For a manufacturing company, selling price for an item is $527.00 per Unit, Variable cost is $307.00 per Unit, rent is $7,551.00 per month and insurance is $3000 per month. What is the contribution margin

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Answer 1

The Contribution Margin is $220.00. This means that for each unit sold, the company is generating a contribution of $220.00 towards covering its fixed costs and generating profits.

The contribution margin is the amount of money available from sales revenue to cover fixed costs and contribute towards profits. It is calculated as the difference between the selling price and the variable cost per unit.

In this case, the contribution margin can be calculated as follows:

Contribution Margin = Selling Price - Variable Cost

Contribution Margin = $527.00 - $307.00

Contribution Margin = $220.00

This means that for each unit sold, the company is generating a contribution of $220.00 towards covering its fixed costs and generating profits.

Fixed costs in this case include rent and insurance, which are $7,551.00 and $3,000.00 per month respectively. To determine how many units need to be sold to cover these fixed costs, we can use the following formula:

Break-Even Point (in Units) = Fixed Costs / Contribution Margin

Substituting the values, we get:

Break-Even Point (in Units) = ($7,551.00 + $3,000.00) / $220.00

Break-Even Point (in Units) = 48.87 units (rounded up to 49 units)

Therefore, the company needs to sell at least 49 units to cover its fixed costs and break even.

In summary, the contribution margin is the amount of money available from sales revenue to cover fixed costs and contribute towards profits. It can be calculated by subtracting the variable cost per unit from the selling price per unit.

The break-even point in units can then be calculated by dividing the total fixed costs by the contribution margin.

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Related Questions

According to the Bureau of Labor Statistics (2017), among full-time wage and salary workers, union members had median weekly earnings that were ______.

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According to the Bureau of Labor Statistics (2017), among full-time wage and salary workers, union members had median weekly earnings that were higher than those of non-union workers.

Specifically, union members had median weekly earnings of $1,041, while non-union workers had median weekly earnings of $829. This represents a difference of approximately 25% in earnings between union and non-union workers.

The higher median weekly earnings for union members can be attributed to collective bargaining agreements that unions negotiate on behalf of their members, which typically include higher wages and better benefits.

Additionally, union members are more likely to have access to other employment benefits, such as paid time off and health insurance, which can further contribute to their higher earnings.

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At the time of an appraisal a warehouse is leased to a quality tenant for $9.00/square foot. The rent obtainable in the market at the same time is $6.00/square foot. The lease with the landlord is termed a:

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At the time of an appraisal, a warehouse is leased to a quality tenant for $9.00/square foot while the market rent obtainable is $6.00/square foot. The lease with the landlord is termed an "above-market lease."

A market lease, refers to a rental agreement between a landlord and a tenant where the rent charged is in line with the current market rates for similar properties in the area. This ensures that both parties are engaged in a fair and competitive transaction.

In a market lease, the tenant is paying a rent that accurately reflects the current supply and demand dynamics for that particular property type and location, ensuring that neither party is at an unfair advantage or disadvantage.

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Sheridan Company has old inventory on hand that cost $8250. Its scrap value is $11000. The inventory could be sold for $27500 if manufactured further at an additional cost of $8250. What should Sheridan do

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Sheridan Company should choose to manufacture and sell the inventory rather than scrapping the inventory.

Based on the information provided, Sheridan Company has old inventory with a cost of $8,250, a scrap value of $11,000, and a potential selling price of $27,500 if further manufactured at an additional cost of $8,250. To determine the best course of action for Sheridan, let's compare the potential profit from scrapping the inventory versus further manufacturing and selling it.

1. Scrapping the inventory:

If Sheridan decides to scrap the inventory, they will receive $11,000, making a profit of ($11,000 - $8,250) = $2,750.

2. Further manufacturing and selling the inventory:

If Sheridan chooses to further manufacture the inventory, they will incur an additional cost of $8,250. The total cost will then be ($8,250 + $8,250) = $16,500. If they sell the inventory for $27,500, the profit would be ($27,500 - $16,500) = $11,000.

Comparing both options, Sheridan Company should choose to further manufacture and sell the inventory, as it provides a higher profit of $11,000, compared to the $2,750 profit from scrapping the inventory.

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tax avoidance transactions are often called: group of answer choices earnings management tax shelters employee fraud attest services

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The tax shelters, Tax avoidance transactions are often referred to as tax shelters because they involve using legal means to minimize tax liability.

Tax shelters are strategies or investments that are used to reduce taxable income, and they can take many forms, such as offshore accounts, real estate investments, or certain types of trusts. While tax shelters are legal, some may be considered unethical or even illegal if they involve fraudulent activities. Earnings management, employee fraud, and attest services are not directly related to tax avoidance transactions.

Tax shelters are legal methods to reduce taxable income, which can help minimize tax liabilities. They often involve investments in businesses or financial products that provide tax benefits.

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Which program would be most helpful to a production manager who wanted to determine the minimum time required to complete a proposed project

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The program that would be most helpful to a production manager who wants to determine the minimum time required to complete a proposed project is a project management software that includes a feature for critical path analysis.

Critical path analysis is a project management technique used to identify the tasks that are critical to completing the project on time and to determine the minimum time required to complete the project.

Using a project management software with critical path analysis, the production manager can create a project schedule by defining tasks, their dependencies, and their estimated durations.

The software will then calculate the critical path, which is the sequence of tasks that must be completed on time to prevent delays in the project completion.

By using a project management software with critical path analysis, the production manager can optimize the project schedule by adjusting task durations or dependencies to reduce the overall project completion time.

Additionally, the software can help the manager to identify potential bottlenecks or risks that could delay the project completion and to plan accordingly to mitigate those risks.

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g On January 1, 2020, Ivanhoe Company, a calendar-year company, issued $1600000 of notes payable, of which $400000 is due on January 1 for each of the next four years. The proper balance sheet presentation on December 31, 2020, is:

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On December 31, 2020, the proper balance sheet presentation for Ivanhoe Company's issued notes payable of $1,600,000 is as follows: $400,000 is classified as a current liability, due on January 1, 2021, and the remaining $1,200,000 is classified as a long-term liability, which will be due over the next three years in $400,000 increments.



The notes payable issued by Ivanhoe Company on January 1, 2020, amount to $1,600,000, of which $400,000 is due on January 1 for each of the next four years. Since the notes payable are long-term in nature, only the portion due within the next twelve months is classified as a current liability, while the remaining portion is classified as a long-term liability.

As of December 31, 2020, the balance sheet presentation for Ivanhoe Company would be as follows:

Current liabilities:
Notes payable - current portion     $400,000

Long-term liabilities:
Notes payable                             $1,200,000

The current portion of the notes payable of $400,000 would be reported under current liabilities because it is due within the next twelve months. The remaining balance of $1,200,000 would be reported under long-term liabilities because it is due beyond the next twelve months.

It is important for companies to properly classify their liabilities on the balance sheet to accurately reflect their financial position and liquidity. By separating current and long-term liabilities, investors and creditors can better assess a company's ability to meet its short-term and long-term obligations.

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g Find the future value of an investment of $5000 at an annual interest rate of 7.5% after 10 years.

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The future value of an investment of $5,000 at an annual interest rate of 7.5% after 10 years is $10,362.50.


To find the future value of the investment, you can use the formula:

Future Value (FV) = Present Value (PV) * (1 + Interest Rate)ⁿ (n=number of years)

In this case:
Present Value (PV) = $5,000
Interest Rate = 7.5% = 0.075
Number of Years = 10


1. Convert the interest rate to a decimal: 7.5% = 0.075
2. Add 1 to the interest rate: 1 + 0.075 = 1.075
3. Raise the result to the power of the number of years: 1.075¹⁰= 2.0725
4. Multiply the present value by the result: $5,000 * 2.0725 = $10,362.50

So, the future value of the investment after 10 years is $10,362.50.

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EBay charged that Auctionwatch Group of answer choices Was trespassing. Was tantamount to a denial of service attack. Violated its copyright. Infringed on its trademark.

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eBay charged that the Auctionwatch Group was trespassing, which means that they were accessing eBay's servers without permission. Option A is correct.

eBay also claimed that this was tantamount to a denial of service attack, which means that the Auctionwatch Group's actions were disrupting eBay's normal operations. Additionally, eBay alleged that the Auctionwatch Group violated its copyright by using eBay's content without authorization and infringed on its trademark by using eBay's logo without permission. These are all serious allegations that could result in legal action if proven to be true.

Option (b), "Was tantamount to a denial of service attack," refers to a type of cyber attack where a network or server is overwhelmed with traffic, rendering it inaccessible to users. This is not related to the eBay-Auctionwatch dispute.

Option (c), "Violated its copyright," and option (d), "Infringed on its trademark," both relate to intellectual property rights. While eBay may have had copyright or trademark protections for its content or brand, these were not the specific legal claims made against Auctionwatch Group.

Therefore, option A is correct.

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The bond currently sells for $875, and the company's tax rate is 40%. What is the component cost of debt for use in the WACC calculation

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The component cost of debt  for use in the WACC calculation is: 6.71%.

The annual coupon payment is calculated as $1,000 x 7.00% = $70.

Since the coupon is paid semiannually, the semiannual coupon payment is $70/2 = $35.

The current market price of the bond is $875, which is a discount to its par value of $1,000. Therefore, the yield to maturity (YTM) is greater than the coupon rate of 7.00%.

To calculate the YTM, we can use the financial calculator or Excel's RATE function. Assuming a 20-year period with semiannual payments, a $1,000 face value, a current market price of -$875 (since it is a cash outflow), and a semiannual coupon payment of $35, we get a YTM of 8.61%.

Next, we need to calculate the after-tax cost of debt. Since the interest on debt is tax-deductible, the after-tax cost of debt is calculated as follows:

After-tax cost of debt = YTM x (1 - tax rate) = 8.61% x (1 - 0.40) = 5.17%.

Therefore, the component cost of debt for the Jakob Company is 6.71% (i.e., 5.17% / (1 - 0.40)).

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1. If UCF Bicycle Vending Machine Company purchased treasury stock and then reissued it at sales price per share lower than its repurchase cost, the difference is:

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If UCF Bicycle Vending Machine Company has purchased its treasury stock and reissued it at a sales price per share lower than its repurchase cost, it will result in a treasury stock loss, which is a financial loss for the company.

Treasury stock refers to the shares of a company's stock that have been repurchased by the company from its shareholders. When a company purchases its treasury stock, it reduces the number of outstanding shares in the market, which can lead to an increase in the value of its remaining shares. However, if the company decides to reissue these treasury shares at a sales price per share lower than its repurchase cost, the difference is known as a treasury stock loss.

In the case of UCF Bicycle Vending Machine Company, if they have purchased their own shares at a higher cost than the sales price at which they are reissued, it will result in a treasury stock loss. This loss occurs because the company has effectively lost money on the difference between the repurchase cost and the sales price per share.

The reasons for a company to reissue its treasury stock at a lower price could be to raise additional capital or to improve its liquidity. However, a treasury stock loss is not ideal for the company and its shareholders because it reduces the value of the company's assets and the value of the remaining outstanding shares.

In conclusion, if UCF Bicycle Vending Machine Company has purchased its treasury stock and reissued it at a sales price per share lower than its repurchase cost, it will result in a treasury stock loss, which is a financial loss for the company. Therefore, it is essential for the company to carefully evaluate the costs and benefits of repurchasing and reissuing its own shares to avoid such losses.

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A person making application, for themselves or another, to be insured under an insurance policy is called the:

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A person making an application for insurance, either for themselves or another, is called the applicant.

An applicant, in the context of insurance, refers to an individual or entity that submits a formal request to be covered under an insurance policy. This person could be applying for their own coverage or on behalf of another individual or organization. The process typically involves filling out an application form, providing necessary documentation, and answering questions related to the risk of being insured.

Once the application is submitted, the insurance company evaluates the risk and determines whether to offer coverage, along with the premium rates and terms of the policy. If approved, the applicant becomes the policyholder and is responsible for paying the premiums and complying with the policy's terms and conditions.

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Conway Company purchased merchandise inventory with an invoice price of $12,000 and credit terms of 2/10, n/30. What is the net cost of the goods if Conway Company pays within the discount period

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If Conway Company pays within the discount period, the net cost of the goods is $11,760.

The credit terms of 2/10, n/30 mean that the seller allows a 2% discount if the buyer pays within 10 days of the invoice date. If the buyer does not take the discount, the full amount is due within 30 days of the invoice date.

In this case, the invoice price of the merchandise inventory is $12,000. If Conway Company pays within the discount period, they can take a 2% discount on the invoice price, which is calculated as follows:

Discount = Invoice price x Discount rate

Discount = $12,000 x 2% = $240

The net cost of the goods is the invoice price minus the discount, which is:

Net cost = Invoice price - Discount

Net cost = $12,000 - $240

Net cost = $11,760.

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Over a period of 18 months, prices of goods and services decrease by 2%, and market interest rates decrease by 3%. This signals that the economy is in a period of:

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If prices of goods and services are decreasing by 2% over a period of 18 months, and market interest rates are decreasing by 3%, it is likely that the economy is in a period of deflation.

Deflation is a sustained decrease in the overall price level of goods and services in an economy, which can occur when there is a decrease in demand for goods and services or an increase in the supply of goods and services. Deflation can be caused by a variety of factors, including technological advances that increase productivity and efficiency, shifts in consumer preferences, or changes in the money supply.

When the overall price level is decreasing, it can lead to a downward spiral of economic activity as consumers delay purchases in anticipation of lower prices, leading to decreased demand, lower output, and potentially higher unemployment. The decrease in market interest rates may be a response by the central bank to encourage borrowing and spending in order to stimulate the economy.

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Three Corners Markets just paid an annual dividend of $1.37 a share. The company announced that future dividends will be increasing by 2.8 percent annually. If you require a return of 11.6 percent, how much are you willing to pay to purchase one share of this stock today

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The value of a share of Three Corners Markets stock can be calculated using the dividend discount model, which takes into account the present value of future dividends. Using the formula, the value of a share of the stock today can be calculated as follows:

Value of stock = D / (r - g)

Where D is the current dividend, r is the required return, and g is the annual growth rate of the dividend.

In this case, D = $1.37, r = 11.6%, and g = 2.8%. Therefore, the value of a share of the stock today would be:

Value of stock = $1.37 / (0.116 - 0.028) = $15.75

Thus, an investor would be willing to pay $15.75 to purchase one share of Three Corners Markets stock today, assuming a required return of 11.6 percent and an annual dividend growth rate of 2.8 percent.

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You're trying to save to buy a new $196,000 Ferrari. You have $46,000 today that can be invested at your bank. The bank pays 5.4 percent annual interest on its accounts. How long will it be before you have enough to buy the car

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It will take approximately 15 years to save enough to buy the Ferrari, assuming the interest rate remains constant.

To determine the time it will take to save enough to buy the car, we need to calculate the future value of the $46,000 investment at 5.4% interest and then solve for the time it takes to reach $196,000.

Using the future value formula:

FV = PV * (1 + r)^n

where FV is the future value, PV is the present value, r is the annual interest rate, and n is the number of years.

We can plug in the values:

196,000 = 46,000 * (1 + 0.054)^n

Simplifying the equation:

[tex](1 + 0.054)^n = 196,000 / 46,000[/tex]

[tex](1 + 0.054)^n = 4.2609[/tex]

Taking the natural logarithm of both sides:

n * ln(1.054) = ln(4.2609)

n = ln(4.2609) / ln(1.054)

n = 15.04

So it will take approximately 15 years to save enough to buy the Ferrari, assuming the interest rate remains constant.

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What grants the beneficiary the rights to use the property and to control the actions of the trustee

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Trust agreement grants the beneficiary the rights to use the property and to control the actions of the trustee.

The trust agreement is a legal document that outlines the roles, responsibilities, and rights of the involved parties, including the grantor, trustee, and beneficiary. A trust agreement grants the beneficiary the rights to use the property held in trust and to control the actions of the trustee.

The trust agreement outlines the terms and conditions of the trust, including the purpose of the trust, the identity of the trustee, and the rights and responsibilities of the beneficiary. The beneficiary is typically entitled to receive income from the trust property, and may have the power to direct the trustee to make certain investments or distributions.

Ultimately, the beneficiary has the right to enforce the terms of the trust and ensure that the trustee acts in accordance with their wishes.

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The formation and enlargement of the European Union has a wide everlasting impact on marketing strategies and marketing mix. Discuss this giving example from member nations.

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The formation and enlargement of the European Union have significantly influenced marketing strategies and the marketing mix of businesses within its member nations are the growth of digital marketing.

For example, a French wine producer looking to expand into other EU markets must adjust its marketing mix to suit the tastes and preferences of consumers in countries like Germany or Italy. One key impact is the harmonization of trade regulations, which has facilitated the free movement of goods and services across borders.  As a result, companies can access a larger market, promoting the need to adapt their marketing strategies to cater to diverse consumer preferences and cultural nuances.

This may involve altering the product's packaging, pricing, or promotional campaigns to appeal to the target audience. Another aspect affected by the EU's formation is the increased competition among businesses, as companies can now compete on a level playing field with their counterparts in other member nations. This has led to a greater focus on differentiation and creating unique value propositions, to stand out in the market.

To maintain their competitive advantage, German automakers focus on engineering excellence and high-quality production, which form key elements of their marketing strategies. Lastly, the EU has fostered the growth of digital marketing, enabling companies to target potential customers across member nations more efficiently. This has become crucial in driving brand awareness and attracting new customers in a vast, interconnected market.

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Indoor ice skating has become very popular, and the rinks have raised their admission prices. The price increase is a result of

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Indoor ice skating has become very popular, and the rinks have raised their admission prices, the price increase is a result of the high demand for ice skating, which has caused an increase in the operating costs of the rinks.

As more people become interested in the activity, demand for access to the rinks increases.

In response to this heightened demand, the rinks raise their admission prices to balance the demand with the available capacity, while also generating more revenue to cover operational costs and potentially expand or improve their facilities.

These costs include the maintenance of the ice, electricity to run the rink, staff wages, and equipment upkeep. As a result, the rinks have had to raise their admission prices to cover these expenses and ensure the continued operation of their facilities.

Additionally, the popularity of ice skating has also led to an increase in competition among rinks, which has further driven up the prices.

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The statute of limitations for assessment of taxes never extends beyond three years from the filing of a return. True or False

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The statement is false because the statute of limitations for assessment of taxes can extend beyond three years from the filing of a return in certain circumstances.

The statute of limitations for assessment of taxes typically extends to three years from the filing of a return. However, there are exceptions where the limitation period can be extended. For instance, if there's a substantial omission of income (more than 25% of the gross income reported), the limitation period can extend to six years.

In cases of fraud or failure to file a tax return, the statute of limitations doesn't apply, and the IRS can assess taxes at any time.

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What is the fundamental weakness of the GAP ratio as compared with GAP as a measure of interest rate risk

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The fundamental weakness of the GAP ratio as compared with GAP as a measure of interest rate risk is that it does not take into account the duration or maturity of assets and liabilities.

The GAP ratio only looks at the difference between the interest-sensitive assets and liabilities, without considering how long these assets and liabilities will be held. This means that the GAP ratio does not provide a comprehensive view of the interest rate risk facing an institution, as it may be exposed to significant fluctuations in interest rates for a longer or shorter period than the ratio suggests.

In contrast, GAP takes into account the timing of cash flows, which provides a more accurate and nuanced picture of the institution's interest rate risk exposure.

In summary, while GAP and GAP ratios are valuable measures of interest rate risk, GAP is generally considered more reliable and accurate because it considers the actual dollar amounts of assets and liabilities.

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If there is an increase in taxes of $4 billion in an economy with an MPC of 0.75, by how much will savings be initially reduced

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In an economy with an increase in taxes of $4 billion and an MPC of 0.75, the initial reduction in savings will be $1 billion.

To calculate this, we need to understand the relationship between the MPC and the reduction in savings due to the tax increase. The MPC (marginal propensity to consume) is the proportion of an additional dollar of income that is spent on consumption. If the MPC is 0.75, it means that for every dollar of extra income, 75 cents will be spent on consumption and the remaining 25 cents will be saved.

Step 1: Determine the reduction in disposable income due to the tax increase.
An increase in taxes by $4 billion leads to a reduction in disposable income by the same amount, which is $4 billion.

Step 2: Calculate the reduction in consumption due to the tax increase.
Using the MPC of 0.75, we can find the reduction in consumption due to the tax increase:
Reduction in consumption = MPC × Reduction in disposable income
Reduction in consumption = 0.75 × $4 billion
Reduction in consumption = $3 billion

Step 3: Calculate the reduction in savings due to the tax increase.
Since the reduction in disposable income ($4 billion) is divided between consumption and savings, we can calculate the reduction in savings as follows:
Reduction in savings = Reduction in disposable income - Reduction in consumption
Reduction in savings = $4 billion - $3 billion
Reduction in savings = $1 billion

Therefore, the initial reduction in savings due to the $4 billion tax increase in an economy with an MPC of 0.75 is $1 billion.

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A disconnect exists between what organizations spend on benefits and employees' perception of their ____________. Group of answer choices

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Job satisfaction, Even though organizations spend a significant amount on employee benefits, employees may not necessarily feel satisfied with their job.

This can be due to a variety of reasons such as lack of recognition, poor work-life balance, inadequate pay, or lack of growth opportunities. Therefore, there exists a disconnect between what organizations provide in terms of benefits and how employees perceive their overall job satisfaction.

This disconnect occurs when employees do not fully understand or appreciate the benefits offered by their organizations, leading to a misalignment between the company's investment in these benefits and the employees' perception of their worth. To bridge this gap, organizations should communicate the value of benefits effectively and engage with employees to understand their needs and preferences.

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The risk-free rate of return is 2.2 percent and the market risk premium is 8.9 percent. What is the expected rate of return on a stock with a beta of 1.4

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The expected rate of return on a stock with a beta of 1.4, given a risk-free rate of return of 2.2% and a market risk premium of 8.9%, is 14.66%.

The risk-free rate of return and the market risk premium are two important factors in evaluating a stock's projected rate of return. The risk-free rate is the minimal return an investor can expect from a risk-free investment, such as a US Treasury bond.

The market risk premium is the additional return required by investors for taking on market risk above and beyond the risk-free rate. The beta of a stock reveals its susceptibility to market risk, and a beta of 1.4 implies that it is 40% more volatile than the entire market.

The Capital Asset Pricing Model (CAPM) is used to calculate the expected rate of return.

Expected Return = (Beta x Market Risk Premium) + Risk-Free Rate

Substituting the following values:

Return Expected = 2.2% + (1.4 x 8.9%)

Return Expected = 2.2% + 12.46%

14.66% expected return

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Firm A uses production technology that affects the environment. Which of the following are​ command-and-control policies used by the government to regulate firm​ A? ​(Check all that apply.​) A. Firm A has to pay a penalty to the government for not using​ environment-friendly technology. B. Firm A receives a reward from the government for using​ environment-friendly technology. C. Firm A is not allowed by the government to produce more than 100 units if it does not use​ environment-friendly technology. D. The government makes it compulsory for firm A to use environment friendly technology.

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A) Firm A has to pay a penalty to the government for not using environment-friendly technology.

D) The government makes it compulsory for Firm A to use environment-friendly technology.

Command-and-control policies are regulatory measures that use laws, rules, and regulations to compel firms to reduce their negative impact on the environment. In this scenario, Firm A's use of production technology affects the environment, and the government has several options to regulate its behavior

Option A states that the government imposes a penalty on Firm A for not using environment-friendly technology. This is an example of a "polluter-pays" principle where firms are held responsible for the negative environmental externalities they generate.

Option D states that the government makes it mandatory for Firm A to use environment-friendly technology. This approach is often used to promote the adoption of cleaner technologies, which may not be economically viable for firms to undertake voluntarily.

Options B and C are not examples of command-and-control policies. Option B is an example of an incentive-based policy where firms are rewarded for using environment-friendly technology. Option C is a quantitative restriction on the amount of production allowed, which is not directly related to the use of environment-friendly technology.

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In consolidating a business entity VIE, any excess of the VIE's total business fair value over the collective fair values of its net assets is recognized as

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In consolidating a business entity Variable Interest Entity ,any excess of the VIE's total business fair value over the collective fair values of its net assets is recognized as goodwill.

Goodwill is an intangible asset that represents the excess value of the business that is not attributable to any specific tangible or identifiable asset.When consolidating a VIE, the acquirer is required to recognize all of the assets, liabilities, and non-controlling interests of the entity as if it were a subsidiary.

The fair value of the VIE's net assets is then compared to the fair value of the VIE's total business to determine if there is any excess value.If the fair value of the VIE's total business exceeds the fair value of its net assets, the excess value is recognized as goodwill. Goodwill is then tested for impairment annually or whenever there is an indication that its carrying value may not be recoverable.

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John's supervisor, Jilleen, recognizes that he is working long hours and produces more than others by giving him extra time off. This is an example of ______.

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John's supervisor, Jilleen, recognizes that he is working long hours and produces more than others by giving him extra time off. This is an example of positive reinforcement. of This is a form of positive reinforcement, where desirable behavior (in this case, being a high performer) is rewarded to encourage its continuation.

Reward systems are commonly used in organizations to motivate employees, increase job satisfaction, and ultimately improve performance. The rewards can be in various forms, such as bonuses, promotions, public recognition, or time off.

By acknowledging and rewarding employees' hard work, employers can foster a positive work culture and improve employee engagement and retention.

In John's case, Jilleen's approach of rewarding him with extra time off is not only a form of recognition but also an effective way to prevent burnout. Working long hours can take a toll on an employee's physical and mental health, leading to decreased productivity and absenteeism.

Giving John time off allows him to rest and recharge, improving his overall well-being and work performance.
In conclusion, John's supervisor's recognition of his hard work and productivity through time off is an example of a reward system that incentivizes desirable behavior and fosters a positive work culture.

Such systems can have a significant impact on employee motivation, satisfaction, and productivity, leading to better outcomes for the organization as a whole.

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Stock Y has a beta of 1.4 and an expected return of 17 percent. Stock Z has a beta of .7 and an expected return of 10.1 percent. What would the risk-free rate have to be for the two stocks to be correctly priced

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The risk-free rate needed for the two stocks to be correctly priced depends on the market return. If we assume the market return is 7%, then the risk-free rate for Stock Y would be 2.5% and the risk-free rate for Stock Z would be 4.67%.

To determine the risk-free rate needed for the two stocks to be correctly priced, we can use the Capital Asset Pricing Model (CAPM) formula:

Expected Return = Risk-Free Rate + Beta * (Market Return - Risk-Free Rate)

Let's start by solving for the risk-free rate for Stock Y:

17% = RF + 1.4*(Market Return - RF)
17% - RF = 1.4*(Market Return - RF)
17% - RF = 1.4*Market Return - 1.4*RF
0.4*RF = 1.4*Market Return - 17%
RF = (1.4*Market Return - 17%)/0.4

Now let's solve for the risk-free rate for Stock Z:

10.1% = RF + 0.7*(Market Return - RF)
10.1% - RF = 0.7*(Market Return - RF)
10.1% - RF = 0.7*Market Return - 0.7*RF
0.3*RF = 0.7*Market Return - 10.1%
RF = (0.7*Market Return - 10.1%)/0.3

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An economist would have most likely predicted that the oil embargo imposed in 1974 would result in a

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An economist would most likely have predicted that the oil embargo imposed in 1974 would result in a number of economic consequences.  An economist would have predicted that the oil embargo would have had wide-ranging economic, geopolitical, and environmental impacts.

Firstly, it would lead to an increase in the price of oil and gasoline due to the reduced supply. This, in turn, would lead to higher transportation and production costs for businesses, which could result in inflation. Secondly, the higher prices of oil and gasoline could lead to a decrease in consumer spending and a decrease in economic activity overall.

Thirdly, the oil embargo could have geopolitical consequences as countries that were heavily dependent on oil imports, like the United States, would have to rely on other sources of energy or reduce their consumption, leading to potential shifts in global power dynamics. Finally, the oil embargo could also have environmental consequences as it could have led to an increase in the use of coal and other fossil fuels to compensate for the reduced supply of oil.

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A local brewery and bottling plant wants to keep track of the bottle filling equipment's performance accuracy carefully. Bottles are to be filled with exactly 16 oz. of the drinks. If a bottle is overfilled, it results in waste of the drink (since distributors are only paying for 16 oz.) and also higher transpor-tation costs. Underfilling will alienate distributors and could open up the brewery to legal problems. Following is data from the bottling equipment where five samples of bottles filled were pulledevery hour and measured for actual quantity filled.

Answers

By monitoring and improving the performance accuracy of their bottling equipment, the brewery and bottling plant can minimize waste, reduce transportation costs, and maintain positive relationships with their distributors.

The local brewery and bottling plant's concern about the accuracy of their bottle filling equipment is understandable. Overfilling would lead to increased waste and transportation costs, while underfilling could result in legal problems and dissatisfaction among distributors. To ensure the equipment's accuracy, the brewery should regularly monitor and test its performance. The data collected from the five samples of bottles filled every hour can provide insights into the equipment's accuracy. The brewery should calculate the average quantity filled and compare it to the target amount of 16 oz. If the average quantity is consistently higher or lower than the target amount, the brewery should investigate the cause and take corrective action. This could involve adjusting the settings on the equipment, calibrating it, or replacing any faulty components. In addition to monitoring the equipment's accuracy, the brewery should also ensure that its operators are properly trained and following standard procedures. They should be instructed to report any issues immediately so that they can be addressed promptly. Regular maintenance and cleaning of the equipment can also help to prevent problems and ensure its continued accuracy.

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At the __________ of the purchase decision process, a consumer compares the product with his or her expectations and is either satisfied or dissatisfied.

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At the "post-purchase evaluation" stage of the purchase decision process, a consumer compares the product with his or her expectations and is either satisfied or dissatisfied.

What do you mean by post-purchase evaluation?

Post-purchase evaluation refers to the assessment or evaluation that a consumer conducts after purchasing a product or service. It is the process of evaluating whether the product or service met the expectations of the consumer, and whether it provided the desired benefits.

During the post-purchase evaluation, consumers may consider factors such as the quality of the product, its price, its features and benefits, and the level of satisfaction they experienced while using it. They may also consider the level of support they received from the seller or service provider, such as customer service, returns policy, and warranty.

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