A business compares its divisions using return on investment (ROI), and bonuses for division managers are decided based on this assessment. The optimum technique of comparison would be to use the asset's current cost method of measurement.
An evaluation of an investment's financial worth in relation to its cost. ROI is calculated as (profit – cost) / cost. Your return on investment (ROI), or percentage of profit produced from a $1,000 investment, would be 0.9, or 90%.
An investing calculator is frequently another way to get this information. Divisional ROI is computed by deducting the division's operating costs from its earnings and dividing the result by those same costs. The ROI % for the division should be calculated by multiplying the resulting decimal value by 100.
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In a __________ structure, teams or workgroups, either temporary or permanent, are created to improve collaboration and work on common products.
In a matrix structure, teams or workgroups are created to improve collaboration and work on common products.
This structure is characterized by the combination of functional and project-based reporting lines, allowing individuals to have more than one supervisor. Matrix structures are often used in organizations that work on complex projects with multiple functional areas involved. By creating temporary or permanent teams, matrix structures aim to increase communication and collaboration across functional areas, leading to more efficient and effective project completion.
This structure also allows for more flexibility in resource allocation, as individuals can be pulled from different functional areas to work on specific projects. However, matrix structures can also lead to confusion and conflict if not managed properly. It is important to establish clear roles and responsibilities for team members and ensure that communication channels are open and effective. Overall, the matrix structure is a useful tool for organizations that need to balance functional expertise with project-based collaboration.
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During the current period, Schmidt Corp. sold equipment for $1,000, purchased new equipment for $10,000, paid an accounts payable balance of $2,500, and sold an investment costing $2,000 for $2,800. Net cash from investing activities is (indicate the amount and whether it is a net inflow or outflow)
The net cash from investing activities is a net outflow of $10,700, indicating that the company spent more on investing activities than it received during the current period.
The net cash from investing activities during the current period can be calculated by subtracting the cash outflows from the cash inflows. Schmidt Corp. received $2,800 from the sale of an investment, which is a cash inflow.
However, it also sold equipment for $1,000, which is a cash outflow. The purchase of new equipment for $10,000 is also a cash outflow. Finally, paying off an accounts payable balance of $2,500 is a cash outflow.
So, the net cash from investing activities can be calculated as follows:
Net cash from investing activities = Cash inflows - Cash outflows
= $2,800 - ($1,000 + $10,000 + $2,500)
= $2,800 - $13,500
= -$10,700
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Gina Dare, who wants to be a millionaire, plans to retire at the end of 40 years. Gina's plan is to invest her money by depositing into an IRA at the end of every year. What is the amount that she needs to deposit annually in order to accumulate $1,000,000
Assuming an annual interest rate of 6%, Gina needs to deposit approximately $8,441 annually to accumulate $1,000,000 in 40 years.
To calculate the annual deposit, we can use the future value formula for an annuity: FV = PMT x [(1 + r)^n - 1] / r, where FV is the future value, PMT is the annual payment, r is the annual interest rate, and n is the number of periods (in this case, 40 years).
Plugging in the given values, we get: $1,000,000 = PMT x [(1 + 0.06)^40 - 1] / 0.06. Solving for PMT, we get an annual deposit of approximately $8,441.
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During negotiations for a commercial lease, the tenant expresses concerns about the construction costs needed to transform the space to fit their business. If the owner is willing, what would be the most appropriate concession to offer for this scenario
During negotiations for a commercial lease, if the tenant expresses concerns about the construction costs needed to transform the space to fit their business, the most appropriate concession the owner could offer would be: a Tenant Improvement Allowance (TIA).
A Tenant Improvement Allowance is a financial contribution made by the landlord towards the costs of the construction or renovation of the leased space. This allowance helps offset the tenant's expenses for modifying the space according to their business needs. The TIA can be provided in various ways, such as a lump sum amount, a per-square-foot allowance, or a reimbursement of the actual construction costs.
In offering a TIA, the landlord should negotiate with the tenant on the specific terms, including the amount and disbursement method. It's essential to include these details in the commercial lease agreement to ensure both parties are clear on their obligations and expectations. Additionally, the lease should outline any specific construction or renovation requirements, such as obtaining necessary permits or adhering to specific design guidelines.
By offering a Tenant Improvement Allowance, the landlord can address the tenant's concerns about construction costs and provide an incentive for the tenant to sign the lease. This concession helps create a mutually beneficial arrangement for both parties, as the tenant can modify the space to fit their business, while the landlord secures a long-term tenant for the commercial property.
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For the year just ended, a firm had average accounts receivable of $90,000 and total credit sales of $1,447,192. Throughout the year, a factor purchased accounts receivable from the firm at a 1% discount. What was the firm's effective annual interest rate paid on its receivables financing
The firm's effective annual interest rate paid on its receivables financing is approximately 16.67%.
To determine the firm's effective annual interest rate paid on its receivables financing, we need to consider the average accounts receivable, total credit sales, and the 1% discount applied by the factor.
1. First, calculate the firm's daily sales. To do this, divide the total credit sales by the number of days in the year:
$1,447,192 / 365 = $3,966.56
2. Next, calculate the average collection period. This is the average number of days it takes for the firm to collect payment on its accounts receivable. To calculate this, divide the average accounts receivable by the daily sales:
$90,000 / $3,966.56 = 22.68 days
3. Now, calculate the total amount of accounts receivable sold to the factor by multiplying the average accounts receivable by the discount rate:
$90,000 * 0.01 = $900
4. Determine the effective interest rate per collection period by dividing the total amount of accounts receivable sold to the factor by the average accounts receivable:
$900 / $90,000 = 0.01 or 1%
5. Finally, calculate the effective annual interest rate. To do this, use the formula (1 + interest rate per period)^(number of periods) - 1:
(1 + 0.01)^(365/22.68) - 1 ≈ 0.1667 or 16.67%
So, the firm's effective annual interest rate is approximately 16.67%.
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as a motivational force in the organization, managers must consider how they can design jobs that lead to empowered, motivated, and satisfied employees. What is job enlargement
Job enlargement is a motivational strategy that involves increasing the scope of a job by adding tasks and responsibilities that are similar in nature and at the same level of difficulty. The aim of job enlargement is to provide employees with more variety and autonomy in their work, which can lead to increased motivation and job satisfaction.
By expanding the tasks assigned to an employee, job enlargement can also help to alleviate boredom and reduce the risk of burnout. It can also be a useful tool in addressing skill shortages or gaps in the organization, as employees can be given the opportunity to develop new skills through their expanded job duties.
However, it is important to note that job enlargement should not be used as a quick fix for job dissatisfaction or low motivation. It is important for managers to consider the unique needs and preferences of their employees when implementing job enlargement, and to ensure that the added responsibilities do not become overwhelming or unmanageable.
In summary, job enlargement is a technique that managers can use to empower, motivate, and satisfy employees by expanding the scope of their work and providing them with more autonomy and variety.
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Produce CASE STUDY Background Mike Ibañez had a big decision to make. He had inherited his family's vegetable business. Ibañez Produce grew, harvested, packaged, and sold produce. Mike was concerned because a large storm was approaching and he had to make a decision regarding his lettuce crop. Ibañez Produce had around 10,000 acres in cultivation and lettuce made up around 25% of the total crop value. Mike's concern was that the storm might bring severe winds and dust. Rain was not a major concern, but high winds and blowing dust wreaked havoc on the lettuce crop. The high winds generally tear apart the lettuce and the dust renders the crop almost unsalvageable. The Solution From his father's records, he had read that if he applied water combined with standard waxa residue would form on the lettuce and the crop could be saved. He knew that if the storm dia come he could lose the whole crop if it was not protected. However, he didn't know how much the solution would cost him or how much he should pay. The Outcomes Mike knew that the storm had about a 50/50 chance of hitting. He also knew that if the storm did not hit and he did protect his crops the residue left might cause problems during harvest. After conversing with his Co-op Extension officer, he had surmised that the probability of the residue causing problems was around 30%. If this problem did occur, Mike would get only 80% of his normal crop. Mike usually sold his lettuce with a $0.15 margin per pound. Normally the crop was around 800,000 pounds. If he did not protect his crop and the storm hit, he maybe could salvage 10% of the lettuce. However, if he did protect and the storm did hit, there was no guarantee that 100% of the crop would be saved. In fact, from the information the Co-op Extension officer had provided, there was around a 60% chance that he would lose part of his crop even if he did take protective measures and the storm hit. He surmised that three scenarios could occur in this case: a 90% salvage rate, a 75% salvage rate, and a 50% salvage rate. Mike thought these three scenarios had equal probability. Mike's Decision Problem Mike also knew that if he harvested right now he could make $0.05 margin per pound on the total crop of lettuce. Overall operating costs were about the same in any situation. Mike needs to know if he should protect his crop and a starting point on what he should pay. Help Mike with his dilemma. Discussion Questions 1. What is Mike's expected gross revenue if he harvests now? What is his gross expected revenue if he does nothing and waits out the storm? What are the risks in choosing to harvest now or in waiting out the storm? 2. Is it a good idea for Mike to protect his crop? Why? What is the maximum that Mike should pay for the protection? Optimal Information Area Lexicon of Decision Analysis http://faculty.fuqua.duke.edu/daweb/lexicon.htm
Mike's expected gross revenue if he harvests now would be $40,000 (800,000 pounds of lettuce x $0.05 margin per pound). If he does nothing and waits out the storm, there is a 50% chance he could lose 90% of his crop, resulting in a gross revenue of $108,000 (72,000 pounds of salvageable lettuce x $0.15 margin per pound) and a 50% chance he could salvage only 10% of the lettuce, resulting in gross revenue of $12,000 (8,000 pounds of salvageable lettuce x $0.15 margin per pound).
The risks in choosing to harvest now are that he would miss out on potential profits if the storm doesn't hit, but he would also avoid the risk of losing his entire crop if the storm does hit. If he waits out the storm and does nothing, he risks losing a significant portion of his crop or salvaging only a small amount.
It is a good idea for Mike to protect his crop since it would increase the chances of salvaging more lettuce if the storm does hit. However, he needs to consider the cost of the protection and whether it is worth it. The maximum that Mike should pay for the protection depends on the expected salvage rate and the potential revenue. Based on the three scenarios presented, if he assumes an equal probability for each, the expected salvage rate would be 71.7% (0.9 x 0.33 + 0.75 x 0.33 + 0.5 x 0.33). If he pays $0.10 per pound for the protection, his expected revenue would be $107,550 (717,000 pounds of salvageable lettuce x $0.15 margin per pound). Therefore, he should not pay more than $0.10 per pound for the protection.
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During the current year, Gomez Co. had beginning inventory of $1,900 and ending inventory of $1,500. The cost of goods sold was $4,300. What is the amount of inventory purchased during the year
To determine the amount of inventory purchased during the year, we need to use the following formula:
Inventory purchased = Cost of goods sold + Ending inventory - Beginning inventory
Substituting the given values into the formula, we get:
Inventory purchased = $4,300 + $1,500 - $1,900
Inventory purchased = $3,900
Therefore, Gomez Co. purchased $3,900 worth of inventory during the current year. This amount represents the cost of the goods that were acquired by the company during the year and added to its inventory. By subtracting the ending inventory from the total inventory purchased, we can calculate the amount of inventory that was sold during the year. This information can be useful for assessing the company's performance and making informed decisions about its operations.
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Ryan can provide written documentation of the business purpose for trips totaling 5,250 miles. What business expense amount can Ryan deduct (if any) for these trips
Ryan can deduct up to $2,940 for these business trips, as long as he has the appropriate documentation to support the deduction.
To calculate the business expense amount that Ryan can deduct, we need to know the standard mileage rate set by the IRS for the tax year in question. Let's assume it is $0.56 per mile.
Then, the business expense amount that Ryan can deduct would be:
$0.56 x 5,250 = $2,940The IRS allows taxpayers to deduct certain expenses incurred while conducting business activities. One of the most common business expenses is the cost of using a personal vehicle for business purposes.
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If real GDP per capita in the United States is $8,000 in 2019, and if real GDP per capita is $12,000 in 2029, what is the total percent change in the growth rate of GDP per capita between 2019 and 2029
The total percent change in the growth rate of GDP per capita between 2019 and 2029 is 50%.
To calculate the percentage change in the growth rate of GDP per capita between 2019 and 2029, we can use the following formula:
percentage change = ((new value - old value) / old value) x 100%
where "old value" is the real GDP per capita in 2019 and "new value" is the real GDP per capita in 2029.
Using the given values, we get:
percentage change = ((12,000 - 8,000) / 8,000) x 100%
percentage change = (4,000 / 8,000) x 100%
percentage change = 0.5 x 100%
percentage change = 50%
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TurboTax wanted to appeal to women viewers to get a jump on their taxes. Besides targeting the content of the ad at women, they also aired the ad during The Ellen DeGeneres Show, which is broadcast daily at 4:30 p.m., or _____ time, a time when women are more likely to be watching
TurboTax's strategic decision to air their ad during The Ellen DeGeneres Show at 4:30 p.m. is based on research indicating that this is a time when women are more likely to be watching television.
Targeting Women Viewers with TurboTax:
TurboTax's decision to target female viewers for their tax services was a wise one, given that women are often the key decision-makers in families when it comes to financial management. TurboTax customised the content of their commercial to women viewers in order to properly attract this population.
Furthermore, the corporation selected to display the advertisement during The Ellen DeGeneres Show, which airs everyday at 4:30 p.m. As many women complete their workdays or take care of home obligations, this is a period when they are more likely to be watching television.
Conclusion:
Overall, TurboTax's approach to target female viewers through the content of their ad and strategic placement on The Ellen DeGeneres Show is a wise financial decision.
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Classical economists believe that savings is __________, and Keynesian economists believe that savings is __________.
Classical economists believe that savings is a critical driver of economic growth and stability, while Keynesian economists believe that savings is potential source of economic instability during recessions.
They argue that when individuals and households save more, it increases the supply of loanable funds, which can then be invested in businesses, infrastructure projects, and other productive activities. This, in turn, leads to increased productivity, employment, and overall economic growth. On the other hand, Keynesian economists believe that savings can sometimes be detrimental to economic growth, particularly during times of economic downturns. They argue that during periods of economic recession, individuals and households tend to save more as they become uncertain about their future income and employment prospects.
However, if everyone saves more, it reduces aggregate demand, which can lead to further declines in economic activity and employment. To combat this, Keynesian economists advocate for government intervention to stimulate economic activity during recessions, such as increasing public spending or cutting taxes. By doing so, it can boost aggregate demand and encourage more investment and economic growth.
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The nominal interest rate is 3.5 percent and the inflation rate is 1.5 percent. What is the real interest rate
By deducting the inflation rate from the nominal interest rate, one can determine the real interest rate. As a result, in this scenario, the real interest rate would be 2 percent (3.5% minus 1.5% = 2%).
The Fisher equation can be used to determine the real interest rate when the inflation rate is 1.5 percent and the nominal interest rate is 3.5 percent. A detailed explanation is provided below:
1. Type the Fisher equation in writing: (1 + nominal interest rate) = (1 + real interest rate) (1 + inflation rate)
2. Convert the nominal interest rate and inflation rate to decimals: nominal interest rate = 0.035, inflation rate = 0.015
3. Plug the values into the equation: (1 + 0.035) = (1 + real interest rate) (1 + 0.015)
4. Simplify the equation: 1.035 = (1 + real interest rate) 1.015.
5. Divide both sides by 1.015 to isolate the real interest rate: 1.035 / 1.015 ≈ 1.0197
6. Subtract 1 from the result. 1.0197 + 1 = 0.0197
7. Convert the decimal back to a percentage: 0.0197 100 = 1.97%
So, the real interest rate is approximately 1.97%.
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In the context of corruption, the _____ standard was developed to prevent the shifting of corrupt practices to suppliers and intermediaries.
In the context of corruption, the "adequate procedures" standard was developed to prevent the shifting of corrupt practices to suppliers and intermediaries.
It aims to ensure transparency, accountability, and ethical business practices among all parties involved in a transaction.
This standard is a key component of anti-bribery laws such as the UK Bribery Act and requires organizations to implement effective measures to prevent bribery and corruption in their operations and supply chains.
By setting clear expectations and guidelines for ethical behavior, the adequate procedures standard helps to ensure that all parties involved in a transaction are held accountable for their actions and that corrupt practices are not allowed to flourish.
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One way in which an investment adviser acting in the capacity of an agent in a transaction with a client differs from a broker-dealer performing the same task is that the investment adviser A) shall obtain client consent before completion of the transaction B) shall disclose the agency capacity before the transaction C) may not charge a commission on the transaction D) shall notify the Administrator of its capacity in the proposed transaction
A difference between an investment adviser working as an agent in a transaction with a client and a broker-dealer carrying out the same duty is that the investment adviser is required to disclose the agency's capacity prior to the transaction. Here option B is the correct answer.
When an investment adviser acts as an agent in a transaction with a client, the adviser has a fiduciary duty to act in the best interest of the client. This is in contrast to a broker-dealer who is generally not considered a fiduciary and has a duty to provide suitable recommendations.
One key difference between an investment adviser acting as an agent and a broker-dealer performing the same task is the requirement for obtaining client consent before completing the transaction. Investment advisers acting as agents are required to obtain client consent before completing the transaction.
This means that the adviser must inform the client of the material facts regarding the transaction, such as the price, the terms, and any potential conflicts of interest, and obtain the client's consent before proceeding. On the other hand, broker-dealers are typically not required to obtain client consent before completing a transaction, but they are required to provide suitable recommendations.
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Treasures, Inc. repurchased 1,000 shares of its $1 par value common stock for $100,000. The journal entry to record this transaction includes a ______.
The journal entry to record Treasures, Inc.'s repurchase of 1,000 shares of its $1 par value common stock for $100,000 includes a decrease in the company's cash account.
When a company repurchases its own stock, it typically pays cash for the shares. In this case, Treasures, Inc. repurchased 1,000 shares of its $1 par value common stock for $100,000. The journal entry to record this transaction would involve a decrease in the company's cash account (since it paid out $100,000) and a decrease in the company's common stock account (since it repurchased shares of its own stock). The entry might look something like this:
Debit: Treasury Stock (1,000 shares x $1 par value) - $1,000
Credit: Cash - $100,000
The debit to Treasury Stock represents the cost of the repurchased shares (which are held by the company as "treasury stock" rather than being retired or canceled). The credit to Cash reflects the outflow of cash from the company to pay for the shares. Note that the entry does not include a credit to Common Stock, since the company is not issuing new shares of stock.
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"Evaluate Kimberly-Clark's idea to develop a program to reward consumers for recycling SLPF packaging. What are the potential benefits? What are the potential downsides?"
Kimberly-Clark's idea to develop a program to reward consumers for recycling SLPF packaging is a positive step towards promoting sustainable practices. By incentivizing consumers to recycle, Kimberly-Clark is helping to reduce the amount of waste that ends up in landfills, which is an important environmental issue.
One potential benefit of this program is that it could increase awareness of the importance of recycling and encourage consumers to make more eco-friendly choices. Additionally, by offering rewards for recycling, the program could motivate people who might not otherwise recycle to do so.
However, there are also potential downsides to the program. For example, the rewards may not be enough to motivate some people to recycle, and there is a risk that some consumers may view the program as a way to justify continuing to purchase products with unsustainable packaging.
Overall, Kimberly-Clark's program to reward consumers for recycling SLPF packaging is a step in the right direction towards promoting sustainable practices. However, it will be important to monitor the effectiveness of the program and to make adjustments as needed to ensure that it is achieving its intended goals.
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When using the portion formula, the amount of trade discount is represented by the: Multiple Choice Base Rate Portion Base divided by rate
The portion formula is a useful tool for calculating the trade discount which is represented by the Base divided by rate.
The part formula is a useful tool for determining trade discounts, which are reductions in the quoted price of a product or service offered to clients for a variety of reasons such as bulk purchases, promotional deals, or trade-in offers. This is how the formula is calculated:
Base Price x Discount Rate = Trade Discount
Where the Base Price is the goods or service's quoted price, and the Discount Rate is the percentage of the published price that is discounted.
The amount of the trade discount is reflected in the part formula by the calculation result, which is removed from the base price to establish the net price paid by the customer.
The base rate is just the product or service's quoted price before any discounts are applied, and the rate is the percentage of the base cost that is discounted.
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What is the competitive structure in an industry with many buyers and sellers of homogeneous products that are almost exactly the same?
The competitive structure in an industry with many buyers and sellers of homogeneous products is perfect competition.
Perfect competition exists when there are many buyers and sellers of an identical product, and no single buyer or seller has the power to influence the market price.
In this type of market structure, firms are price takers rather than price makers, meaning they must accept the prevailing market price for their products.
The market is characterized by low barriers to entry, meaning new firms can easily enter and exit the market, and perfect information, meaning buyers and sellers have complete knowledge of the market conditions.
In a perfectly competitive market, firms must operate at maximum efficiency to remain profitable, as they have little control over prices.
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Nikkei 225 futures contracts are traded on: Group of answer choices Chicago Board of Trade Chicago Merchantil Exchange New York Stock Exchange New York Merchantile Exchange g
Nikkei 225 futures contracts are traded on the Osaka Exchange in Japan. While the Chicago Board of Trade and the Chicago Mercantile Exchange do offer futures contracts for a variety of assets, including commodities and financial instruments, they do not offer Nikkei 225 futures contracts.
Similarly, the New York Stock Exchange and the New York Mercantile Exchange are not known for trading futures contracts on the Nikkei 225. Instead, the primary exchange for trading Nikkei 225 futures contracts is the Osaka Exchange, which is located in Japan. The Nikkei 225 is a major stock market index that tracks the performance of 225 large-cap companies listed on the Tokyo Stock Exchange.
Trading in Nikkei 225 futures contracts has grown in popularity in recent years, particularly among institutional investors and hedge funds. "Nikkei 225 futures contracts are traded on:", the correct choice among the options provided is the Chicago Mercantile Exchange (CME). Nikkei 225 futures contracts are traded on the Chicago Mercantile Exchange.
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Dec. 31, 2022 Dec. 31, 2021 Current assets $ 206,343 $ 227,000 Plant assets 1,153,280 848,000 Total assets $1,359,623 $1,075,000 Compute the amount and percentage changes in 2022 using horizontal analysis, assuming 2021 is the base year.
The amount and percentage changes in 2022 using horizontal analysis, assuming 2021 is the base year:
Current Assets = 9.14%Plant Assets = 65.35%Total Assets = 47.6%Anything of worth or a resource of value that can be exchanged for money is considered an asset. Assets belong to people, businesses, and governments. An asset may bring in money for a business, or the business may get anything from utilising or possessing the item.
Assets are valuable items for businesses that support production and expansion. Assets for a firm might include tangibles like machinery, real estate, raw materials, and inventory as well as intangibles like royalties, patents, and other forms of intellectual property.
The balance sheet outlines the assets of a firm and details how those assets are funded, including whether debt or stock issuance is used. A company's balance sheet gives a quick overview of how well its management is managing its resources.
Change = Amount in 2017 - Amount in 2016
Percentage = Change/Amount in 2016) x 100
Current Assets
Change = (237,400 - 261,300)
Change = (23,900)
Percentage = [(23,900) / 261,300] x 100
Percentage = 9.14%
Plant Assets
Change = (1,381,000 - 835,200) = 545,800
Percentage = (545,800 / 835,200) x 100
Percentage= 65.35%
Total Assets
Change = (1,618,400 - 1,096,500) = 521,900
Percentage = (521,900 / 1,096,500) x 100
Percentage = 47.6%
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Your Company's standards call for 1.5 hours per unit. The company planned to produce 500 units during May. However, 400 units were produced. The company worked 650 direct labor-hours. What are the standard hours (SQ) allowed for May production
To calculate the standard hours (SQ) allowed for May production, we need to first understand the concept of standard hours. Standard hours represent the time that is required to produce one unit of a product or service under normal operating conditions. It is calculated by multiplying the number of units planned for production with the time allowed per unit.
In this case, the company's standard time per unit is 1.5 hours, and the planned production for May was 500 units. However, only 400 units were produced, and the direct labor-hours worked were 650.
To calculate the standard hours allowed for May production, we can use the formula:
Standard hours (SQ) = Planned units x Standard time per unit
Standard hours (SQ) = 500 x 1.5 = 750 hours
However, since only 400 units were produced, we need to adjust the standard hours for the actual production:
Adjusted standard hours = Actual units produced x Standard time per unit
Adjusted standard hours = 400 x 1.5 = 600 hours
Therefore, the standard hours (SQ) allowed for May production is 600 hours.
In summary, the company's standard hours allowed for May production is 600 hours, which is calculated by adjusting the planned production for the actual production. This information is important for the company to evaluate its performance and identify areas where improvements can be made to achieve the desired level of efficiency.
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Franchising Question 21 options: is the only imitation strategy discussed in the text. reduces risk of downside loss. is the same as the me-too strategy. reduces the amount of competition an entrepreneur will face.
Franchising is one of the imitation strategies discussed in the text. It is a popular option for entrepreneurs who want to expand their business quickly without having to invest too much time, money, and effort.
Franchising involves licensing the rights to use a company's trademark, products, and systems to a franchisee who agrees to operate the business according to the franchisor's standards and guidelines.
One of the advantages of franchising is that it reduces the risk of downside loss for the franchisor. This is because the franchisee bears most of the costs and responsibilities associated with operating the business, while the franchisor collects royalties and fees from the franchisee. Moreover, the franchisor can benefit from economies of scale and brand recognition as more and more franchisees join the network.
However, franchising is not the same as the me-too strategy, which simply involves copying a successful business model without any legal or contractual agreement. Franchising requires a formal relationship between the franchisor and franchisee, and both parties must follow specific rules and procedures.
Lastly, franchising may not necessarily reduce the amount of competition an entrepreneur will face. In fact, the franchisee may still face competition from other similar businesses in the same market. Nonetheless, franchising can provide a competitive advantage by offering a proven business model, training and support, and access to a well-established brand and customer base.
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Which of the following are characteristics of MNEs that have successfully invested abroad? Group of answer choices economies of scale and scope superior technology with heavy emphasis on research demonstrated competitive advantage in their home markets all of the above
All of the above are characteristics of MNEs that have successfully invested abroad, option d.
The characteristics of successful MNEs that have invested abroad include:
1. Economies of scale and scope: This allows MNEs to lower their costs and increase efficiency by producing more goods or services.
2. Superior technology with heavy emphasis on research: This enables MNEs to maintain a competitive edge by constantly improving their products or services and staying ahead of competitors.
3. Demonstrated competitive advantage in their home markets: This indicates that MNEs are successful domestically and can leverage their expertise when investing abroad.
So, your answer is "all of the above" since all these characteristics are important for MNEs that have successfully invested abroad.
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Multiple Choice Question ABC, Inc.'s expected sales for the first six month of the year are: Month Expected Unit Sales January 12,000 February 15,000 March 16,000 April 20,000 May 22,000 June 25,000 If desired ending inventory is 25% of next month's sales, the number of units to be produced in March is ______. Multiple choice question. 16,000
If desired ending inventory is 25% of next month's sales, the number of units to be produced in March is D. 17,000.
The number of units to be produced in March for ABC, Inc. can be determined by considering the expected unit sales, desired ending inventory, and the beginning inventory for that month.
Since the desired ending inventory is 25% of next month's sales (April), we first need to calculate that value:
25% of 20,000 (April sales) = 0.25 * 20,000 = 5,000 units
Now, we need to find the beginning inventory for March. The ending inventory for February (which is also the beginning inventory for March) is calculated as:
25% of 16,000 (March sales) = 0.25 * 16,000 = 4,000 units
Finally, we can determine the number of units to be produced in March using the following formula:
Units to be produced = Expected unit sales + Desired ending inventory - Beginning inventory
For March, this will be:4
Units to be produced = 16,000 (March sales) + 5,000 (desired ending inventory) - 4,000 (beginning inventory) = 17,000 units
Therefore, the correct answer is D. 17,000 units should be produced in March.
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Multiple Choice Question ABC, Inc.'s expected sales for the first six months of the year are: Month Expected Unit Sales January 12,000 February 15,000 March 16,000 April 20,000 May 22,000 June 25,000 If desired ending inventory is 25% of next month's sales, the number of units to be produced in March is ______.
A. 21,000
B. 16,000
C. 17,250
D. 17,000
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If we were to compare the monopolistically competitive firm's long-run outcome to that of a perfectly competitive one, we would conclude that the monopolistically competitive firm:
If we compare the long-run outcome of a monopolistically competitive firm to that of a perfectly competitive one, we would conclude that the monopolistically competitive firm would have higher prices and lower output than a perfectly competitive firm.
This is because a monopolistically competitive firm has some control over the price it charges due to its differentiated product, whereas a perfectly competitive firm is a price taker and has no control over the market price. In the long run, firms in both markets will earn zero economic profit, but the monopolistically competitive firm will have higher average total cost due to its product differentiation and advertising costs. Therefore, the monopolistically competitive firm may have a smaller market share but still earn positive profits in the long run.
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A decrease in interest rates can ________ the demand for stocks as stocks become relatively ________ attractive investments as compared to bonds.
A decrease in interest rates can increase the demand for stocks as stocks become relatively more attractive investments compared to bonds.
When interest rates decrease, the potential return on bonds decreases as well. This makes stocks, which offer the potential for higher returns, more appealing to investors. As a result, investors may shift their investment preferences towards stocks, leading to an increase in the demand for stocks. Lower interest rates can make stocks comparatively more attractive due to the potential for higher yields and capital appreciation.
With lower interest rates, the cost of borrowing decreases, stimulating economic activity and potentially leading to higher corporate earnings. These factors can contribute to an increased demand for stocks as investors seek to capitalize on the potential for higher returns. However, it's important to note that various factors influence stock market dynamics, and the relationship between interest rates and stock demand can be complex and influenced by numerous other factors.
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With regard to tax considerations in financing, the fact that dividends are paid from after-tax income is a sign of
With regard to tax considerations in financing, the fact that dividends are paid from after-tax income signifies that corporations are essentially taxed twice on dividend distributions. This is a result of double taxation, which occurs when both the company's profits and shareholders' dividends are subject to taxation.
Double taxation arises because corporations are distinct legal entities and are taxed on their net income, whereas individual shareholders are also taxed on their personal income, including dividends received from the corporation. This system can discourage companies from distributing dividends, as they might prefer to reinvest earnings or repurchase shares to avoid the additional tax burden.
The tax treatment of dividends may affect a company's financing decisions, particularly when considering the use of debt or equity financing. Debt financing, in the form of issuing bonds or borrowing from a bank, offers companies tax advantages, as interest payments on debt are generally tax-deductible. This reduces the company's taxable income and overall tax liability. In contrast, equity financing, such as issuing shares, does not offer such tax advantages, as dividends paid to shareholders are not tax-deductible for the company.
In conclusion, the fact that dividends are paid from after-tax income has implications on corporate financing decisions and may influence companies to lean towards debt financing for tax benefits. The double taxation on dividends is an important consideration for corporations and their shareholders, potentially affecting their financial strategy and investment choices.
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________________ increase the efficiency and effectiveness of social marketing tactics. Examples include Upcontent, Right Relevance, BuzzSumo and Hootsuite. Review Later Social Media Agencies None of these 3rd Party Software Tools Native social networks HTML Markup Tools Social Marketing Consultancies
Social marketing increase the efficiency and effectiveness of social marketing tactics. Examples include Upcontent, Right Relevance, BuzzSumo and Hootsuite
What's the role of social marketing?Social marketing tactics can be significantly enhanced by utilizing 3rd Party Software Tools like Upcontent, Right Relevance, BuzzSumo, and Hootsuite.
These tools help increase efficiency by automating content discovery, scheduling, and analysis, allowing Social Media Agencies to focus on crafting compelling campaigns.
Native social networks provide essential platforms, while HTML Markup Tools ensure the proper presentation of shared content.
Moreover, Social Marketing Consultancies offer specialized expertise and tailored strategies to maximize campaign effectiveness.
By integrating these various resources, marketers can optimize their approach and achieve better results in promoting their messages across social media channels.
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If the economy is self-regulating and current Real GDP is greater than Natural Real GDP, the economy is operating __________ the natural unemployment rate and wages will soon __________.
If the economy is self-regulating and current Real GDP is greater than Natural Real GDP, the economy is operating below the natural unemployment rate and wages will soon rise.
According to the self-regulating economy idea, the economy will always return to its Natural Real GDP level, or the level of output generated when there is full employment.
The natural unemployment rate, or the rate of unemployment that exists while the economy is creating Natural Real GDP, is the rate at which the economy is working when the current Real GDP is greater than the Natural Real GDP.
As a result of the imbalance between supply and demand for labor, wages will be under pressure to increase. The demand for labor may decline as wages rise, which could result in a decline in real GDP.
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