The total market value of your investment will remain the same at $10,500 (assuming no other changes in the market price per share).
Why will be shares of common stock will you own after the stock split?A stock split is a corporate action that increases the number of outstanding shares of a company's stock while decreasing the price per share. In a 5-for-1 stock split, each share of common stock is divided into five new shares, so the total number of shares outstanding increases by a factor of 5.
In this case, you own 600 shares of $10 par value common stock, so your total investment is [tex]600 * $10 = $6,000[/tex]. If the market price per share is currently [tex]$17.50,[/tex] the total market value of your investment is [tex]600 * $17.50 = $10,500.[/tex]
After the 5-for-1 stock split, each share of common stock is divided into five new shares, so you will receive [tex]5 * 600 = 3,000[/tex] new shares of common stock. However, the par value per share will also decrease to $2 ($10 divided by 5), so the total par value of your investment will remain the same at [tex]$6,000.[/tex]
Therefore, after the stock split, you will own [tex]3,000[/tex] shares of $2 par value common stock, with a total par value of [tex]$6,000[/tex]. The market price per share will likely decrease as a result of the stock split.
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A cost is not relevant for decision making if it: Group of answer choices Changes from period to period.
The cost is not relevant for decision making if it changes from period to period. This means that if a cost is not consistent or stable over time, it cannot be used to make informed decisions.
An explanation for this is that decision making requires reliable and consistent data, and costs that vary significantly from one period to the next may be influenced by external factors that cannot be controlled or predicted. Therefore, it is important to focus on costs that are relevant and predictable for decision making purposes.
In the context of decision making, relevant costs are those that will be directly affected by a specific decision and will change if a different decision is made. Sunk costs, which are costs that have already been incurred and cannot be recovered, are not relevant for decision making. Additionally, costs that do not change between alternatives, such as fixed costs, are also not relevant for decision making, as they will not influence the outcome of the decision.
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When an interview is more like an ordinary conversation with no predetermined set of questions, this is an example of a less formal type of interview and is referred to as a(n) ______ interview.
When an interview is more like an ordinary conversation with no predetermined set of questions, this is an example of a less formal type of interview and is referred to as an unstructured interview.
An unstructured interview is a type of interview where the interviewer has a general idea of what they want to ask, but the questions are not predetermined, and there is no set order or format for the interview. In an unstructured interview, the interviewer will likely ask open-ended questions and allow the conversation to flow naturally, which can help to reveal more about the candidate's personality, communication skills, and problem-solving abilities.
The lack of a predetermined set of questions also means that the interview can be more spontaneous and engaging, which can help to put the candidate at ease and allow them to showcase their skills and experience more effectively. However, the downside of an unstructured interview is that it can be less standardized, which can make it more difficult to compare candidates objectively.
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In product modification, three conditions must be met to improve a firm's product mix: the product must be modifiable, customers must be able to perceive that a modification has been made, and __________
In product modification, three conditions must be met to improve a firm's product mix: the product must be modifiable, customers must be able to perceive that a modification has been made, and the modification must result in greater customer satisfaction or market share for the firm.
Simply making a change to a product does not necessarily lead to increased sales or customer satisfaction. The modification must address a specific customer need or want, or provide a unique benefit that differentiates the product from its competitors. Additionally, customers must be able to perceive the modification, either through advertising or through the product itself. Finally, the modification must result in greater customer satisfaction or market share for the firm. If the modification does not improve the product's perceived value or appeal to customers, it may not be worth the cost and effort to implement. Therefore, firms must carefully evaluate potential product modifications to ensure they meet these three conditions before making changes to their product mix.
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Rex Corporation accepted a $10,500, 5% interest bearing note from Brooks Inc. on December 1, 2015 in exchange for machinery with a list sales price of $9,500. The note is payable on December 1, 2018. If the prevailing interest rate is 8%, what revenues should Rex report in its income statement for the year ended December 31, 2015
Rex Corporation should record $43.75 as interest revenue in its income statement for the year ended December 31, 2015.
Interest revenues refer to the income earned by an individual or company from the interest charged on loans, credit lines, or other forms of debt. For example, a bank earns interest revenue by charging interest on loans and credit cards issued to its customers.
Since the note was received on December 1, 2015, the interest revenue for the month of December 2015 needs to be recorded.
First, we need to calculate the amount of interest that will be earned in December 2015;
Interest = Principal x Interest rate x Time
Time = 1/12 year (1 month)
Interest = $10,500 x 0.05 x (1/12) = $43.75
Therefore, Rex Corporation should record $43.75 as interest revenue.
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By standardizing international operations as much as possible yet being adaptable to the needs of local markets, a firm is utilizing a transnational strategy of globalization. TRUE OR FALSE
TRUE. A transnational strategy of globalization involves a combination of centralization and decentralization to achieve both global efficiency and local responsiveness.
This is typically achieved by standardizing certain aspects of the business that are essential for efficiency, while also allowing for customization and adaptation to meet local market needs.
A transnational strategy seeks to balance the advantages of global standardization with those of local adaptation. It is characterized by a high degree of coordination and integration among different parts of the organization, as well as a focus on knowledge sharing and innovation.
In order to implement a transnational strategy, a firm may need to invest in advanced information systems and communication technologies to ensure that information can be shared and coordinated effectively across different countries and regions. The firm may also need to develop a strong corporate culture and a set of shared values and norms that can help guide decision-making and facilitate coordination across different parts of the organization.
Overall, a transnational strategy can be an effective way for firms to compete in global markets by leveraging their scale and scope advantages while also being adaptable to the needs of local markets. However, implementing such a strategy can be complex and challenging, requiring significant investments in technology, organizational structure, and human resources.
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The stock in Up-Towne Movers is selling for $44.40 per share. Investors have a required return of 11 percent and expect the dividends to grow at 3.5 percent indefinitely. What was the dividend the company just paid
The dividend that the company just paid was $1.554 per share.
The dividend that the company just paid, we can use the following formula:
D1 = D0 × (1 + g)
here:
D1 = dividend at time 1
D0 = dividend at time 0
g = growth rate of the dividend
We are given that the stock is currently selling for $44.40 per share and that the investors have a required return of 11 percent. This means that the current stock price reflects the present value of all future dividends, discounted at 11 percent. We are also given that the dividends are expected to grow at a rate of 3.5 percent indefinitely.
Using the constant growth model, we can calculate the expected dividend yield as follows:
D1 / P0 = 0.035
here:
P0 = current stock price
Put in the given values, we get:
D1 / $44.40 = 0.035
D1 = $44.40 × 0.035
D1 = $1.554
Therefore, the dividend that the company just paid was $1.554 per share.
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The primary value of having diversity on teams is that it helps them Multiple Choice focus on performance. develop team culture more easily. learn the skill of disassociation. welcome new ideas. avoid the storming stage.
The primary value of having diversity in teams is that it helps them welcome new ideas. When teams have a variety of backgrounds, experiences, and perspectives, they are more likely to generate innovative solutions and approaches to problems.
This diversity also encourages open-mindedness and tolerance, which can contribute to a positive team culture. However, diversity can also lead to disagreements and conflict, especially during the storming stage of team development. In order to overcome these challenges, team members can learn the skill of disassociation, which involves separating the person from the problem and focusing on finding common ground. Ultimately, by embracing diversity, teams can improve their performance and achieve greater success.
The primary value of having diversity in teams is that it helps them welcome new ideas. Diverse teams benefit from different perspectives, experiences, and backgrounds, which can lead to more innovative solutions and better decision-making.
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According to the Monetarists, the primary cause of inflation is: a. high taxes. b. large budget deficits. c. rapid expansion of the money supply. d. government expenditures that are large relative to the size of the economy.
According to the Monetarists, the primary cause of inflation is c. rapid expansion of the money supply. Monetarism is an economic theory that emphasizes the importance of controlling the money supply to manage inflation.
Monetarists, led by economist Milton Friedman, argue that inflation is primarily caused by an excessive growth in the money supply. When there is too much money circulating in the economy relative to the quantity of goods and services available, the general price level of goods and services increases, leading to inflation.
In this context, high taxes (a), large budget deficits (b), and government expenditures that are large relative to the size of the economy (d) can contribute to inflation, but they are not considered the primary causes by Monetarists. These factors may indirectly affect the money supply, but it is the rapid expansion of the money supply itself that Monetarists believe is the main driver of inflation.
To control inflation, Monetarists advocate for the central bank to implement monetary policies that restrict the growth of the money supply, such as increasing interest rates or selling government bonds, which helps maintain price stability in the economy.
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The two basic observations of the Heckscher-Ohlin Theory (i.e., the theory of relative factor endowments) are that factor endowments vary among countries and that goods _____ according to the types of factors that are used to produce them. g
The two basic observations of the Heckscher-Ohlin Theory are that factor endowments vary among countries and that goods specialize according to the types of factors that are used to produce them.
The Heckscher-Ohlin Theory is an economic theory that seeks to explain why countries trade with each other. It states that countries will export goods that make intensive use of their abundant factors of production and import goods that make intensive use of their scarce factors of production. In other words, a country with a lot of labor will export goods that require a lot of labor to produce, and import goods that require a lot of capital to produce. The theory assumes that countries differ in terms of their factor endowments, which refers to the amount of land, labor, capital, and natural resources they possess. By specializing in the production of goods that require abundant factors, countries can maximize their output and welfare.
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An investment offers to triple your money in 18 months (don’t believe it). What rate per six months are you being offered? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
You are being offered a rate of approximately 22.13% per six months. However, as stated in the question, "don't believe it" as it is unlikely that any investment can guarantee such high returns.
Assuming that the investment is compounded semi-annually, the rate per six months can be calculated using the formula:
(1 + r)^2 = 3
where r is the rate per six months.
Solving for r, we get:
r = (3^(1/2) - 1) / 2
r ≈ 22.13%
Therefore, you are being offered a rate of approximately 22.13% per six months. However, as stated in the question, "don't believe it" as it is unlikely that any investment can guarantee such high returns.
To determine the rate per six months being offered for an investment that promises to triple your money in 18 months, we'll follow these steps:
1. Determine the total number of six-month periods in 18 months.
2. Calculate the interest rate per period.
Step 1: Total number of six-month periods
18 months / 6 months = 3 periods
Step 2: Calculate the interest rate per period
Since the investment promises to triple your money, the final amount would be three times the initial amount. We'll use the formula:
Final Amount = Initial Amount * (1 + Rate)^Periods
Let A be the initial amount and R be the rate per six months. Then,
3A = A * (1 + R)^3
Now, divide both sides by A:
3 = (1 + R)^3
Take the cube root of both sides:
(cube root of 3) = 1 + R
Now, solve for R:
R = (cube root of 3) - 1
R ≈ 0.44225
Convert R to a percentage:
Rate per six months ≈ 44.23%
So, the investment offers a rate of approximately 44.23% per six months.
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Lukas owns a phone company in a city with three other phone companies. He wants to attract more customers and is considering lowering his prices to do so. Will this strategy work
Lukas owns a phone company in a city with three other competitors. To attract more customers, he is considering lowering his prices. This strategy may work if it makes his company more appealing to potential customers due to the competitive pricing. However, he should also ensure that the quality of service and customer support remains high to retain and attract new customers.
Lukas' plan to attract more customers by lowering his prices may or may not work, depending on various factors. Firstly, he needs to consider the prices of his competitors and make sure his prices are still competitive. Secondly, he needs to evaluate the quality of his services compared to his competitors. If his services are of high quality, he may not need to lower his prices. Additionally, he needs to assess the demand for his services in the area and the willingness of customers to switch to his company. Finally, he needs to consider the impact of lowering prices on his profits and whether it is sustainable in the long run. Overall, Lukas needs to carefully weigh the pros and cons of this strategy before implementing it.
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The sum of ordering and holding costs per period for the economic order quantity becomes a ________ percentage of the purchasing cost as the demand rate __________.
The sum of ordering and holding costs per period for the economic order quantity becomes a smaller percentage of the purchasing cost as the demand rate increases.
The economic order quantity (EOQ) model is a tool used to determine the optimal order quantity for a product in order to minimize the total cost of inventory management. The two main costs associated with inventory management are ordering costs, which are the costs of placing an order for inventory, and holding costs, which are the costs of storing and managing inventory.
As the demand rate for a product increases, the total order quantity required to meet that demand also increases. This means that the total ordering cost will increase as well. However, the total holding cost per unit of inventory will decrease, because the inventory is being sold more quickly, reducing the amount of time it must be stored.
Therefore, as the demand rate increases, the total cost of inventory management for the economic order quantity will increase due to higher ordering costs, but the percentage of ordering and holding costs to purchasing costs will decrease. This is because the larger order quantity will spread the ordering cost over a larger number of units, and the decreased holding cost per unit will reduce the overall cost of inventory management.
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What is the relationship between marginal product and marginal cost? Why do you suppose that is? Is this relationship the same in the long run as in the short run?
Marginal cost and marginal product have an inverse relationship. The marginal cost of manufacturing each additional unit lowers as the marginal product of labour or capital rises.
The law of declining marginal returns, which states that as more units of a variable input (such labour or capital) are added to a constant number of other inputs, the marginal product of the variable input eventually diminishes, serves as an example of how this connection works.
This inverse connection results from the fact that as more of a variable input is added, its productivity declines but its cost to add each additional unit stays constant. As the marginal product declines, the cost of manufacturing each additional unit rises. Both in the short and long runs, this link between marginal product and marginal cost is valid. On the other hand, over time, businesses are able to change the levels of all inputs and evade the law of diminishing marginal returns. Therefore, the connection between marginal product and marginal cost may not always be inverse, but rather may occasionally be direct or constant through time.
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The value of the venture at the end of the explicit forecast period is called the horizon value, or what
The value of the venture at the end of the explicit forecast period is called the horizon value, or terminal value. This value is estimated based on assumptions about the company's growth prospects beyond the explicit forecast period and is used to calculate the overall value of the venture.
The most commonly used method for estimating the horizon value is the perpetuity growth method, which assumes a steady growth rate in perpetuity. Other methods include the exit multiple method and the liquidation value method. The value of the venture at the end of the explicit forecast period is called the horizon value, which is also known as the terminal value. The horizon value represents the future cash flows of a venture beyond the explicit forecast period and is typically calculated using a perpetuity growth model or an exit multiple approach.
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Competitive Market I) In a perfectly competitive market with 5,000 firms, the equilibrium price and quantity are $0.70 and 3.0 million units. The demand curve facing a firm in this market is represented by:
In a perfectly competitive market with 5,000 firms, the equilibrium price and quantity are $0.70 and 3.0 million units.
The demand curve facing a firm in this market is represented by a horizontal line, since each firm is a price taker and cannot affect the market price.
This means that the demand curve facing the firm is perfectly elastic, or infinitely elastic, at the market price of $0.70.
At a price above $0.70, the firm would not be able to sell any units, as consumers would choose to buy from the many other firms offering the same product at the lower market price.
At a price below $0.70, the firm could sell as many units as it wants, but it would be earning less than the market price and would not be maximizing its profit.
Therefore, in a perfectly competitive market, each firm will produce and sell the quantity of output at which its marginal cost equals the market price.
This is because the firm is a price taker and cannot affect the market price, so it must choose its output level based on the given market conditions.
In this case, each firm would produce and sell 600 units (3.0 million units / 5,000 firms) at a price of $0.70, which would maximize its profit.
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The various stages of exhibition during the Studio Era whereas a film moves steadily outward from the urban centers to the rural communities, playing in ever smaller (and less profitable) venues with different price points, is known as a(n)
The process of a film moving steadily outward from the urban centers to the rural communities, playing in ever smaller (and less profitable) venues with different price points, is known as "saturation booking."
The various stages of exhibition during the Studio Era are known as the distribution process. This process involved releasing a film in major urban centers, such as New York and Los Angeles, where it would play in large and prestigious theaters for several weeks.
After the roadshow stage, the film would move into a wider release, playing in regular theaters across the country. This stage was known as the "general release" stage, and the film would be marketed to a broader audience. The ticket prices would decrease, and the film would be shown in smaller venues, which were not as prestigious as the ones in the urban centers.
As the film continued to play in more and more theaters, it would eventually reach the rural communities, where it would be shown in small town theaters, drive-ins, or even as part of traveling shows. These stages were known as the "second-run" and "third-run" stages, respectively. The prices for tickets would continue to decrease, as the venues became smaller and less profitable.
This process was used to ensure that a film reached the widest possible audience and maximized its box office potential.
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The amount of the down payment one makes on a home directly affects the size of the monthly payment. Group startsTrue or FalseTrue, unselectedFalse, unselected
True. The amount of the down payment one makes on a home directly affects the size of the monthly payment.
A larger down payment results in a smaller loan amount, which leads to lower monthly payments. Conversely, a smaller down payment results in a larger loan amount, leading to higher monthly payments.The size of the monthly payment is directly influenced by the amount of the down payment made on a home. Lower monthly payments are the outcome of a lesser loan balance due to a higher down payment. On the other hand, a lesser down payment leads to a greater loan amount and higher loan payments over time.
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All externalities Group of answer choices cause markets to fail to allocate resources efficiently. cause equilibrium prices to be too low. benefit producers at the expense of consumers. cause equilibrium prices to be too high.
The answer to the question is that externalities cause markets to fail to allocate resources efficiently.
This is because externalities are costs or benefits that are not reflected in the market price, leading to a misallocation of resources.
An answer would include the fact that negative externalities, such as pollution, can lead to overproduction and a higher level of pollution than is socially optimal, while positive externalities, such as education, can lead to underproduction and a lower level of education than is socially optimal. Additionally, externalities can benefit producers at the expense of consumers, as in the case of a factory that pollutes a nearby river, lowering the cost of production for the factory but causing harm to those downstream. Externalities can also cause equilibrium prices to be too high or too low depending on the type and magnitude of the externality.
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Dippity Doo-Dah Party Dips has revenues of $50,000, general & administrative expenses of $35,000, interest expense of $4,000, and depreciation expense of $4,200. The firm is in the 38% tax bracket. What would be the firm’s cash flow from operations?
the firm’s cash flow from operations after taxes is $10,088.
To calculate the cash flow from operations, we need to start with the net income and then adjust for non-cash expenses and changes in working capital.
Net income = Revenues - Expenses
First, we need to calculate the expenses:
Expenses = General & Administrative Expenses + Interest Expense + Depreciation Expense
Expenses = $35,000 + $4,000 + $4,200
Expenses = $43,200
Net income = $50,000 - $43,200
Net income = $6,800
Next, we need to adjust for non-cash expenses:
Non-cash expenses = Depreciation Expense
Non-cash expenses = $4,200
Cash flow from operations = Net income + Non-cash expenses
Cash flow from operations = $6,800 + $4,200
Cash flow from operations = $11,000
Finally, we need to adjust for taxes:
Taxes = Tax rate x (Net income - Depreciation expense)
Taxes = 0.38 x ($6,800 - $4,200)
Taxes = $912
Cash flow from operations after taxes = Cash flow from operations - Taxes
Cash flow from operations after taxes = $11,000 - $912
Cash flow from operations after taxes = $10,088
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Carly's gross pay every two weeks is $950.10, and she has a total of $161.50 in deductions. What is her net pay
Answer:$788.6
Explanation:Carly's gross pay every two weeks is $950.10, and she has a total of $161.50 in deductions. Her net pay is: $950.10 - $161.50 = $788.6
Carly's gross pay every two weeks is $950.10, and she has a total of $161.50 in deductions. Carly's net pay every two weeks is $788.60 after the deductions.
Carly's gross pay every two weeks is $950.10, and she has a total of $161.50 in deductions. To calculate her net pay, we need to subtract the deductions from the gross pay.
Net pay = Gross pay - Deductions
Net pay = $950.10 - $161.50
Net pay = $788.60
Carly's gross pay every two weeks is $950.10. She has a total of $161.50 in deductions. To find her net pay, which is the amount she takes home after deductions, you need to subtract the total deductions from her gross pay.
Net pay = Gross pay - Deductions
Net pay = $950.10 - $161.50
Net pay = $788.60
Carly's net pay every two weeks is $788.60.
Therefore, Carly's net pay every two weeks is $788.60 after the deductions.
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When inner city neighborhood property values decline, owners of large older homes often subdivide the home into multiple units. This process is known as redlining. blockbusting. urban renewal. filtering. gentrification.
The process of subdividing large older homes into multiple units in inner city neighborhoods when property values decline is known as filtering.
Filtering refers to the natural process of homes or buildings becoming less desirable over time and losing value, which can lead to the subdivision of larger properties into smaller units as a way to generate income. Redlining is a discriminatory practice by which banks and other institutions deny loans or services to certain neighborhoods, often based on race.
Blockbusting refers to the practice of inducing panic selling in a neighborhood by convincing residents that property values will decline due to an influx of minority residents. Urban renewal typically involves large-scale revitalization efforts by the government or private developers to improve the physical and economic conditions of an area.
Gentrification is a controversial term that refers to the process of revitalization and reinvestment in a neighborhood, often leading to displacement of long-time residents and changes in the character of the area.
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You have just received notification that you have won the $2 million first prize in the Centennial Lottery. However, the prize will be awarded on your 100th birthday (assuming you’re around to collect), 80 years from now. What is the present value of your windfall if the appropriate discount rate is 9.1 percent?
The present value of your windfall if the appropriate discount rate is 9.1 percent is $266.97.
To calculate the present value of your $2 million windfall in the Centennial Lottery, you'll need to consider the discount rate of 9.1 percent and the 80-year period until your 100th birthday.
The present value formula is:
PV = FV / (1 + r)^n
Where:
- PV = present value
- FV = future value (the $2 million prize)
- r = discount rate (9.1% or 0.091)
- n = number of years until the prize is awarded (80 years)
PV = $2,000,000 / (1 + 0.091)^80
First, calculate the value inside the parentheses:
1 + 0.091 = 1.091
Next, raise 1.091 to the power of 80:
1.091^80 ≈ 7496.585
Now, divide the future value of $2 million by the calculated value:
PV = $2,000,000 / 7496.585 ≈ $266.97
So, the present value of your $2 million windfall in the Centennial Lottery, considering the discount rate of 9.1 percent and the 80-year period until your 100th birthday, is approximately $266.97.
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Suppose a firm is collecting $100 in total revenues when it sells 10 units and it receives $110 in total revenues when it sells 11 units. The firm is a(n)
Suppose a firm is collecting $100 in total revenues when it sells 10 units and it receives $110 in total revenues when it sells 11 units. The firm is: a price taker, which is a characteristic of firms operating in a perfectly competitive market.
In a perfectly competitive market, there are many firms selling identical products. Each firm is small compared to the market and cannot influence the market price.
The firm in question is a price taker because it sells an additional unit of its product for the same price as the previous units. The total revenue increased from $100 to $110 with the sale of one more unit, meaning each unit was sold for $10.
Price takers must accept the market price determined by supply and demand, and they cannot charge a higher price because buyers have numerous alternatives from which to choose.
In this scenario, the firm's marginal revenue, which is the additional revenue generated from selling one more unit, is equal to the market price of $10. This is a key feature of firms in perfectly competitive markets.
To summarize, the firm in your question is a price taker operating in a perfectly competitive market because it sells each additional unit at the same price and has no control over the market price.
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True or false: The price level can remain stuck at its old level even when aggregate demand declines.
The answer is True. When aggregate demand declines, the price level can remain stuck at its old level due to a variety of factors such as rigid wages and prices, or expectations of future inflation.
This phenomenon can occur due to factors such as price stickiness or downward wage rigidity, which may prevent the price level from adjusting immediately to a decline in aggregate demand.
As a result, the price level may remain stuck at its old level for some time even when aggregate demand decreases.
This can lead to a situation called "sticky prices" where prices do not adjust quickly to changes in demand or supply.
Hence, the statement is true.
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______ is the process of assigning managerial authority and responsibility to managers and employees lower in the hierarchy.
Delegation is the process of assigning authority and responsibility to managers and employees lower in the organizational hierarchy.
This involves granting the power to make decisions and take actions within a certain area of responsibility, while still holding the delegator accountable for the overall results.
Effective delegation is important for organizational effectiveness and efficiency. It allows managers to focus on higher-level tasks and strategic decision-making, while also empowering employees to develop their skills, take ownership of their work, and contribute to the success of the organization. However, it requires clear communication, trust, and ongoing feedback to ensure that tasks are completed in a timely and effective manner.
What is communication?
Communication refers to the process of exchanging information, ideas, or messages between individuals or groups.
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During 2020, Marigold Furniture Company purchases a carload of wicker chairs. The manufacturer sells the chairs to Marigold for a lump sum of $179,550 because it is discontinuing manufacturing operations and wishes to dispose of its entire stock.
Three types of chairs are included in the carload.
The three types and the estimated selling price for each are listed below.
Type No. of Chairs Estimated Selling Price
Each Lounge chairs 1,120 $90
Armchairs 840 80
Straight chairs 1,960 50
During 2020, Marigold sells 600 lounge chairs, 300 armchairs, and 360 straight chairs. What is the amount of gross profit realized during 2020? What is the amount of inventory of unsold straight chairs on December 31, 2020? (Round cost per chair to 2 decimal places, e.g. 78.25 and final answer to 0 decimal places, e.g. 5,845.)
Gross profit is the money a business makes after deducting the costs of producing and selling its goods or the costs of offering its services. The Gross- Profit is calculated as $31,200.
The Gross Profit is calculated in the image attached below:
Gross profit is the money a business makes after deducting the costs of producing and selling its goods or the costs of offering its services. The cost of goods sold (COGS) is deducted from revenue (sales) to arrive at gross profit, which is shown on an organization's income statement. An organization's income statement will contain these numbers. Other names for gross profit include sales profit and gross income.
By deducting the cost of items sold from revenue, gross profit—also known as gross income—is computed. Typically, fixed costs are excluded from gross profit, and only variable costs are included. A company's efficiency in employing its labor and resources to produce goods or services is measured by its gross profit.
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Newland Industries is looking to expand its inventory line. What facet of the statement of cash flows will potential suppliers analyze when considering adding Newland as a customer
When Newland Industries is looking to expand its inventory line, potential suppliers will analyze the "operating activities" facet of the statement of cash flows when considering adding Newland as a customer.
The statement of cash flows is divided into three main sections: operating activities, investing activities, and financing activities. Operating activities represent the company's primary business transactions and show how much cash is generated from the company's core operations. This section is particularly important for suppliers because it demonstrates Newland's ability to generate cash from sales and cover its day-to-day expenses, such as paying for inventory.
Potential suppliers will carefully examine the operating activities to assess Newland's financial health and its ability to pay for the additional inventory in a timely manner. They will look for positive cash flow from operations, as this indicates that Newland is generating more cash than it is spending, suggesting a strong financial position. Additionally, suppliers may evaluate trends in cash flow from operations to see if Newland's financial position is improving or declining over time.
By analyzing the operating activities facet of the statement of cash flows, potential suppliers can make informed decisions about whether or not to add Newland Industries as a customer based on the company's ability to generate cash from its core operations and meet its financial obligations.
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Buzz Lightyear Corp. purchased a spacecraft machine for $370,000 on January 1, 2020. Buzz Lightyear depreciates spacecrafts of this type by the straight-line method over a five-year period using no salvage value. Due to an error, no depreciation was taken on this machine in 2020. Buzz Lightyear discovered the error in 2021. What amount should Buzz Lightyear record as depreciation expense for 2021
The $74,000, Buzz Lightyear Corp. depreciates the spacecraft machine using the straight-line method over a five-year period with no salvage value.
Therefore, the annual depreciation expense for this machine would be $370,000 / 5 years = $74,000 per year. Since no depreciation was taken in 2020, the full amount of $74,000 should be recorded as depreciation expense in 2021 to catch up for the prior year's error.
1. Calculate the annual depreciation: Since the machine was purchased for $370,000 and has a useful life of 5 years with no salvage value, the annual depreciation is ($370,000 / 5 years) = $74,000 per year.
2. Address the missed depreciation: The error in 2020 resulted in no depreciation being recorded. However, this question only asks for the 2021 depreciation expense, so we do not need to adjust for the missed depreciation.
3. Record the 2021 depreciation expense: For 2021, Buzz Lightyear should record the annual depreciation amount of $74,000 as depreciation expense.
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If an applicant for life insurance misstates his age on the application, what would be the consequence if/when it is discovered
If an applicant for life insurance misstates his age on the application, there can be several consequences when it is discovered, depending on the circumstances of the misstatement.
Premium adjustment: The insurance company may adjust the premiums paid by the policyholder to reflect the correct age of the insured. This may result in higher premiums than the policyholder originally anticipated, which can be a financial burden.
Policy cancellation: The insurance company may cancel the policy if the misstatement is considered material. A material misstatement is one that would have affected the insurance company's decision to offer coverage or the premiums charged. For example, if the applicant stated that he was 30 years old when he was actually 50, and the policy was issued based on the misstatement, the insurance company may cancel the policy.
Policy modification: The insurance company may modify the policy to reflect the correct age of the insured. For example, if the policy was issued with a lower death benefit based on the misstatement, the insurance company may adjust the death benefit to reflect the true age of the insured.
Legal consequences: If the misstatement was intentional or fraudulent, the insurance company may pursue legal action against the policyholder. This can result in fines, penalties, or even criminal charges in extreme cases.
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In business, the values indicating the business's current operating characteristics, such as its financial position, the inventory on hand, and customer service metrics, are typically known as ________.
In business, the values indicating the business's current operating characteristics, such as its financial position, the inventory on hand, and customer service metrics, are typically known as Key performance indicators
What are Key performance indicators?
Performance indicators, known as KPIs, serve as tools in assessing an organization's achievements or a particular area of its activities. These metrics provide objective standards for performance appraisal and informed decision making through their specific and quantifiable nature.
KPIs are not restricted to financial status, stock counts, or customer satisfaction but encompass diverse aspects of business operations such as marketing strategies, sales proficiency, personnel affairs and supply chain management, among others.
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