Tetap Teguh is currently operating at 78% capacity. Currently, total assets are RM49,800 and current sales are RM56,300. What is the firm's full capacity sales?

Answers

Answer 1

To calculate the firm's full capacity sales, we need to determine the maximum sales the firm can achieve at 100% capacity. firm's full capacity sales is RM49,800.18 Here's how we can calculate it:

Calculate the capacity utilisation rate: Capacity utilisation rate = Current sales divided by Total assets Calculate the firm's full capacity sales: Full capacity sales = Current sales divided by the full Capacity utilisation rate at full capacity

Let's perform the calculations: Capacity utilisation rate = RM56,300 / RM49,800 = 1.131 Full capacity sales = RM56,300 / 1.131 = RM49,800.18 Therefore, the firm's full current sales, rounded to the nearest whole amount, is RM49,800.

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Related Questions

You are a professional business consultant employed by Capita Global Sdn Bhd. Malaysian Airline System Berhad (MAS), has come to you requesting your advise on strategic planning of the firm. Below are the questions:
Introduction of Strategic Management
Background of MAS
Evaluate current objectives and strategies of an organization
Describe two major period of unprofitability of MAS
SWOT Analysis
Conduct industry analysis for MAS
Competitive Advantage of MAS
Describe the strategic options available
Make appropriate choice for MAS
Conclusion
Reference

Answers

Introduction of Strategic Management:

Strategic management is the process of formulating and implementing strategies to achieve an organization's goals and objectives. It involves analyzing the internal and external environment, setting objectives, formulating strategies, and monitoring their implementation to ensure long-term success.

Background of MAS:

Malaysian Airline System Berhad (MAS) is the national airline of Malaysia. It was founded in 1947 and has since played a significant role in connecting Malaysia to various domestic and international destinations. However, MAS has faced numerous challenges in recent years, including financial losses and intense competition in the aviation industry.

Evaluation of Current Objectives and Strategies:

To evaluate the current objectives and strategies of MAS, a thorough analysis of their goals and the actions they have taken to achieve them is required. This assessment should consider factors such as revenue growth, profitability, customer satisfaction, market share, cost management, and innovation. By assessing these areas, it will be possible to determine whether MAS's current objectives and strategies align with the dynamic market conditions and industry trends.

Description of Two Major Periods of Unprofitability:

MAS has experienced two significant periods of unprofitability in recent years. The first occurred in the late 2000s, primarily due to rising fuel prices, economic downturn, and increased competition. The second period of unprofitability was in the early 2010s, driven by various factors, including high operating costs, inefficient operations, and increased competition from low-cost carriers.

SWOT Analysis:

A SWOT analysis involves identifying an organization's strengths, weaknesses, opportunities, and threats. Conducting a SWOT analysis for MAS will provide insights into its internal capabilities and limitations, as well as the external factors that may impact its performance. This analysis will help identify areas where MAS can leverage its strengths, address its weaknesses, capitalize on opportunities, and mitigate potential threats.

Industry Analysis for MAS:

An industry analysis of the aviation sector will involve examining factors such as market size, growth rate, industry structure, competition, regulatory environment, technological advancements, and customer trends. This analysis will provide a comprehensive understanding of the opportunities and challenges faced by MAS within the broader aviation industry.

Competitive Advantage of MAS:

MAS needs to identify its competitive advantage, which sets it apart from other airlines. This can include factors such as superior service quality, a strong brand image, a well-established route network, exclusive partnerships, innovative offerings, or cost leadership. Understanding its competitive advantage will help MAS position itself effectively in the market and create value for its customers.

Description of Strategic Options:

MAS should consider various strategic options to address its challenges and achieve its objectives. These options may include market expansion, diversification into related industries, cost optimization, strategic partnerships or alliances, product/service innovation, customer segmentation, or operational efficiency improvements. Each option should be evaluated based on its feasibility, potential impact, and alignment with MAS's overall goals.

Appropriate Choice for MAS:

The appropriate strategic choice for MAS will depend on a careful evaluation of its internal capabilities, market dynamics, and competitive landscape. This decision should be based on a comprehensive analysis of the available options, considering the organization's strengths, weaknesses, opportunities, and threats. The chosen strategy should provide a sustainable competitive advantage and position MAS for long-term profitability and growth.

Conclusion:

In conclusion, strategic planning plays a crucial role in the success of Malaysian Airline System Berhad (MAS). By evaluating its current objectives and strategies, conducting a SWOT analysis, assessing the industry landscape, and identifying competitive advantages, MAS can make informed strategic choices to overcome challenges and achieve its long-term goals. By continuously monitoring and adapting its strategies to changing market conditions, MAS can position itself as a leading player in the aviation industry.

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What does it mean when turbotax says your refund was accepted.

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When TurboTax says "your refund was accepted," it means that the IRS has received your tax return and has acknowledged the receipt of your refund claim.

What does it mean when TurboTax says your refund was accepted?

When you file your tax return with TurboTax, you'll receive a notification when the IRS accepts your return. This means that the IRS has received your tax return and has acknowledged the receipt of your refund claim. If your refund was accepted, it means that the IRS has processed your tax return and found that you're eligible for a refund.

If your refund is approved, the IRS will issue your refund, usually within 21 days after your return has been accepted. This may take a little longer if there are errors on your tax return or if the IRS has any questions about your refund claim.

In conclusion, when TurboTax says "your refund was accepted," it means that the IRS has received your tax return and has acknowledged the receipt of your refund claim.

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variables that are included because they are believed to have a significant contrributory

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The variables that are included in a study or analysis because they are believed to have a significant contributory role are known as independent variables. Independent variables are factors that are manipulated or measured in an experiment in order to determine their effect on the dependent variable, which is the outcome or response variable of interest.


independent variables are included in research studies because they are believed to have a significant contributory role in the outcome being studied. Controlling for other potential factors and analyzing the relationship between independent and dependent variables is essential for establishing causal relationships and understanding the complex factors that contribute to outcomes.


 These variables, often called "influential variables" or "key variables," are included in an analysis or model because they are believed to have a considerable impact on the outcome or dependent variable. Identifying and incorporating these variables helps ensure that the analysis is accurate and meaningful, leading to more reliable conclusions and predictions.

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Caleb will be going to college next year. He would like to save some money for living expenses. Select the goal that would be the most helpful for him.

Answers

Answer:

save 100$ each check.

Explanation:

Concord Company recently signed a lease for a new office building, for a lease period of 11 years. Under the lease agreement, a security deposit of $12,230 is made, with the deposit to be returned at the expiration of the lease, with interest compounded at 5% per year. Click here to view factor tables What amount will the company receive at the time the lease expires? (Round factor values to 5 decimal places, e.g. 1.25124 and final answer to o decimalplaces, e.g. 458,581.) The company will receive 20917 SHow SOLUTION SHow ANSwER LINK TO TEXT LINK TOTEXT LINK TO TEXT VIDEO: SIMILAR EXERCISE Attempts: 1 of 2 used (b1) L2 Your answer is partially correct. Try again Marigold Corporation, having recently issued a $20,103,400, 15-year bond issue, is committed to make annual sinking fund deposits of $612,700. The deposits are made on the last day of each year and yield a return of 10%. Click here to view factor tables Will the fund at the end of 15 years be sufficient to retire the bonds? Future value of an ordinary annuity 636,401

Answers

The sinking fund at the end of 15 years will be approximately $9,773,404.10.

To determine if the sinking fund at the end of 15 years will be sufficient to retire the bonds, we need to calculate the future value of the sinking fund deposits.

Using the formula for the future value of an ordinary annuity:

FV = P * [(1 + r)^n - 1] / r

Where:

FV = Future value of the sinking fund

P = Annual sinking fund deposit ($612,700)

r = Interest rate (10% or 0.10)

n = Number of years (15 years)

Substituting the given values into the formula:

FV = $612,700 * [(1 + 0.10)^15 - 1] / 0.10

Calculating the values:

FV = $612,700 * [(1.10^15) - 1] / 0.10

Using the factor table for (1.10^15 - 1) / 0.10, we find the factor to be 15.937747.

FV = $612,700 * 15.937747

FV ≈ $9,773,404.10

Since this amount is less than the bond issue of $20,103,400, the fund will not be sufficient to retire the bonds.

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I give you loooots of points for this very important question......


Truth....or daaare???!

Answers

Answer:

truth

Explanation:

Answer:

Truth

Explanation:

If there is a large supply of a product, then production would be
decreased
increased
the same
none of the above

Answers

Production will increase.

A(n) _____ is a measure, such as price or quantity, that can take on different values at different times.

Answers

Answer:

Variable

Explanation:

Given that, Variable is defined as a mathematical term that is often time used in business operation as well, to describe a form of value or cost that is not stable or permanent, which can change over a given period of time.

Hence, in this situation, the correct answer is " a VARIABLE is a measure, such as a price or quantity, that can take on different values at different times.

Carrie burnside, single. earns $350.15 weekly. claims 1 allowance. what is the FIT withheld?

Answers

Answer: $29.00

Explanation: Use the federal income chart.

Claims 1 allowance is $29

Given:

Carrie burnside single weekly earns = $350.15

Find:

Claims 1 allowance

Computation:

According to Federal income tax withheld rules

Claims 1 allowance = $29 (If earning per week is $350 to $360)

So,

Claims 1 allowance = $29

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Carrie burnside, single. earns $350.15 weekly. claims 1 allowance. what is the FIT withheld?

If you knew nothing about your data except that it is a scale variable, which measure of central tendency would be the "safest bet"?

Answers

Answer:

Median

Explanation:

The scale variable refers to a variable in which it could be measured and contains a numerical value

In case when you dont know about the data except for scale variable so the safest bet for measuring the central tendancy should be median as it derives the mid-value of the given set of numbers

So here the median should be considered

Why would high start-up costs serve as a barrier to competition?​

Answers

More suppliers would enter the market to meet the challenge. A. Suppliers who could not become more efficient would be driven from the market.

Khalifa wants to expand his business further. He needs to know if he will make enough profit over the next six months. To do so, Khalid has suggested calculating his breakeven point, and his profit. Khalifa will need 100,000 AED to expand his business.
2a. Evaluate why it is a good idea for Khalifa to calculate his breakeven point.

Answers

Answer:

It is a good idea for Khalifa to calculate his breakeven point because the breakeven point will tell him at which point his sales revenue will cover his costs, giving him a profit of exactly zero.

In other words, once the breakeven point is reached, any additional sales will become profit for Khalifa, because the costs of the company will have already been covered.

The breakeven point is one of the most important financial measures, as for this reason, all firms should calculate it, whether small or large.

A sports coach running a junior coaching programme was interested in examining the differences in children's fitness performance scores across four different coaching regimes. She was particularly interested in whether the regime the child was in had a possible influence on the child's fitness performance score. She ran an ANOVA with the predictor variable 'coaching regime', which had four categories, 'Yellow group', 'Green group', 'Pink group' and 'Purple group'; the outcome variable was 'fitness performance score'. Her ANOVA had an F-statistic of 98.12 (p 0.02). How would you interpret her findings?

Answers

Answer:

A sports coach running a junior coaching programme was interested in examining the differences in children's fitness performance scores across four different coaching regimes. She was particularly interested in whether the regime the child was in had a possible influence on the child's fitness performance score. She ran an ANOVA with the predictor variable 'coaching regime', which had four categories, 'Yellow group', 'Green group', 'Pink group' and 'Purple group'; the outcome variable was 'fitness performance score'. Her ANOVA had an F-statistic of 98.12 (p 0.02). How would you interpret her findings?

Explanation:

Which of the following phrases best describes O*NET?


A financial guide for students

A job search site

A career exploration tool

A college information database

Answers

Answer:

Job search site

Explanation:

....................

Answer:

C.

A career exploration tool

Explanation:

Not sure if this is right, but it's the best guess

Which of the following must be
certified by the FAA to be hired at
airports?
A. Air-traffic controllers
B. CB radio operators
C. Police Dispatchers

Answers

That will be Air - traffic controllers

mark brainliest pls

Duties performed by warehouse case study class 11

Answers

The duties performed by a warehouse include receiving, storing, and distributing goods and materials efficiently and safely.

What are the primary responsibilities of a warehouse?

A warehouse plays a crucial role in the supply chain management of businesses. Its main responsibilities revolve around receiving, storing, and distributing goods and materials.

Upon receiving shipments, warehouse staff inspect the contents for quality and accuracy verifying that the delivered items match the corresponding documentation. They then organize and store the goods in designated locations within the warehouse ensuring efficient use of space

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At the close of a business presentation,
A. The audience tends to reach it's lowest point.
B. You should clearly indicate that you're about to finish.
C. You should avoid making it obvious that you're about to finish.
D. Audiences resent being reminded of the presentations main ideas

Answers

Answer:

B. You should clearly indicate that you're about to finish.

Explanation:

Business presentation is the method whereby a person with a business idea present to a group of people his plans and ideas he or she has in a given business setup. Most times, the aim was to solicit for fund to bring the business into fruitfulness or the fund for expansion etc.

At the close of an giving business presentation, the presenter should indicate that he or she is about to finish by stating the main point of the presentation in summary.

Scenario: Mary Willis is the advertising manager for Bargain Shoe Store. She is currently working on a major promotional campaign. Her ideas include the installation of a new lighting system and increased display space that will add $24,000 in fixed costs to the $270,000 in fixed costs currently spent. In addition, Mary is proposing a 5% price decrease ($40 to $38) will produce a 20% increase in sales volume (20,000 to 24,000). Variable costs will remain at $24 per pair of shoes. Management is impressed with Mary's ideas but concerned about the effects these changes will have on the break-even point and the margin of safety. Compute the margin of safety ratio for current operations and after Mary's changes are introduced (Round to nearest full percent)

Answers

Answer:

Instructions are below.

Explanation:

Giving the following information:

Before:

Fixed costs= 270,000

Selling price= $40

Unitary variable cost= $24

Sales in units= 20,000

After:

Fixed costs= 294,000

Selling price= $38

Unitary variable cost= $24

Sales in units= 24,000

First, we need to calculate the break-even point in units:

Break-even point in units= fixed costs/ contribution margin per unit

Before:

Break-even point in units= 270,000/ (40 - 24)

Break-even point in units= 16,875 units

After:

Break-even point in units= 294,000/14

Break-even point in units= 21,000 units

Now, the margin of safety ratio:

Margin of safety ratio= (current sales level - break-even point)/current sales level

Before:

Margin of safety ratio= (20,000 - 16,875)/20,000

Margin of safety ratio= 0.156

After:

Margin of safety ratio= 3,000/24,000

Margin of safety ratio= 0.125

Ahmad has some saving where do you suggest him to keep and why​

Answers

Answer:

It depends on how much money Ahmad has saved.

Explanation:

If he has a small amount of money, the best he can do is to put his savings on a safe investment, like treasury bonds, an ETF, or a safe and low risk bond of a trustworthy company.

If Ahmad has a larger amount of money, he can put his savings in riskier assets like stock, which could give him a higher return. He could also create a more diverse investment portfolio, with some of his savings going to safer, lower yield investment instruments, and the rest going to riskier, higher yield investment instruments.

Company A is raising $1 million at its initial public offering (IPO) by issuing 2,000 shares of stock?

Answers

The value of each share if you calculate it as $1,000,000/2,000 =500.

What is stock?

A stock is referred to as a kind of ownership of certain items. When an individual holds stocks or shares in the market they are entitled as a stockholder or shareholder and liable for some dividend.

The process of announcing new shares of stock to the people for the first time in a private company is known as an initial public offering (IPO). An IPO allows a company to request equity capital from the general public.

The business has grown as a pre-IPO private company with a very small number of proprietors who own the stock in the company.

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The complete question is Probably

Company A is raising $1 million at its initial public offering (IPO) by issuing 2,000 shares of stock. What is the value of each share if you calculate it as $1,000,000/2,000 =

Turtle Creek Partnership had the following revenues, expenses, gains, losses, and distributions:Sales revenue $ 58,000 Long-term capital gains $ 2,700 Cost of goods sold $ (14,000 )Depreciation—MACRS $ (5,750 )Amortization of organization costs $ (1,830 )Guaranteed payments to partners for general management $ (12,200 )Cash distributions to partners $ (4,600 )a. Given these items, what is Turtle Creek’s ordinary business income (loss) for the year?b. What are Turtle Creek’s separately stated items for the year? (Select all that apply.)

Answers

a. Turtle Creek’s ordinary business income (loss) for the year is $24,220. b.  For Turtle Creek, the separately stated items for the year include: 1. Long-term capital gains: $2,7002. Guaranteed payments to partners for general management: -$12,200

a. To calculate Turtle Creek's ordinary business income (loss) for the year, we will consider only the revenues and expenses related to the business operations. Here are the relevant items:

- Sales revenue: $58,000
- Cost of goods sold: -$14,000
- Depreciation—MACRS: -$5,750
- Amortization of organization costs: -$1,830
- Guaranteed payments to partners for general management: -$12,200

Ordinary business income (loss) = Sales revenue + Cost of goods sold + Depreciation + Amortization + Guaranteed payments

Ordinary business income (loss) = $58,000 + (-$14,000) + (-$5,750) + (-$1,830) + (-$12,200)
Ordinary business income (loss) = $24,220

b. Separately stated items are those items that need to be reported separately to the partners due to their potential impact on individual tax liabilities. For Turtle Creek, the separately stated items for the year include:

1. Long-term capital gains: $2,700
2. Guaranteed payments to partners for general management: -$12,200

These items need to be reported separately to the partners on their individual tax returns.

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Diana's gross pay was $890 and her total deductions were $89. What is her net pay?

Answers

Answer=801$

Explanation:

Greetings !

Diana's gross payment - Her deductions = Her net payment.

Thus, $890-$89=801$=Net payment of Diana.

Hope it heps!

The risk that the product will not perform as intended is called ____________.

Select one:
A. Financial risk
B. Opportunity risk
C. Functional risk/performance risk
D. Physical risk

Answers

The risk that the product will not perform as intended is called functional risk or performance risk. Functional risk or performance risk refers to the potential for a product to fail to meet its intended purpose or to perform at a subpar level. The correct option is c.

This type of risk is especially relevant in the development and testing of new products, where there may be uncertainties about the product's performance or the environment in which it will be used. Functional risk can result in negative outcomes such as customer dissatisfaction, lost sales, or damage to a company's reputation.
Financial risk and opportunity risk are not directly related to the performance of a product. Financial risk pertains to potential losses that could occur due to factors such as market fluctuations or mismanagement of financial resources. Opportunity risk is the potential loss that occurs from forgoing a different option that could have generated greater value.
Physical risk, on the other hand, pertains to the potential for harm or injury resulting from the use of a product, such as a defective car part causing an accident. While physical risk is a concern for many products, it is not the same as functional or performance risk.
In conclusion, functional risk or performance risk is the term used to describe the risk that a product will not perform as intended, potentially resulting in negative outcomes for the company.

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Because an insurance policy is a legal contract, it must conform to the state laws governing contracts which require all of the following elements EXCEPT?

Answers

All of the following, with the exception of conditions, are required.

Describe insurance.

One party will agree to compensate another in the event of a certain loss, damage, or injury in exchange for a fee in order to safeguard oneself from financial loss. It is a risk management technique that is typically used to guard against the danger of a hypothetical loss that may or may not materialise.

An underwriter, insurer, firm, or carrier is a company that provides insurance. A person or organisation that obtains insurance is known as a policyholder, whereas a person or organisation that the policy protects is known as an insured.

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Insurance

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Pretend you are President of the United States. The Citizens and the economy of the USA need financial assistance to get back on their feet. List and describe three fiscal Policies you would initiate (describe each policy in 3 sentences):

Answers

Assuming i am the President of U.S. and the country needs a financial assistance to get back on their feet. The most likely fiscal Policies we would initiate are the:

contractionary fiscal policyexpansionary fiscal policy

What do we call a Fiscal policy?

In economics, a fiscal policy refers to a governmental decision to increase or decrease taxation and spending. Most time, a Fiscal and monetary policy are often used together to influence the economy. But the fiscal policy can affect a company’s growth, hiring ability and taxes.

We have 3 types of fiscal policy which includes a neutral, expansionary, and contractionary fiscal policy. The neutral policy is one where government takes no steps to provide economic support because it feels the economy is healthy and stable, the expansionary fiscal policy mainly involves increasing spending or cutting taxes to prevent or end a recession or depression and the contractionary fiscal policy involves cutting spending or raising taxes to slow down unsustainable economic growth.

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Tips to study commerce

Answers

Answer:

just study commerce and ur good

_________ is a type of marketing and sales structure that lets salespeople earn money from their own sales and from the sales of other salespeople they introduce to the company

A.) social marketing
B.) network marketing
C.) telemarketing
D.) sales marketing

Answers

Answer:

B.) network marketing

Explanation:

B) Network marketing

B is the correct answer

Which of the following gas satisfaction measures wWhich of the following gas satisfaction measures would Be this for a company to use if they want to estimate how many customers might recommend them to their friends?

CES
CSAT
PSC
NPS​

Answers

Answer:

Simple Random Sample

Explanation:

Which is an example of a small business showing social responsibility to individuals within the company?
A. starting an office recycling program
B. developing sustainable business practice
C. donating money to local organizations
D. allowing employees to work from home

Answers

Starting an office recycling program, developing sustainable business practice and donating money to local organizations are examples of a small business showing social responsibility to individuals within the company.

Company have a social responsibility to the communities in which they operate. This includes ensuring that they are good corporate citizens, providing support for local causes and charities, and protecting the environment.

Sustainable business is a term that is often used to describe businesses that are environmentally friendly or that have a positive social impact.

Hence, the correct options are "A, B & C".

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ProbleY3K, Inc., has sales of $7,485, total assets of $3,530, and a debt-equity ratio of .35. Assume the return on equity is 16 percent. What is the company's equity multiplier? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) What is the company's total asset turnover? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) What is the company's profit margin? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) What is the company's net income? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

Y3K, Inc.'s equity multiplier can be calculated by dividing total assets by equity. Y3K, Inc. has an equity multiplier of 1.67, a total asset turnover of 2.12, a profit margin of 26.72 percent, and a net income of $943.04.

The company's total asset turnover can be calculated by dividing sales by total assets. The total asset turnover is 2.12 (rounded to two decimal places), obtained by dividing $7,485 (sales) by $3,530 (total assets). The company's profit margin can be calculated by multiplying the return on equity (ROE) by the equity multiplier. Given that the ROE is 16 percent and the equity multiplier is 1.67, the profit margin is 26.72 percent (16% multiplied by 1.67), rounded to two decimal places.

To calculate the net income, we need to multiply the profit margin by the total assets. Given that the total assets are $3,530 and the profit margin is 26.72 percent (0.2672 in decimal form), the net income is $943.04 (0.2672 multiplied by $3,530), rounded to two decimal places.

In summary, Y3K, Inc. has an equity multiplier of 1.67, a total asset turnover of 2.12, a profit margin of 26.72 percent, and a net income of $943.04.

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Other Questions
Which of the following best explains how the pattern of DNA arrangement in chromosomes could be used, in most cases, to determine if an organism was a prokaryote or a eukaryote?a. Prokaryotic DNA - Single circular chromosome | Eukaryotic DNA - Multiple linear chromosomesb. Prokaryotic DNA - Single linier chromosome | Eukaryotic DNA -Multiple linear chromosomesc. Prokaryotic DNA - Multi chromosome | Eukaryotic DNA - Single chromosomed. Prokaryotic DNA - Single circual chromosome | Eukaryotic DNA -Multiple linear chromosomes In evaluating a firm's financial performance, which of the following is the best to be compared with its current financial ratios? Suppose the Biden administration increases the corporate tax rate, resulting Bill's American BBQ Group (Bill) would pay additional tax amounts. The Federal Reserve also announce an increase in the risk-free rate. What happens to BILLs weighted average cost of capital (WACC)? Assume that two events are independent, and the BILLs beta is less than one.Corporate tax rate increase / Increase in risk-free rateA. Increase WACC / Increase WACCB. Increase WACC / Decrease WACCC. Decrease WACC / Increase WACCD. Decrease WACC / Decrease WACC Over the last two years, the company has already spent $100,000 on R&D for the newly proposed project. If the company would decide to actually go ahead with the project, the initial investment in the required equipment is expected to be $1,040,000. The new project is expected to run for 10 years, and after that point the project will be retired. The expectation is that at the end of the project, the assets of the project can be sold at a residual value of only 4% of their original value. Half of the total sum which the company has raised for this project has been borrowed at an interest rate equal to the average cost of debt of the company of 4.4%.In the first year the project is expected to generate a revenue of $624,000, and in the following years the revenues of this new project are expected to grow by 8.4% each year. Your team will have to determine the rest of the cash flows associated with this proposed project. The CFO of the company has indicated that it would be reasonable to expect that the operating costs of the new plant will be of similar proportion relative to the revenues as the companys other projects, which is at 65%. The new project would require an additional NWC of $20,800. Depreciation of the new equipment should be done in a straight-line over the full life of the project to a value of 0.Based on the already existing projects of the company, which will be running for the foreseeable future, the company is currently able to pay a stable yearly dividend of $5.00 per share. The company has 100,000 shares outstanding, and the shareholders require a return of 14.7%. The company is financed for 70% with equity, and 30% with debt (that is including the new loan). The effective tax rate for the company is 14%.If the company would decide to go ahead with the project, the yearly cash flows of the project can be partially paid out to the shareholders, and partially reinvested in other projects.The CFO has indicated that the company intends to have a payout ratio of 40%, such that each year 40% of free cash flows of the project will be paid as dividends.A demonstration of the expected yearly cash flows from the projectCalculate NPV and the IRR of the proposed project Find the rate of heat transfer by convection (kW) when: the convective heat transfer coefficient is 7.2 W/Km^2, the surface area is 16 m^2, the surface temp. is 317 K, and the surrounding temp. is 429 K. A company has 6475349 shares outstanding and the stock sells at$95.75 per share. What is the market value of equity? Throughout much of the 20th century, sociologists who studied minorities, race, and ethnicity assumed which of the following?a.The ultimate destiny of most minorities was assimilation.b.Migrant groups would resist assimilation.c.Migrant groups would want to retain their unique traditions and beliefs.d.The ultimate destiny of the United States was cultural pluralism. 2. What does a SWOT analysis of Panera Bread reveal about the overall attractiveness of its situation? Doesthe company have any core competencies or distinctive competencies?3. What are the primary components of Panera Bread A 57.0kg57.0 kg box hangs from a rope. What is the tension in the rope if:(A) The box is at rest? Express your answer with the appropriate units.(B) The box moves up a steady 4.60m/s4.60 m/s? Express your answer with the appropriate units.(C) The box has vy=4.60m/svy=4.60 m/s and is speeding up at 4.60m/s24.60 m/s2? The y-axis points upward. Express your answer with the appropriate units.(D) The box has vy=4.60m/svy=4.60 m/s and is slowing down at 4.60m/s24.60 m/s2? Express your answer with the appropriate units. Which of the following vulnerability scanning options requires the use of a "dissolvable agent"? - Windows Share Enumeration - TCP port scanning - Scan Dead