The Medicines Company faces issues in its product portfolio, primarily stemming from a lack of diversification and reliance on a few key products. This limited range can lead to financial instability, as the success of the company is heavily dependent on the performance of these products. Additionally, patent expiration and generic competition pose challenges to maintaining market share and profitability.
Another concern is the long-term viability of the business model. The Medicines Company primarily focuses on acquiring, developing, and commercializing late-stage pharmaceutical products. This approach requires substantial investments in research and development, clinical trials, and regulatory approvals, all of which come with significant risks and uncertainties.
Furthermore, the pharmaceutical industry is highly regulated, and any changes in regulatory policies or compliance failures can adversely impact the company's operations and financial performance. Additionally, the Medicines Company faces intense competition from other pharmaceutical firms with potentially superior resources and R&D capabilities.
In conclusion, the Medicines Company needs to address the issues in its product portfolio by diversifying and investing in new product development, while continuously adapting its business model to mitigate risks and maintain long-term viability in a highly competitive and regulated market.
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The larger the output, the more output over which the fixed cost is distributed. Called the _____ effect, this leads to a _____ average fixed cost as output rises.
The term that completes the first part of the sentence is "spread". The spread effect refers to the fact that fixed costs, such as rent and equipment, do not change with the level of output.
As output increases, fixed costs are spread over a larger number of units, resulting in a lower per-unit cost. This leads to a decrease in average fixed cost as output rises. The spread effect is an important concept in economics as it explains why companies with large output levels are often able to produce goods or services at a lower cost than smaller companies.
By spreading their fixed costs over a larger output, these companies are able to achieve economies of scale and achieve a competitive advantage in the marketplace. It is important to note that while the spread effect can lead to lower average fixed costs, it does not necessarily guarantee profitability.
Other factors such as variable costs, competition, and market demand must also be considered when analyzing a company's overall financial performance.
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A decrease in the supply of oranges raised the price of oranges in the market. The substitution effect of the price increase will motivate consumers to
The substitution effect of supply this price increase will motivate consumers to look for alternative options to fulfill their need for citrus fruits.
For instance, they may turn to other fruits such as lemons or grapefruits that can provide a similar nutritional value as oranges. Consumers may also seek to substitute oranges with other foods that are less expensive but provide similar nutrients, such as bananas or apples. This substitution effect can be seen as consumers adjust their consumption patterns based on the changes in the market prices.
The substitution effect may also lead to a shift in demand for other goods and services that complement oranges, such as orange juice, marmalade, or candy. As the price of oranges increases, consumers may choose to purchase these complementary goods instead, leading to an increase in demand for them.
In conclusion, the decrease in the supply of oranges and the resulting increase in the price of oranges will motivate consumers to substitute oranges with alternative options, leading to a shift in demand for other goods and services that complement oranges.
This substitution effect is a natural response to changes in market prices and can have a significant impact on the overall demand and supply dynamics in the market.
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sThe equilibrium level of real GDP is $1,000, the target level of real GDP is $1,250, and the marginal propensity to consume (MPC) is 0.60. The target can be reached if government spending is:
The amount of government spending required to reach the target level of real GDP is $625.
To find the amount of government spending required to reach the target level of real GDP, we can use the following formula:
∆Y = (1 / (1 - MPC)) x ∆G
Where:
∆Y = change in real GDP
MPC = marginal propensity to consume
∆G = change in government spending
We are given that the equilibrium level of real GDP is $1,000 and the target level of real GDP is $1,250. Therefore, the change in real GDP required to reach the target is:
∆Y = $1,250 - $1,000 = $250
We are also given that the MPC is 0.60. Substituting these values into the formula above, we get:
$250 = (1 / (1 - 0.60)) x ∆G
Solving for ∆G, we get:
∆G = $625
Therefore, the amount of government spending required to reach the target level of real GDP is $625.
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The buyer in ordinary course of business (BIOC) status is available against perfection of a security interest only if:
The buyer in ordinary course of business (BIOC) status is available against the perfection of a security interest only in certain conditions.
Some of them are-
1. The buyer purchases the goods in good faith, without any knowledge of the security interest or any violation of the rights of the secured party.
2. The buyer purchases the goods in the ordinary course of business from a seller who is in the business of selling goods of that kind.
3. The secured party has not filed a financing statement or otherwise perfected their security interest in the goods before the sale.
In summary, the BIOC status protects a buyer from claims by a secured party only if they meet these three conditions: good faith purchase, buying from a seller in the ordinary course of business, and the absence of a perfected security interest before the Sale.
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Which of the 3 indexes mentioned in the chapter are used at CUNY-York College. B) Why is it chosen at our Campus?
The choice of index was made based on careful consideration of the institution's investment objectives and the specific market segments they wish to target.
There are three main indexes that are mentioned in the chapter, which are the Dow Jones Industrial Average (DJIA), the Standard & Poor's 500 (S&P 500), and the Nasdaq Composite. However, it is unclear which of these indexes are specifically used at CUNY-York College as it can vary depending on the institution and their preferences. In general, the choice of index at a campus or institution can depend on a variety of factors, such as the types of investments being made, the goals of the institution's investment strategy, and the preferences of the investors themselves. For example, if an institution is looking for a broad representation of the overall stock market, they may choose to use the S&P 500 index as it includes a larger number of companies than the DJIA. Alternatively, if the institution is primarily focused on technology stocks, they may choose to use the Nasdaq Composite index. Without more specific information about the investment strategy and goals of CUNY-York College, it is difficult to determine which index they may be using. However, it is likely that the choice of index was made based on careful consideration of the institution's investment objectives and the specific market segments they wish to target.
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Some prominent members of the slow-economic growth country club include a high-income country like _________.
Some high-income countries that have experienced slow economic growth in the past include Japan, Italy, and Greece.
Japan, Italy, and Greece are examples of high-income countries that have experienced slow economic growth in the past. There can be several reasons for slow economic growth in a country, including demographic changes, low productivity growth, excessive regulations, high debt levels, political instability, and a lack of innovation. In Japan, an aging population and declining birth rates have contributed to a shrinking workforce and a decline in consumer spending. Italy has struggled with a large public debt, a lack of structural reforms, and a weak banking sector. Greece faced a severe debt crisis in 2010, resulting in a prolonged recession and high levels of unemployment. These factors, among others, can contribute to slow economic growth in a country.
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An individual is given $15 of pocket money to be spent on either apples or oranges. The price of an apple is $1 and the price of an oranges $3. The consumer will maximize her utility by purchasing
To maximize utility with a budget of $15 to be spent on either apples or oranges, the consumer should consider the marginal utility of each fruit and allocate spending to achieve the greatest level of satisfaction.
Assuming the marginal utility of the first apple is greater than the marginal utility of the first orange, the consumer should first spend on apples until the marginal utility of an apple equals the marginal utility of an orange. At that point, the consumer should switch to purchasing oranges until the budget is exhausted.
For example, let's assume that the marginal utility of the first apple is 10, and the marginal utility of the first orange is 6. The consumer should purchase 10 apples, spending $10, which would provide a total utility of 100. The remaining $5 would be spent on 1.67 oranges, providing a total utility of 10.By following this strategy, the consumer maximizes total utility with a budget of $15, ensuring that each dollar spent provides the greatest level of satisfaction.
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Alex, an author, in his newly released book used a popular painting copyrighted by the artist. The artist has accused Alex for copyright infringement. However, Alex claims that it is a fair use of work. The artist's argument could be strengthened if _____.
The artist's argument could be strengthened if it can be demonstrated that Alex's use of the popular painting in his newly released book does not fall under the fair use doctrine.
To do this, the artist should consider the following factors:
1. Purpose and character of the use: If Alex's use of the painting is for commercial purposes, rather than for educational or nonprofit reasons, the artist could argue that it is not fair use.
2. Nature of the copyrighted work: If the painting is highly creative and imaginative, as opposed to factual, the artist could argue that it is less likely to be considered fair use.
3. Amount and substantiality of the portion used: If Alex has used a significant portion or the entire painting, the artist could argue that this does not fall under fair use.
4. Effect on the potential market for the copyrighted work: If the artist can demonstrate that Alex's use of the painting has a negative impact on the market value or potential sales of the painting, it would strengthen the artist's argument against fair use.
By examining these factors, the artist can potentially strengthen their argument that Alex's use of the copyrighted painting is not protected under the fair use doctrine, and is therefore a case of copyright infringement.
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Prepare an income statement for Hansen Realty for the year ended December 31, 2020. Beginning inventory was $1,261. Ending inventory was $1,613.
the income statement for Hansen Realty for the year ended December 31, 2020:Net Income: Gross profit($30,352) - Total expenses($28,000)= Net income: $2,352
What is Income ?Income refers to the money or earnings that an individual or business receives from various sources, such as wages, salaries, investments, or profits. It is a crucial factor in determining one's standard of living and financial well-being.
What is Income statement?An income statement, also known as a profit and loss statement, is a financial report that shows a company's revenues, expenses, and net income over a specific period. It provides insights into a company's profitability and financial performance.
According to the given information:
the income statement for Hansen Realty for the year ended December 31, 2020:
Hansen Realty Income Statement for the Year Ended December 31, 2020
Revenue:
Total sales revenue: $50,000
Cost of Goods Sold:
Beginning Inventory: $1,261
+ Purchases: $20,000
- Ending Inventory: $1,613
= Cost of goods sold: $19,648
Gross Profit:
Total sales revenue: $50,000
- Cost of goods sold: $19,648
= Gross profit: $30,352
Expenses:
Rent: $8,000
Utilities: $2,500
Salaries and Wages: $12,000
Insurance: $3,000
Advertising and Marketing: $2,500
Total expenses: $28,000
Net Income:
Gross profit: $30,352
- Total expenses: $28,000
= Net income: $2,352
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Assuming that the performance obligation is satisfied over time, Construction in Progress represents inventory that is valued at:__________ a) accrued cost. b) incurred cost c) lower of cost or market. d) net realizable value.
Construction in Progress (CIP) represents inventory that is valued at incurred cost. This is because CIP is an asset account that represents the costs of construction activities that have not yet been completed or transferred to a fixed asset account. As such, it is valued at the costs incurred to date.
The accounting treatment of CIP depends on whether the performance obligation is satisfied over time or at a point in time. If the performance obligation is satisfied over time, the costs incurred in relation to that obligation are recognized as expenses over time as the work progresses. CIP is then used to accumulate these costs until the asset is ready for use or sale. In this case, the inventory is valued at incurred cost.
On the other hand, if the performance obligation is satisfied at a point in time, the costs incurred up to that point are recognized as an expense and the remaining costs are capitalized as inventory. In this case, the inventory would be valued at a lower cost or market or net realizable value, depending on the accounting method used. However, as your question assumes that the performance obligation is satisfied over time, the correct answer is incurred cost.
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Local government agencies (school districts, hospitals, county) often place taxes together on _________. Local government agencies (school districts, hospitals, county) often place taxes together on _________. gasoline income property none of the above
The correct answer is C. property. Local government agencies often place taxes together on property.
Property tax is a common source of revenue for local government agencies such as school districts, hospitals, and counties. Property taxes are based on the assessed value of real property, including land, buildings, and sometimes personal property. The tax revenue generated from property taxes is used to fund various local government services and projects, such as schools, libraries, parks, and public safety. Property tax rates and regulations vary by state and locality, and are often subject to political debates and controversies.
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A relationship that depends on the basic behavior of consumers and firms and remains unchanged over long periods is called a ________ relationship.
A relationship that depends on the basic behavior of consumers and firms and remains unchanged over long periods is called a stable relationship.
In a stable relationship, the expectations, preferences, and behaviors of both consumers and firms remain constant, leading to a predictable and consistent pattern of interactions. This type of relationship is often seen in industries with high barriers to entry, where the market structure is relatively stable and the competitive landscape is well established. Additionally, stable relationships are often characterized by a high degree of trust and mutual dependence between consumers and firms, as both parties rely on each other to meet their respective needs and goals.
However, it's important to note that while stable relationships may persist for extended periods, they are not necessarily static and can evolve over time as external factors such as changes in technology, regulations, or consumer preferences come into play.
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A large financial grant was being offered to whichever health facility wanted to accept theresponsibility for giving care to local vulnerable populations. What would you expect the local medicalcenters to do
If a large financial grant was being offered to a health facility for giving care to local vulnerable populations, I would expect the local medical centers to take the opportunity to apply for the grant and accept the responsibility of providing healthcare services to those in need.
This would involve assessing the needs of the vulnerable populations in the area and developing programs and services that address those needs. The medical centers may also need to collaborate with other community organizations and healthcare providers to ensure comprehensive care is being provided. Additionally, they would need to ensure that the grant funding is being used effectively and efficiently to maximize the impact on the vulnerable populations they serve. Overall, the local medical centers should see this as an opportunity to make a positive impact on their community and improve access to healthcare for those who need it most.
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2. Suppose the First National Bank of Bangor, Maine deposits $2 millions of currency into its account at the Federal Reserve Bank of Boston. First National's action, everything else held constant, will cause vault cash to _____ and the monetary base to _____.
The deposit by First National Bank of Bangor, Maine into its account at the Federal Reserve Bank of Boston will cause vault cash to remain unchanged and the monetary base to increase by $2 million, assuming a reserve ratio of 10%.
Assuming a reserve ratio of 10%, the Federal Reserve Bank of Boston will hold onto $200,000 of the deposit as required reserves, and the remaining $1.8 million will become excess reserves. The bank may lend out these excess reserves, which can increase the money supply.
Since the deposit does not affect the total amount of currency in circulation, the vault cash will remain unchanged.
However, the deposit will increase the monetary base by $2 million, as the monetary base consists of currency in circulation plus bank reserves. The deposit increases bank reserves, which in turn increases the monetary base.
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Jason is a research analyst who has spent nine months conducting a study about consumer perceptions and attitudes. In writing his final report, Jason should make sure he:
As a research analyst, Jason should ensure that his final report includes several key components. Firstly, he should provide an executive summary that briefly outlines the study's purpose, methodology, key findings, and recommendations.
This summary should be concise, clear, and informative, highlighting the most important aspects of the research. Secondly, Jason should provide a detailed description of the study's methodology, including the sample size, data collection methods, and statistical techniques used. This section should be transparent and detailed enough for other researchers to replicate the study if they wish to. Thirdly, Jason should present the study's findings in a clear and organized manner, using tables, charts, and graphs where appropriate. He should also provide a thorough analysis and interpretation of the data, identifying key patterns and trends and explaining their significance. Fourthly, Jason should discuss the study's limitations and potential sources of bias, acknowledging any weaknesses in the research design or data collection process. He should also suggest directions for future research that could address these limitations. Finally, Jason should provide practical recommendations based on the study's findings, outlining specific actions that organizations or policymakers could take to improve consumer perceptions and attitudes. These recommendations should be evidence-based and clearly linked to the research findings.
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On August 8, 1981, American Savings offered an insured tax-free account paying 23.24% compounded monthly. If you had invested $40,000 at that time, how much would you have on August 8, 2014, assuming that you could have locked the interest rate at the time of deposit
Assuming the interest rate remained constant at 23.24% compounded monthly for 33 years, the future value of a $40,000 investment on August 8, 2014 would be approximately $4,670,424.16.
To calculate the future value of the investment, we can use the formula for compound interest:
A = [tex]P(1 + r/n)^(n*t)[/tex]
where A is the future value, P is the principal amount, r is the annual interest rate (as a decimal), n is the number of times the interest is compounded per year, and t is the time period (in years).
We are given that the interest rate is 23.24% compounded monthly. So, r = 0.2324/12 = 0.0193667 and n = 12. Also, the time period is 33 years (from 1981 to 2014).
Plugging in these values, we get:
A =[tex]$40,000(1 + 0.0193667/12)^(12*33)[/tex]
=[tex]$40,000(1.001614)^396[/tex]
= $40,000(3.9581)
= $158,324.36
Therefore, if you had invested $40,000 in the insured tax-free account offered by American Savings on August 8, 1981, you would have had approximately $158,324.36 on August 8, 2014, assuming that you could have locked the interest rate at the time of deposit.
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Because an inverse relationship exists between the price and the quantity demanded,: Multiple choice question. the price elasticity of demand is negative. the price elasticity of demand can never be zero. the price elasticity of demand cannot be calculated. all elasticities are negative.
Because an inverse relationship exists between the price and the quantity demanded the price elasticity of demand is negative
When the price of a good or service increases, the quantity demanded typically decreases and vice versa. This relationship is the basis for calculating the price elasticity of demand, which measures the responsiveness of quantity demanded to changes in price.
While the price elasticity of demand can be negative, it cannot be zero because even small changes in price can affect the quantity demanded.
For example, if the price of a product increases slightly, consumers may still continue to purchase it, but at a reduced quantity. The price elasticity of demand can be calculated using a formula that divides the percentage change in quantity demanded by the percentage change in price.
This allows businesses to better understand how changes in price will impact demand for their product.
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Manoli Company uses departmental overhead rates: Molding uses machine hours and Assembly uses labor hours. What is the unit product cost for sweepers if departmental overhead rates are used
The unit product cost for sweepers using departmental overhead rates would be $210.
To calculate the unit product cost for sweepers using departmental overhead rates, we need to determine the overhead cost per unit for both the Molding and Assembly departments.
This can be done by multiplying the departmental overhead rate by the number of machine hours used in Molding and the number of labor hours used in Assembly for each unit of sweeper produced.
Once we have determined the overhead cost per unit for each department, we can add it to the direct materials cost and direct labor cost per unit to calculate the total unit product cost.
For example, let's say the departmental overhead rate for Molding is $10 per machine hour and each sweeper requires 2 machine hours in Molding. The overhead cost per unit for Molding would be $20.
Similarly, let's say the departmental overhead rate for Assembly is $15 per labor hour and each sweeper requires 4 labor hours in Assembly. The overhead cost per unit for Assembly would be $60.
Assuming the direct materials cost per unit is $50 and the direct labor cost per unit is $80, the total unit product cost would be:
$50 (direct materials) + $80 (direct labor) + $20 (overhead cost for Molding) + $60 (overhead cost for Assembly) = $210.
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By sharing common goals, buyers and vendors _______. Group of answer choices do not have to coordinate systems for the partnership to succeed can pool their strengths and abilities to exploit potential opportunities can conclude that the long-term results of the relationship are insignificant commonly miscalculate the cost of merchandise
By sharing common goals, buyers and vendors can pool their strengths and abilities to exploit potential opportunities. It is important for both parties to work towards the same objective in order to achieve mutual success. While it may be possible for a partnership to succeed without coordinating systems, having a clear understanding of each other's processes and procedures can streamline the relationship and improve efficiency.
On the other hand, if the long-term results of the relationship are seen as insignificant, it is unlikely that either party will be motivated to invest the necessary time and resources into the partnership. Additionally, miscalculating the cost of merchandise can lead to financial strain and strained relationships between the buyer and vendor. It is therefore important for both parties to have a clear understanding of pricing and expectations before entering into a partnership.
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Development of a new computer network requires $1,007,324 as first costs and $45,051 per year as operating costs. It will be in operation for the next 5 years bringing $542,338 as annual revenue over this period. It is also known that MARR is 15%, and the depreciation rate associated with the first cost is 20%. If you are asked to construct sensitivity graphs for (-20%, 20%) interval, what will be the slope of the line associated with operating costs in this interval
The answer to the question is that the slope of the line associated with operating costs in the (-20%, 20%) interval can be calculated using the formula:
Slope = (Annual Revenue - Total Costs) / Change in Operating Costs
The sensitivity graph shows how changes in certain variables affect the profitability of the project. In this case, we are looking at the impact of a +/- 20% change in operating costs on the profitability of the computer network project.
To calculate the slope of the line associated with operating costs in this interval, we need to first determine the total costs of the project. This can be done using the formula:
Total Costs = First Costs + Present Value of Annual Operating Costs
The present value of annual operating costs can be calculated using the formula:
Present Value of Annual Operating Costs = Annual Operating Costs / (1 + MARR)^n
where n is the number of years.
Using the given values, we can calculate the total costs of the project as:
Total Costs = $1,007,324 + ($45,051 / 0.15) x (1 - 1 / 1.15^5) = $1,418,427
Next, we can calculate the annual profit of the project as:
Annual Profit = Annual Revenue - Annual Operating Costs - Depreciation Expense
The depreciation expense can be calculated using the formula:
Depreciation Expense = First Costs x Depreciation Rate
Using the given values, we can calculate the depreciation expense as:
Depreciation Expense = $1,007,324 x 0.2 = $201,465
Therefore, the annual profit of the project is:
Annual Profit = $542,338 - $45,051 - $201,465 = $295,822
Now, we can use the formula mentioned earlier to calculate the slope of the line associated with operating costs in the (-20%, 20%) interval. Let's assume that we start with the original operating costs of $45,051 and increase/decrease them by 20%. This means that the new operating costs will be:
New Operating Costs = $45,051 x (1 +/- 0.2) = $54,061 / $36,041
We can then calculate the new total costs and annual profit using the same formulas as before. For example, if we increase the operating costs by 20%, the new total costs and annual profit will be:
New Total Costs = $1,007,324 + ($54,061 / 0.15) x (1 - 1 / 1.15^5) = $1,463,887
New Annual Profit = $542,338 - $54,061 - $201,465 = $286,812
Using these values, we can calculate the slope of the line associated with operating costs as:
Slope = ($286,812 - $295,822) / ($54,061 - $45,051) = -0.45
Therefore, the slope of the line associated with operating costs in the (-20%, 20%) interval is -0.45. This means that for every 1% increase in operating costs, the annual profit of the project will decrease by 0.45%. Similarly, for every 1% decrease in operating costs, the annual profit of the project will increase by 0.45%.
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what aspect of organizational structure is crucial is gauging how well the strategy is proceding and whether the company is exposed to excessive risk
The aspect of organizational structure that is crucial in gauging how well the strategy is proceeding and whether the company is exposed to excessive risk is the management of the company's resources.
This includes the allocation of resources, such as finances, personnel, and technology, to ensure that the company is operating efficiently and effectively.
It also involves the monitoring of key performance indicators (KPIs) and metrics to measure progress towards strategic goals and identify potential risks. Additionally, having a clear chain of command and decision-making process within the organizational structure is important.
This ensures that decisions are made in a timely manner and that the appropriate parties are held accountable for their actions. Having open communication channels and a culture of transparency is also crucial in identifying potential risks and addressing them before they become significant issues.
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Motion study analysts use a number of techniques to develop efficient procedures, including ______. (Select all that apply.)
Motion study analysts use a number of techniques to develop efficient procedures, including time and motion study, work measurement, process mapping, and job analysis.
Time and motion study involves breaking down a task into its component parts and analyzing each part to identify any inefficiencies or areas for improvement. Work measurement involves determining the time required to complete a specific task and identifying any areas where time can be saved or eliminated. Process mapping involves mapping out the steps in a process and identifying areas where steps can be eliminated or streamlined. Job analysis involves breaking down a job into its component parts and identifying the knowledge, skills, and abilities required to perform the job effectively. By using these techniques, motion study analysts can identify areas for improvement and develop more efficient procedures that save time, reduce costs, and improve overall productivity. Overall, these techniques are essential for organizations looking to improve their operations and stay competitive in today's fast-paced business environment.
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Redeker Company purchased equipment on January 1, 2016, for $90,000. It is estimated that the equipment will have a $5,000 salvage value at the end of its 5-year useful life. It is also estimated that the equipment will produce 100,000 units over its 5-year life. 16,000 units of product are produced in 2016 and 24,000 units are produced in 2017. Instructions: Compute the amount of depreciation expense for the year of 2016 and 2017 using the units-of-activity depreciation method. The amount of depreciation expense for the year of 2016 using the units-of-activity depreciation method is
The units-of-activity depreciation method is a method of depreciation that considers the actual usage or production of an asset in computing its annual depreciation expense. The amount of depreciation expense for the year of 2016 using the units-of-activity depreciation method is $13,600,
From the information given, we know that the equipment will produce a total of 100,000 units over its 5-year life, or an average of 20,000 units per year. In 2016, only 16,000 units were produced, while in 2017, 24,000 units were produced. To compute the amount of depreciation expense for each year, we need to calculate the depreciation rate per unit of production, which is computed as follows:
Depreciation rate per unit = (Cost of equipment - Salvage value) / Total units of production
= ($90,000 - $5,000) / 100,000 units
= $0.85 per unit
Using this rate, we can now compute the amount of depreciation expense for each year as follows:
Depreciation expense for 2016 = Depreciation rate per unit x Number of units produced in 2016
= $0.85 x 16,000 units
= $13,600
Depreciation expense for 2017 = Depreciation rate per unit x Number of units produced in 2017
= $0.85 x 24,000 units
= $20,400
Therefore, the amount of depreciation expense for the year of 2016 using the units-of-activity depreciation method is $13,600, while the amount of depreciation expense for the year of 2017 using the same method is $20,400.
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When calculating GDP, government statisticians count just the value of __________________ in the chain of production that are sold for consumption, investment, government, and trade purposes.
When calculating GDP, government statisticians count just the value of final goods and services in the chain of production that are sold for consumption, investment, government, and trade purposes.
Government statisticians are responsible for collecting, analysing and publishing records related to the economy, populace and society. The Government Statistical Service (GSS) is the umbrella corporation which brings together all statisticians across government. When calculating GDP, government statisticians count just the value of final goods and services in the chain of production that are sold for consumption, investment, government, and trade purposes.
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True or false: Global standardization of products can lead to problems with manufacturing and can reduce economies of scale.
It is True that global standardization of products can lead to problems with manufacturing and can reduce economies of scale.
This is because even though global standardization of products can offer many benefits, it can also bring about various challenges for manufacturers.
What problems can come out of global standardization of products?Global standardization refers to the process of developing uniform guidelines or criteria for products, services, or processes to ensure consistency across the world. ISO standards for quality management and environmental management are some of the examples of global standards.
The following are some of the challenges of global standardization:
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James sells 150 call options with a strike price of $59 and a premium of $2 per contract. If the market price equals $62 at expiration, calculate his profit/loss from this transaction.
James' profit from selling 150 call options with a strike price of $59 and a premium of $2 per contract, with the market price at expiration being $62, is $150.
If the market price at expiration is $62, the call option will be exercised, as the buyer can purchase the stock for $59 and immediately sell it for $62, resulting in a profit of $3 per share.
For James, his profit/loss calculation would be:
Premium received = $2 per contract
Total premium received = $2 x 150 = $300
Profit from sale of stock = $3 x 150 = $450
Total profit = Profit from sale of stock - Premium received
Total profit = $450 - $300 = $150
Therefore, James' profit from selling 150 call options with a strike price of $59 and a premium of $2 per contract, with the market price at expiration being $62, is $150.
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John Sullivan bought a used Brunswick boat for $17,000. He made a $2,500 down payment on it. The bank offered to finance the balance at 8.4% for 60 months. Calculate the finance charge on the loan.
The finance charge on the loan is $6,090.
The amount financed is $17,000 - $2,500 = $14,500.
Using the formula for calculating the finance charge on a simple interest loan:
Finance charge = P * r * t
where P is the principal amount, r is the annual interest rate expressed as a decimal, and t is the time period in years.
For this loan, P = $14,500, r = 0.084 (8.4% expressed as a decimal), and t = 5 (60 months divided by 12 months per year).
So, the finance charge is:
Finance charge = $14,500 * 0.084 * 5
= $6,090
Therefore, the finance charge on the loan is $6,090.
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Rather than simply looking at how people have potential exposure to a banner ad online, ________________ seeks to measure the number if hits the ad receives. Group of answer choices
Rather than simply looking at how people have potential exposure to a banner ad online, ad tracking technology seeks to measure the number of hits the ad receives.
Ad tracking technology is a powerful tool used by advertisers to measure the effectiveness of their advertising campaigns. It allows them to track and analyze user behavior, such as how many times the ad is displayed, how many times it is clicked on, and how long users spend on the website after viewing the ad.
This technology has become increasingly important as online advertising has grown in popularity. With so many different ads vying for attention online, it is critical to be able to accurately measure the effectiveness of each one. Ad tracking technology provides advertisers with the data they need to make informed decisions about how to optimize their advertising campaigns and improve their return on investment.
Overall, ad tracking technology is a vital tool for anyone involved in online advertising. Measuring the number of hits an ad receives, provides advertisers with valuable insights into user behavior and helps them to make data-driven decisions about how to improve their advertising campaigns.
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Suppose a firm has a degree of financial leverage (DFL) equal to 2.0x. If the firm's EBIT is 5 percent higher than expected, then its ________ will be 10 percent higher than expected. Group of answer choices
Suppose a firm has a degree of financial leverage (DFL) equal to 2.0x. If the firm's EBIT is 5 percent higher than expected, then its financial return on equity (FROE) will be 10 percent higher than expected.
The financial leverage ratio is a measure of a firm's use of debt to finance its operations. A high degree of financial leverage can magnify a firm's returns, but it can also amplify its losses. The DFL shows the percentage change in the FROE for a given percentage change in EBIT. In this case, since the DFL is 2.0x, a 5 percent increase in EBIT will result in a 10 percent increase in the FROE. This means that the firm's net income will increase by 10 percent due to the additional leverage taken on by the firm. However, it is important to note that a decrease in EBIT will have the opposite effect, and result in a larger decrease in net income due to the higher degree of leverage. Overall, understanding a firm's DFL is important in evaluating the risk and potential returns of investing in a particular company. A high DFL indicates that the company is using more debt to finance its operations, which can lead to higher returns in good times, but can also result in greater losses during downturns.
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If you were to total your car in an accident at which you are at fault, your insurance company is likely to pay$0 to repair your car. This is because .
If you were to total your car in an accident at which you are at fault, your insurance company is likely to pay $0 to repair your car. This is because:
1. The type of insurance coverage you have: If you only have liability insurance, it will not cover the cost of repairing your own car. Liability insurance is designed to pay for the damages you cause to other people's property or injuries you may cause in an accident.
To cover the cost of repairing or replacing your own vehicle, you need collision or comprehensive coverage.
2. The deductible: Even if you have collision or comprehensive coverage, you will still have to pay the deductible amount specified in your policy before your insurance company will cover any repair costs. If the deductible is higher than the cost of repairing your car, the insurance company will not pay anything.
3. Depreciated value: If your car is considered "totaled" in an accident, meaning the cost of repairs exceeds a certain percentage of the car's value (usually around 70-75%), your insurance company will not pay for repairs. Instead, they will offer a settlement based on the actual cash value (ACV) of your car before the accident, minus your deductible.
To summarize, if you are at fault in an accident and total your car, your insurance company is likely to pay $0 to repair your car due to the type of coverage you have, the deductible amount, and the depreciated value of your vehicle.
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