case, the contribution margin ratio is 40%, which means that 40% of the selling price contributes towards covering the variable costs.

Therefore, the variable cost per unit can be calculated as follows:

Variable cost per unit = Selling price per unit × Contribution margin ratio

Variable cost per unit = $20 × 40% = $8

b. To break even, Melody Manufacturing needs to cover its fixed expenses. The contribution margin per unit is $8 (calculated in part a). Therefore, to cover the fixed expenses of $9,200, the number of CDs that need to be sold can be calculated as follows:

Break-even quantity = Fixed expenses ÷ Contribution margin per unit

Break-even quantity = $9,200 ÷ $8 = 1,150 CDs

c. To calculate the number of CDs Melody Manufacturing needs to sell in order to make a target net income of $16,200, we need to consider both the fixed expenses and the target net income. The contribution margin per unit is still $8. Therefore, the number of CDs can be calculated as follows:

Quantity to sell = (Fixed expenses + Target net income) ÷ Contribution margin per unit

Quantity to sell = ($9,200 + $16,200) ÷ $8 = 3,275 CDs

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please complete the assumptions section of the financial model. what is the closing customer base in 2020? review later 88,000 52,400 26,580 64,150

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The average customer base calculated in step 3, you can estimate the closing customer base in 2020. In this case, the closing customer base in 2020 is approximately 57,782.5 customers.

To complete the assumptions section of the financial model and determine the closing customer base in 2020, please follow these steps:
1. Begin with the given data points: 88,000, 52,400, 26,580, and 64,150. These might represent quarterly or monthly customer base numbers in 2020.
2. Add up these numbers to find the total customer base for the year 2020: 88,000 + 52,400 + 26,580 + 64,150 = 231,130.
3. Determine the average customer base in 2020 by dividing the total customer base by the number of data points (4 in this case): 231,130 / 4 = 57,782.5.
4. In the assumptions section of your financial model, you may want to include factors that could impact the customer base, such as market trends, seasonality, competition, and marketing efforts. For example, if your analysis shows that the customer base is heavily influenced by seasonal factors, you could assume that the customer base will grow during certain periods and decline during others.
5. Based on these assumptions and the average customer base calculated in step 3, you can estimate the closing customer base in 2020. In this case, the closing customer base in 2020 is approximately 57,782.5 customers.
Remember to keep your answer concise, and be sure to review the assumptions section later to ensure that all relevant factors have been considered in your financial model.

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consider a stock with a 50 percent probability of zero net earnings and a 50 percent probability of net earnings equal to $20 per share each year continuously in the future. furthermore, assume that people are risk averse. that is, they will have to be compensated for uncertainty accompanying variation in their future wealth. if the interest rate were 5 percent, how much would people be willing to pay for a share of this stock?

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People would be willing to pay $600 for a share of this stock given the probabilities, risk aversion, and interest rate.

The probability of zero net earnings and net earnings of $20 per share each year leads to an expected value of $10 per share. However, because people are risk averse, they require compensation for the variation in their future wealth. This compensation is known as the risk premium.

To calculate the risk premium, we need to look at the variation in future wealth. The standard deviation of the future wealth of the stock is $10, meaning that it can either be $0 or $20, leading to a variation of $10.

Using the formula for the risk premium, which is the product of the standard deviation and the coefficient of risk aversion, we can calculate the risk premium as follows:

Risk premium = standard deviation x coefficient of risk aversion

Assuming a coefficient of risk aversion of 2 (a common value used in finance), the risk premium would be $20.

Therefore, the price that people would be willing to pay for a share of this stock is the expected value plus the risk premium, which equals $30 ($10 expected value + $20 risk premium).

Given an interest rate of 5%, the price that people would be willing to pay for a share of this stock would be equal to the present value of $30. This can be calculated using the formula for present value, which is the future value divided by (1 + interest rate) to the power of the number of periods. If we assume that the future earnings are perpetual, the present value would be $600 ($30 / 0.05).

Therefore, people would be willing to pay $600 for a share of this stock given the probabilities, risk aversion, and interest rate.

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Calculate the critical Ratios (CR) (Enter at responses rounded to two decimal places) The following 5 overhaul jobs are waiting to be processed at Aviaric's Engine Repair Inc. These jobs were logged as they arrived. All dates are specified as planning calendar days. Assume that all jobs arrived on day 180 today's date is 200

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To calculate the critical ratios (CR) for the five overhaul jobs waiting to be processed at Aviaric's Engine Repair Inc., we need to first determine the job's lead time and slack time.

The lead time is the time required to complete a job, while the slack time is the amount of time the job can be delayed without delaying the entire project. To calculate these values, we need to use the following formulas:
Lead time = due date - arrival date
Slack time = lead time - processing time

Processing time is assumed to be 10 days for all jobs. Therefore, we can calculate the lead time and slack time for each job as follows:
Job A:
Arrival date = 180
Due date = 200
Lead time = 200 - 180 = 20
Slack time = 20 - 10 = 10

Job B:
Arrival date = 182
Due date = 204
Lead time = 204 - 182 = 22
Slack time = 22 - 10 = 12

Job C:
Arrival date = 185
Due date = 205
Lead time = 205 - 185 = 20
Slack time = 20 - 10 = 10

Job D:
Arrival date = 190
Due date = 208
Lead time = 208 - 190 = 18
Slack time = 18 - 10 = 8

Job E:
Arrival date = 193
Due date = 209
Lead time = 209 - 193 = 16
Slack time = 16 - 10 = 6
Now that we have calculated the lead time and slack time for each job, we can calculate the critical ratio (CR) for each job using the following formula:
CR = slack time / lead time

Therefore, the critical ratio for each job is:
Job A: CR = 10 / 20 = 0.50
Job B: CR = 12 / 22 = 0.55
Job C: CR = 10 / 20 = 0.50
Job D: CR = 8 / 18 = 0.44
Job E: CR = 6 / 16 = 0.38

So, the critical ratios (CR) for the five overhaul jobs waiting to be processed at Aviaric's Engine Repair Inc. are:
Job A: 0.50
Job B: 0.55
Job C: 0.50
Job D: 0.44
Job E: 0.38

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true/false. a cut-off that allows a continuous (quantitative) measure to be treated as a dichotomous (discrete) measure

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False. A cut-off that allows a continuous (quantitative) measure to be treated as a dichotomous (discrete) measure.

A cut-off that allows a continuous measure to be treated as a dichotomous measure is not a true statement. A cut-off point is used to define a threshold or boundary for categorizing data into discrete groups or categories. However, it does not change the nature of the measure itself. Continuous measures are those that can take on a range of values within a specific range or interval, while dichotomous measures are binary in nature, having only two possible values or categories. Applying a cut-off point helps determine which category a particular observation falls into based on the value of the continuous measure, but it does not change the underlying nature of the measure.

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what are three advantages of a wholly owned subsidiary? (check all that apply.)

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The three advantages of a wholly owned subsidiary are increased control, protection of intellectual property, and potential for higher profits.

Wholly owned subsidiaries refer to companies that are entirely owned and controlled by a parent company. They offer several advantages for businesses. Firstly, having a wholly owned subsidiary allows the parent company to have increased control over its operations, decision-making processes, and strategic direction.

This level of control enables better coordination and alignment with the parent company's overall objectives. Secondly, a wholly owned subsidiary provides greater protection for intellectual property and proprietary technology, as the parent company has full ownership rights and can enforce stricter measures to safeguard its assets.

Finally, a wholly owned subsidiary offers the potential for higher profits, as all profits generated by the subsidiary accrue directly to the parent company, providing a greater financial benefit.

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Strategies to improve an Accountable Care Organization's performance include all except: A. The ability to risk stratify populations B. Identification of and preferential referral to high-value providers C. Proactive management of patient attribution D. Paying physicians for participation

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Strategies to improve an Accountable Care Organization's performance include all except: D. Paying physicians for participation.

Explanation: Accountable Care Organizations (ACOs) are healthcare delivery models that aim to improve quality of care and reduce costs by coordinating and integrating healthcare services. To enhance an ACO's performance, several strategies can be employed. These include:

A. The ability to risk stratify populations: This involves identifying and categorizing patients based on their health risks to allocate appropriate resources and interventions.

B. Identification of and preferential referral to high-value providers: ACOs can identify providers who deliver high-quality care at a lower cost and encourage patient referrals to these providers.

C. Proactive management of patient attribution: ACOs actively manage patient attribution to ensure accurate assignment of patients to the appropriate healthcare providers within the ACO network.

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under the uniform securities act, in a civil suit brought by a purchaser against a seller that is alleged to have violated the uniform securities act, the burden of proof rests with the:

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Under the Uniform Securities Act, in a civil suit brought by a purchaser against a seller that is alleged to have violated the Uniform Securities Act, the burden of proof rests with the purchaser.

As the party initiating the lawsuit, the purchaser must present sufficient evidence to demonstrate that the seller violated the provisions of the Uniform Securities Act. This typically involves proving that the seller engaged in fraudulent or deceptive practices, misrepresented material facts, or failed to disclose required information when selling the securities.

The purchaser must provide substantial evidence to support their claim and meet the required legal standard in order to prevail in the lawsuit.

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describe what causes the differences in markup. what product category in a meat department tends to have the highest markups and profit? explain why this is the case? (30 points)

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Markup differences are caused by factors such as costs, demand, competition, and regulations. Marinated meats and pre-seasoned cuts in the meat department have high markups due to convenience and quality perception.

The differences in markup can be caused by a variety of factors, including the cost of goods, competition, and consumer demand. In general, products with a higher cost of goods will have a lower markup, while those with lower costs will have a higher markup. Additionally, products with high demand or limited competition will also tend to have higher markups.

In a meat department, processed or value-added products tend to have the highest markups and profit. This is because these products require additional labor and processing, which adds value and justifies a higher price. For example, ground beef has a lower markup compared to meat products that require additional processing, such as sausages, marinated meats, or ready-to-cook meat dishes.

Furthermore, products with longer shelf lives, such as cured or smoked meats, also tend to have higher markups as they require additional processing time and specialized equipment. These products can also be sold at a premium due to their distinctive flavors and textures, which appeal to a niche market of consumers who are willing to pay more for high-quality meats.

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An investor purchased 200 Intel put options for $1.46 each in June, with an expiration date in September and a strike price of $133. What is the maximum profit the investor can make (in $)? At what stock price on the expiration date does the investor break even?

Answers

A. The maximum profit the investor can make is $26,308.

B. A stock price of $131.54 or below on the expiration date, the investor would break even.

A. To calculate the maximum profit for the investor, we need to consider the price of the stock at the expiration date and the strike price of the put option.

The put option gives the investor the right to sell 100 shares of Intel at the strike price of $133 per share.

If the price of Intel on the expiration date is below the strike price of $133, the investor can exercise the put option and sell 100 shares at the higher strike price, thereby making a profit.

If the price of Intel on the expiration date is above the strike price of $133, the investor would not exercise the put option and the maximum loss would be the premium paid for the put option.

Assuming the investor holds all 200 put options until expiration and the price of Intel on the expiration date is $120, the investor's profit can be calculated as follows:

Profit = (Strike price - Stock price at expiration) x Number of options x 100 - Premium paid

Profit = ($133 - $120) x 200 x 100 - ($1.46 x 200)

Profit = $26,600 - $292

Profit = $26,308

B. To calculate the break-even point, we need to consider the price of the stock at expiration and the total cost of the put options.

The break-even point is the stock price at expiration that would result in neither a profit nor a loss for the investor.

If the investor sells the 200 put options at expiration for $0 (since they would not have any value if the stock price is above the strike price), the total cost of the put options would be:

Total cost = Premium paid per option x Number of options

Total cost = $1.46 x 200

Total cost = $292

The break-even point can then be calculated as follows:

Break-even point = Strike price - Premium paid per option

Break-even point = $133 - $1.46

Break-even point = $131.54

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in terms of organizational agility, technology refers to the methods, processes, systems, and skills used to

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In terms of organizational agility, technology refers to the methods, processes, systems, and skills used to rapidly adapt and innovate in response to changing market conditions, customer needs, and competitive pressures.

Methods refer to the various techniques and approaches used to achieve organizational agility, such as Agile development methodologies or lean management principles.

Processes are the structured workflows and procedures used to implement these methods, while systems refer to the software, hardware, and other technology tools used to support these processes.

Skills are the competencies and capabilities required by individuals and teams to effectively leverage technology and other resources to achieve organizational agility.

This includes technical skills such as software development and data analysis, as well as soft skills such as communication, collaboration, and adaptability.

Overall, technology is a critical enabler of organizational agility, providing the methods, processes, systems, and skills necessary for organizations to rapidly respond to changes in their environment and stay competitive in today's fast-paced business world.

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Most mortgages originated today area. ARMs.b. 15-year fixed.c. 30-year fixed.d. underwritten by banks.

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Most mortgages originated today are either 15-year fixed or 30-year fixed mortgages.

ARMs (Adjustable Rate Mortgages) are becoming less popular due to the uncertainty of future interest rates. Additionally, underwriting standards for mortgages have become more stringent after the housing crisis of 2008, leading to a decrease in subprime lending. While mortgages can still be underwritten by banks, other financial institutions such as credit unions and online lenders have also become major players in the mortgage industry. In general, the type of mortgage that is most appropriate for an individual depends on their financial situation and goals, as well as current interest rates. It's important for homebuyers to carefully consider their options and consult with a qualified lender before making a decision.

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I don’t know which account to make

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The income statement and statement of financial position for Lakshmi's business for the year ended 31 January 20-1 is given.

How to depict the income statement

Income Statement

Revenue

 Sales $10,000

 Commission receivable $30

 Total revenue $10,030

Expenses

 Cost of goods sold $5,000

 Rent $1,200

 Rates $300

 Insurance $1,000

 Wages $2,400

 Depreciation (office equipment) $1,000

 Depreciation (motor vehicles) $500

 Provision for doubtful debts $200

 Total expenses $9,400

Net income $630

Statement of Financial Position

Assets

 Current assets

   Cash $1,000

   Trade receivables $9,000

   Less: Provision for doubtful debts $180

   $8,820

   Inventories $1,200

   Office equipment $2,000

   Accumulated depreciation (office equipment) $400

   $1,600

   Motor vehicles $3,000

   Accumulated depreciation (motor vehicles) $750

   $2,250

   Total current assets $13,770

 Non-current assets

   Land and buildings $10,000

   Total non-current assets $10,000

 Total assets $23,770

Liabilities

 Current liabilities

   Trade payables $3,000

   Wages payable $320

   Rates payable $90

   Insurance prepaid $200

   Total current liabilities $3,610

 Non-current liabilities

   Bank loan $5,000

   Total non-current liabilities $5,000

 Total liabilities $8,610

 Equity

   Capital $15,160

   Retained earnings $0

   Total equity $15,160

 Total liabilities and equity $23,770

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why can't disney just make new movies and cartoons with black characters why change the old ones color

Answers

The decision to change the race or ethnicity of established characters in movies and cartoons is a complex and nuanced topic. While Disney has made efforts to create new movies and cartoons featuring diverse characters, it's important to recognize that changing the race of existing characters can be seen as a separate issue.

Here are a few points to consider regarding the topic:

Respect for Original Source Material: Characters in movies and cartoons often have a long history and are beloved by audiences. Changing their race or ethnicity can be seen as a departure from the original source material and may be met with resistance from fans who have a strong attachment to the characters as they were originally portrayed.

Cultural Authenticity and Representation: When introducing new characters with diverse backgrounds and experiences, it is important to ensure their portrayal is authentic and respectful. Creating new characters allows for the exploration of unique storylines and perspectives that better represent diverse communities.

Opportunities for New Stories: Creating new movies and cartoons with diverse characters provides opportunities for fresh narratives that can address contemporary issues and promote inclusivity. These stories can showcase the experiences and perspectives of underrepresented communities, helping to foster understanding and empathy.

Balancing Relevance and Tradition: It is a delicate balance for content creators to introduce diversity without erasing the heritage and cultural significance of existing characters. This can involve creating new characters alongside existing ones or reimagining storylines and adaptations that better reflect the diverse world we live in.

Ultimately, the decision to change the race of characters should be considered carefully, taking into account cultural sensitivity, audience expectations, and the goal of promoting inclusivity and representation. Content creators strive to strike a balance between honoring the legacy of established characters and embracing the need for diverse and inclusive storytelling.

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As it pertains to incomplete data as a limitation of financial statement analysis, which of the following describes the concept of conservatism?
A. Amounts should be measured at historical cost B. Prepare financial statement using alternative methods C. When in doubt, report accounts such that assets are understated, liabilities are overstated, the recognition of losses are accelerated, and recognition of gains are delayed
D. Provide accounting information on a timely basis

Answers

The correct option is option C, "When in doubt, report accounts such that assets are understated, liabilities are overstated, the recognition of losses are accelerated, and recognition of gains are delayed.

Conservatism is an accounting principle that suggests a cautious approach when dealing with uncertain or incomplete data. When there is doubt or uncertainty about the value or status of certain accounts, conservatism dictates that financial statements should be prepared in a way that understates assets, overstates liabilities, accelerates the recognition of losses, and delays the recognition of gains.

This approach helps to mitigate the risk of overstating the financial position of a company and provides a more conservative and reliable representation of the financial statements. By erring on the side of caution, conservatism aims to prevent potential overvaluation of assets and income, which could lead to misleading financial statements. Therefore, option C, "When in doubt, report accounts such that assets are understated, liabilities are overstated, the recognition of losses are accelerated, and recognition of gains are delayed," accurately describes the concept of conservatism in the context of incomplete data as a limitation of financial statement analysis.

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If an investor were to purchase a bond in the secondary market, which of the following would factor in calculating the total dollar amount paid for the bond?
1 Settlement date.
2 Dated date.
3 Coupon. 4. Scale.

Answers

If an investor were to purchase a bond in the secondary market, the following factors would typically be considered in calculating the total dollar amount paid for the bond:

1.

Date: The settlement date is the date on which the transaction is completed, and the buyer pays for and takes ownership of the bond. The price of the bond may be adjusted based on the settlement date, taking into account factors such as accrued interest.

2. Dated Date: The dated date is the date from which interest begins to accrue on the bond. It is the starting point for calculating the bond's interest payments. However, the dated date itself does not directly affect the total dollar amount paid for the bond at the time of purchase.

3. Coupon: The coupon is the interest rate stated on the bond, typically expressed as an annual percentage. The coupon rate is used to calculate the periodic interest payments that the bondholder will receive. The coupon rate, along with the bond's face value or principal amount, is used to determine the amount of interest income the investor will earn from the bond.

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pay-per-conversion generates revenue each time a website visitor is converted to a customer.
T/F

Answers

The correct answer is True. Pay-per-conversion is a pricing model in online advertising where revenue is generated each time a website visitor is converted into a customer. Unlike traditional advertising models such as pay-per-click (PPC) or pay-per-impression (CPM).

Where advertisers pay for clicks or impressions regardless of the resulting conversions, pay-per-conversion focuses on the actual outcome of the advertising campaign. With pay-per-conversion, advertisers only pay when a specific action is taken by the visitor that demonstrates a successful conversion, such as making a purchase, subscribing to a service, or completing a desired action. This model aligns the interests of advertisers and publishers, as advertisers are only charged when a meaningful conversion occurs, indicating a higher likelihood of return on investment. To track conversions, advertisers typically use tracking codes or pixels that are placed on their website or landing pages.

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The quantity of money demanded to satisfy transactions needs: a. is...The quantity of money demanded to satisfy transactions needs: a. is intended for unexpected expenditures.b. increases with the level of real GDP.c. decreases with the level of real GDP.d. is unrelated to either national income or the interest rate. e. varies inversely with the liquidity demand for money.

Answers

The correct answer is (b) - the quantity of money demanded to satisfy transactions needs increases with the level of real GDP. This is because as the economy grows and real GDP increases, the volume of transactions also increases, requiring a greater demand for money to facilitate those transactions. This is a natural consequence of economic growth and expansion.

The other options are incorrect: (a) transactions needs can include unexpected expenditures, but this is not the primary driver of the quantity of money demanded, (c) the quantity of money demanded would not decrease with real GDP, as this would suggest a contraction in economic activity and transactions, (d) while national income and interest rates can impact the overall demand for money, they are not directly related to transactions needs, and (e) liquidity demand for money is a separate concept from transactions needs, and may vary based on a variety of factors including risk tolerance and market conditions.

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how much would it cost to buy a cover for the pool that costs $0.30 per square foot? enter your answer in the box.

Answers

For Part A the pool is 70 feet long by 35 feet wide and Part B cost to buy a cover for the pool is $735.

Part A

Length of the pool: 20 inches × (7 feet / 2 inches) = 70 feet.

Width of the pool: 10 inches × (7 feet / 2 inches) = 35 feet.

The actual dimensions of the pool are 70 feet in length and 35 feet in width.

Part B:

Area of the pool = Length * Width = 70 feet × 35 feet = 2450 square feet.

Cost of the cover = Area of the pool × Cost per square foot = 2450 square feet × $0.30/square foot = $735.

Hence, it would cost $735 to buy a cover for the pool at a cost of $0.30 per square foot.

The question is incomplete, complete question is "The blueprint of a pool has a scale of 2 inches equals 7 feet. The scale drawing is shown below. the length is 20 and the width is 10 Part A What are the actual dimensions of the pool? Enter your answers in the boxes. Blueprint: 10 in. Actual: ft Blueprint: 20 in. Actual: ft Part B How much would it cost to buy a cover for the pool that costs $0.30 per square foot? Enter your answer in the box. $"

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redistributive policies and programs are those through which ______.

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Redistributive policies and programs are those through which resources and wealth are allocated from one group or sector to another in order to reduce inequalities and promote a more equitable distribution of goods and services.

Redistributive policies and programs are those through which resources and wealth are allocated from one group or sector to another in order to reduce inequalities and promote a more equitable distribution of goods and services. policies and programs are implemented by governments or organizations to address social and economic disparities. They seek to transfer resources, such as income, wealth, or opportunities, from wealthier or more privileged individuals or sectors to those who are less advantaged.

These policies and programs can take various forms, including progressive taxation, welfare programs, social security systems, minimum wage laws, public education initiatives, and healthcare subsidies. Through these mechanisms, resources are collected from those with higher incomes or assets and allocated towards providing assistance, support, or services to individuals or groups facing economic challenges or disadvantages.

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