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2 pages (500 words)

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... Calculations Wireless and Remote connectivity Challenge – Sanford QUESTION 1. Compute the company’s predetermined overhead rate
(a) -Pre -Determined overhead rate
Fixed Manufacturing Overhead
106,250.00
Basis of Allocation -Machine Hrs
85,000.00
1.25
Variable Manufacturing Overhead
0.75
Predetermined Overhead Rate
2.00
Question 2: Calculation of Overhead Costs
Manufacturing Overhead
Utilities
14,000.00
Budgeted Overhead
160,000.00
Insurance
9,000.00
Maintainance
33,000.00
Indirect Materials
7,000.00
Indirect Labour
65,000.00
Depreciation
40,000.00
Under –Applied overhead...

3 pages (750 words)

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... Value of Money Introduction The creation of added value is the main objective of investing in projects. Updating the server population may benefit the IT department and by extension the organization in some way. However, the cost of doing so may outweigh this benefit and so may not create added value for the company. It therefore means that the project must be evaluated to determine its profitability. In order to determine whether or not a project is beneficial or whether one project is more beneficial than another a number of project evaluation techniques are available for use in making decisions.
Project Evaluation Techniques
Capital budgeting decisions are based on an evaluation of the cash flows ...

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2 pages (500 words)

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... CALCULATIONS Accounting Calculations inserts his/her ASB 2507 Assignment (A). A presentation of conventional/Traditional absorption costing (TAC) profit/loss statement
Alpha Beta Gamma
£ £. £.
Selling volume 50000 40000 30000
Sale pricing per unit 45000 95000 73000
Variable cost 32000 84000 65000
Contributions/Unit 13000 11000 8000
Sales vol. X contribution per unit 650000 440000 240000
Machine dept 91636 __ 229091 183273
Assembly dept 254917 109000 72833
Profit/loss 303447 101...

1 pages (250 words)

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... Israel military calculations towards Iran Israel is worried that most areas occupied by over three quarters of its population is vulnerable to nuclear strikes from Iran ,an adversary in its vicinity that is pursuing nuclear weapons. This is because Iran has mastered how to continue its process of uranium enrichment by deceiving international atomic energy agency. In addition, there is also concern in Israel that Iran is complementing its missile capability for example shabaIII with nuclear weapon development. ShababIII missiles are capable of carrying nuclear war heads and the hypothetical launch site in western Iran makes most parts of Israel to vulnerable to surprise attacks. Iran is also...

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2 pages (500 words)

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... Average Calculations Table of Contents 2 Table of Contents 2 Overview 3 Simple Moving Average 3 Exponential Moving Average 4 Weighted Moving Average 4
Work Cited 5
Overview
The term ‘moving average’ is also referred as rolling average or running average. It can be defined as the average price of an investment policy over an explicit phase of time. It is one of the significant methods utilized for the calculation of momentum as well as it also provides a detailed overview about the stock price fluctuations. Hence, it is beneficial for analyzing the current as well as future trends and patterns of any investment. There are varied ways to calculate moving average for any particular investment namely sim...

13 pages (3250 words)

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... Report and Financial Calculations Table of Contents Executive Summary 3 Introduction 3 Workings and Calculations 4
Payback Period 4
Average Rate of Return (ARR) 5
Net Present Value (NPV) 5
Evaluation of Chosen Project 6
In Context of PESTEL Factors 7
In Internal Context 8
Ethical Considerations 8
Evaluation of HR Function Model 9
Conclusion 10
Recommendation 11
Reflective statement 12
Reference list 12
Executive Summary
Capital budgeting is the process of evaluating long term investment proposals and making the optimal decisions among them. A brief introduction has been provided regarding the capital budgeting process. Necessary calculations were done for calculating the payback period, net present...

10 pages (2500 words)

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... TAX ASSIGNMENT 2007/08 Case of Mr. Darling Letter addressed to Mr. Darling: Dear Mr. Darling Re: Impact of Budget for the year 2008 on your taxable income
We have made a review of the information provided by you on the status of your income and capital gains. For your review we have appended your income tax computation for the years 2007-08 and 2008-09. We write to advise you the following with respect to the applicability of the income tax and capital gains.
Capital Gains Tax
Major changes have been brought in the budget for the year 2008 in respect of the capital gains tax. The indexation allowance and taper relief which have so far been allowed are withdrawn and in that place a flat rate of 18 ...

5 pages (1250 words)
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... Ratio Analysis – Woolworths Introduction Financial ratio analysis is the process of identifying and analysing financial performance of organisations. Ratio Analysis measures and gauges the performance of an organisation over time. It is used to determine whether an organisation has performed better, the same or worse than previous years (Sutton, 2004). Financial ratio analysis is also used to measure the performance of an organisation against the performance of other companies in the industry. Financial ratios are calculated using various components of the balance sheet and income statement. This report provides the financial ratio analysis of Woolworths Ltd, a company listed in Australian Stock...

6 pages (1500 words)

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... Julyfest Limited Financial analysis Task One a) Trial Balance Julyfest Limited Trial Balance as at 31st May Account Debit (?) Credit (?) Sales 352,000 Purchases 150,000 Opening Inventory 65,000 Property 102,000 Cost of plant and equipment 98,000 Accumulated depreciation 1/6/2011 Property 20,000 Plant and equipment 10,000 Administrative expenses 38,000 10% Bonds 65,000 Equity shares (?1 each) 100,000 Share premium 30,000 Distribution costs 58,000 Trade receivables 87,000 Trade payables 37,000 Retained profits 1/1/2010 59,500 Cash and cash equivalents 63,500 Dividends paid 12,000 Total 673,500 673,500 Task Two b) Income Statement Julyfest Limited Income Statement For the year ended 31st May 2012 Sales ...

2 pages (500 words)

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... and Returns Calculations - Impact of Mathematics in Finance Financial calculations and theories are not complete and
effective unless they are linked with Mathematical concepts. Indeed there has been a
great impact of mathematics in the financial stream. The mathematical concepts has
enable the business doing individuals take more effective decisions related to financing,
investments, capital budgeting and so on. Moreover, an investment decision calls for a
careful evaluation of available alternatives, assessing of the reward and risk associated
with each of the alternatives that are believed to best serve the investment objectives at
hand.
For inst...

5 pages (1250 words)

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... of Contents Task 2 List of Assumptions along with Financial Calculations 2 Task 2 3 Marginal Costing and Contribution 3 Task 3 4 Breakeven point Calculations:- 4 Task 4 5 Financial Documents 5 a)Balance sheet 5 b)Income Statement 7 c)Cash Budget Statement 8 Task 5 10 Sales Pitch Explaining the Financial and Costing Data 10 i.Introduction 10 ii.Financial Analysis 11 a)Output: 11 b)Variable Cost: 11 c)Fixed Cost: 12 d)Gross Profit Margin: 12 e)Return on Sale: 12 f)The Break-Even Analysis: 12 g)Marketing 13 iii.Conclusion: 13 Reference List 14 Accounting and Finance Assignment Brief 2013/14 Semester 1 NEW HAIR CARE PRODUCT Task 1 List of Assumptions along with Financial Calculations Given below is the...

1 pages (250 words)

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... Turnover and Retention Turnover Cost From the Model for Costing Lost Productivity (Jackson & Mathis, , it is evident that employee turnover in an organization is quite costly. From the example provided of an employee earning a salary of $20,000 and getting benefits of 40% of the salary, the turnover cost amounts to $3500. This is quite costly for human resource management considering that there are other resultant costs that include the hiring and training of new staff. This kind of information is important for human resource professionals in underscoring the importance of effective employee retention strategies. It also informs the HR professionals that turnover can be a good aspect at times when...

7 pages (1750 words)

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... Calculations in finance and an essay. Please see to the questions and on the the Instructions box. Instructions Press plchas identified that it could make operating cost savings in
production by buying a new piece of machinery. There are two suitable pieces of machinery on the market, the Excel and the Super. The discount rate is 12%. The cash flows relating to Excel and Super are as follows:
Excel Super
£ £
Year 0 -20,000 -25,000
Year 1 4,000 8,000
Year 2 6,000 6,000
Year 3 6,000 5,000
Year 4 7,000 6,000
Year 5 6,000 8,000
Required:
(i) Calculate the Net Present Value (NPV) of Excel and Super;
Excel: £(380.51)
Super: £(2,086.21)
(ii) Which, if either, of these machines should be purch...

8 pages (2000 words)

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... for the Project Cash Flow Period Cash Flows NPV $35,366.48 Dec-09 556,000.00 Dec-10 128,000.00 Dec-11 440,000.00 Dec-12 550,000.00 NPV at 15% rate for a period of three years is $ 35, 366.48 Cost of Capital = Dividend per Share + Expected Future Earnings Market Price Share 313.38 + 0.16 21.56 14.72 = 15% Project Cost Flow Project cash flow PVIF@ 15% P.V Years 1 2 3 556000 128000 440000 0.8696 0.7561 0.6575 483497 96781 289300 Less initial capital 372000 +NPV 497578 IRR using 15% Years Cash flow PVIF@ 15% P.V 1 2 3 556000 128000 440000 0.8696 0.7561 0.6575 483497 96781 289300 869578 Using 10% Years Cash flow PVIF@ 15% P.V 1 2 3 556000 128000 440000 0.8696 0.7561 0.6575 505459.6 105779.2 330572...

13 pages (3250 words)

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... calculation Word count: 3318 Table of Contents Summary 3 Introduction 4 Question 4 Calculation of Payback period 4 Calculation of Average rate of return 6
Calculation of Net Present Value (NPV) 6
Question 2 7
Critical Evaluation and justification of the project recommended for investment 7
Non-financial evaluation 7
Internal context 7
External context 8
Financial evaluation 8
Question 3 10
Ethical consideration of the chosen project 10
Question 4 11
Evaluation of HR function model 11
Conclusion 12
Recommendation 12
Reflective statement 14
Reference List 15
Appendix 1 16
Appendix 2 16
Summary
The report aims at evaluating investment plan th...

4 pages (1000 words)

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... Norms - Assignment [School] Number] September BASEL Norms - Assignment a) The two major risk categories dealt with under the Basel 1 Accord were credit risk and market risk.
b) Basel 2 includes operational risk
c) Tier 3 capital protects against market risk.
d) Tier 3 capital will be eliminated because of Tier 3 capital was unsecured subordinated debt and net interim trading book profits. This capital turned out to be dud capital during the financial crisis as the profits which were booked temporarily to cover market risk turned out to be loses.
e) January 1, 2019 (Committee)
f) Proposals for the Basel 3 Accord include minimum capital requirements. By January 2015, common equity Tier 1 capital (CET1...

10 pages (2500 words)

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... a). Net Present Value is the discounted net value of a project within specified period of time. Net present value is present cash inflowsless present cash out flows. Positive net present value promises increase in value, which indicates greater return than those of rate of return and should be accepted. Zero net present value indicates that the return is equal to rate of return; therefore the project may be acceptable. However, when the net present value is negative, it indicates that return of the project is less than the required rate of return. Annual Cash flow 2012 2013 2014 2015 2016 2017 Sales ?0 ? 8,000,000 ?8,800,000 ?9,600,000 ?7,200,000 ?6,000,000 Variable costs ?0 ? 5,500,000 ?6,050,000...

2 pages (500 words)

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... Study – Bangladesh Power System Expansion With the information given below, please calculate the following WACC in real terms for each component, and for the project overall.
2 Exchange rate following purchasing power parity method for the years 2012 to 2016.
3 The international and domestic price contingency for the years 2012 to 2016.
The Project will finance the conversion from Open Cycle to Combined Cycle of 4 gas-powered generation facilities, namely, Khulna, Bhagbhari, Sylhet, and Shajibazaar. The capacity of the open cycle facilities for the 4 units is 150 MW, 100 MW, 150 MW, and 70 MW respectively. By implementing the conversion to combined cycle and introducing a steam cycle, the capacity wi...

Nursing-introduction to personal & professional development

4 pages (1000 words)

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... of Numeracy Skills in Nursing Introduction Numeracy involves the skills of working with numbers and knowing the ways to solve various mathematical problems and calculations. Mathematical calculations in drug therapy and medicine are a critical skill that must be demonstrated to new nurses so that they can administer medications and drugs safely. Currently, several schools of nursing are deeply engaged in mastering their nurses in numeracy skills for the correct calculations of several medications. These calculations do not only include the accurate measurements of dosage but these also include the simple understanding of multiplication and division, percentages, conversion of units and the handling...

ICP-MS

3 pages (750 words)

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... and RSD for each element Good RSDs are obtained for Cobalt. For Results please see appendix: Table 5. Standard addition method Standard addition method should only is done for samples having very low concentration of analyte. Further the point at which the intercept cuts at the negative X axis should give the correct value of concentration of analyte.
Internal Standard
Counts obtained for internal standard are consistent. Moreover in this experiment the role for internal standard is negated because the standard shows linear response with increase in concentration. Further internal standards are used in case there is a possibility of losses during extraction of samples etc. In this case there is no l...

Technical communication

2 pages (500 words)

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... Creating Formulas and Using them to perform Calculations in a Microsoft Excel Workbook Table of illustrations Table NumberPurpose
Table 1.0
Shows characters used in creating formulas
Table of figures
Figure Number
Purpose
Figure 1
Summarizes the steps followed in changing to manual calculations
Figure 2
Shows how the calculate now option appears
Introduction
Microsoft Excel helps in performing calculations using functions and formulas. Formulas are commands that instruct Microsoft Excel to carry out certain calculations. In responding to these calculations, Excel spreadsheet uses cell references and designated values. Microsoft Excel has functions that help perform calculations automatically and e...

TRuss

5 pages (1250 words)

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... Measuring Forces in Truss Members Using Strain Gages In the laboratory project, allowable load that can beapplied on each of trusses by considering the appropriate safety and failure modes are determined. This is done theoretically to determine causes of failure in the pin connections and theoretically calculating the yield that causes yielding of stressed members. Also, the critically buckling load for the trusses is calculated theoretically.
The laboratory project’s main objective was to become familiar with the operation and application of electrical resistance wire strain gages to measure stresses in simple structures and to experimentally determine the internal forces in simple structures, and ...

3 pages (750 words)

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... study Introduction The amount that is available for borrowing is 4 million and the amount that should be used in securities is 2 million. That means that there should be careful evaluated that will lead to the making of a decision on the best securities that can be acquired. The choice of securities will be determined by a number of factors. The factors include the risk involved in the securities and the rate of return that is associated with the returns.
The main aim of investing is usually to gain wealth. Therefore, the aim can only be achieved by making sound decisions. In choosing the securities that are to be included in the portfolio, the risk involved should be considered. Risk is usually mea...

5 pages (1250 words)

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... 1) Profitability Ratios: Profit Margin = Net Income Sales Profit Margin (2009) = 12,204 281,265 = 4.34% Profit Margin = 28,551 409,785 = 6.97%
Outcome: Favorable (Increase)
Return on Assets = Net Income / Total Assets
Return on Assets (2009) = 12,204 / 182,723 = 6.68%
Return on Assets (2010) = 28,551 / 316,946 = 9.01%
Outcome: Favorable (Increase)
Return on Equity = Net Income / Total Equity
Return on Equity (2009) = 12,204 / 32,902 = 37.09%
Return on Equity (2010) = 28,551 / 183,738 = 15.54%
Outcome: Unfavorable (Decrease)
Asset Utilization Ratios:
Receivable Turnover = Annual Credit Sales / Receivables
Receivable Turnover (2009) = 281,265 / 31,261 = 9.00
Receivable Turnover (2010) = 409,785 / 50,46...

Capital Expenditure Analysis

4 pages (1000 words)

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... Expenditure Analysis For Sale: House and Lot. Good Location. The project is a property (house and lot) in a good location that is for sale for $360,000. Further research shows that houses in the area sell for around that price; property rentals for similar assets go for $25,000 at the end of Year 1 and is expected to escalate at 10% yearly; and property values have gone up such that calculations show you can sell the house in five years for at least $500,000. Is this a good investment
There are four calculations one could use to answer this question: (1) payback, (2) discounted cash flow, (3) internal rate of return, and (4) opportunity cost. But before one could make these calculations, two other...

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