Inflation in Zimbabwe in 2008: Group of answer choices reached the rate of 80 billion percent per month. did not exist; during 2008 Zimbabwe had deflation. was very high at the beginning of the year but fell when Robert Mugabe agreed to share power with Morgan Tsvangarai. was very low. was about the same as its neighbors, somewhere around 20%.

Answers

Answer 1

Inflation in Zimbabwe in 2008 was one of the worst hyperinflation episodes in history, with a peak rate of 79.6 billion percent per month in November of that year.

This was due to a combination of factors, including government mismanagement, corruption, and a decline in agricultural production. Contrary to one of the answer choices, Zimbabwe did not experience deflation in 2008. Deflation is the opposite of inflation, where prices decrease over time. This was not the case in Zimbabwe, where prices were skyrocketing at an unprecedented rate.

In early 2008, inflation was already high, with an annual rate of 100,000%. However, it got worse as the year progressed, particularly after the government printed more money to fund its spending. As a result, prices of goods and services increased rapidly, making it difficult for people to afford basic necessities.

It wasn't until September 2008 that the situation started to improve slightly, when President Robert Mugabe agreed to share power with Morgan Tsvangirai, leader of the opposition party. This brought some stability to the country and helped to curb inflation, which eventually fell to 3.8% in November 2008.

Comparing Zimbabwe's inflation to its neighbors, such as South Africa and Zambia, is difficult since they have different economic structures and policies. However, it is safe to say that Zimbabwe's inflation in 2008 was significantly higher than its neighbors and had devastating effects on the country's economy and its people.

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Related Questions

A manufacturer produces 200 units of a product at a total cost of $1,000. If the manufacturer wants to make a markup of 10 percent, the price per unit would be ________.

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A manufacturer produces 200 units of a product at a total cost of $1,000. If the manufacturer wants to make a markup of 10 percent, the price per unit would be $5.50.

1. Calculate the cost per unit by dividing the total cost by the number of units produced.
2. Calculate the markup amount by multiplying the cost per unit by the desired markup percentage.
3. Add the markup amount to the cost per unit to find the price per unit.


1. Calculate the cost per unit:
Total cost = $1,000
Number of units = 200
Cost per unit = Total cost / Number of units = $1,000 / 200 = $5

2. Calculate the markup amount:
Markup percentage = 10%
Markup amount = Cost per unit * Markup percentage = $5 * 0.10 = $0.50

3. Add the markup amount to the cost per unit to find the price per unit:
Price per unit = Cost per unit + Markup amount = $5 + $0.50 = $5.50

Therefore, the price per unit with a 10% markup would be $5.50.

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Most stores today are near several others in one of four store location settings that include all of the following EXCEPT: Group of answer choices the old-town district. the central business district. the strip mall/center. the regional shopping center.

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The answer is the old-town district, as it is not typically a modern commercial location for stores. The other three options, including the central business district, strip mall/center, and regional shopping center, are commonly seen as locations for multiple stores to be clustered together.

The four store location settings provided include the old-town district, the central business district, the strip mall/center, and the regional shopping center. Since you've asked for the one that is NOT included, here is a step-by-step explanation:

1. The old-town district - This location is INCLUDED in the list.
2. The central business district - This location is ALSO INCLUDED in the list.
3. The strip mall/center - This location is INCLUDED as well.
4. The regional shopping center - Finally, this location is INCLUDED too.

It appears that all the locations mentioned are actually included in the list of store location settings. There isn't an option that is not included among these choices.

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Consider the ratio of market capitalization to employees for platform firms. Compared to product firms, this ratio appears to be about an order of magnitude higher. The best explanation for this is

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The ratio of market capitalization to employees for platform firms is about an order of magnitude higher than for product firms.

The best explanation for the higher market capitalization to employee ratio in platform firms compared to product firms is the nature of the businesses themselves. Platform firms typically have scalable business models, lower marginal costs, and network effects, which all contribute to their higher market valuations.

1. Scalable business models: Platform firms usually operate with digital technologies, allowing them to grow their user base rapidly without significant increases in their workforce. This scalability means that their market capitalization can grow exponentially while the number of employees remains relatively low.

2. Lower marginal costs: Platform firms often have lower marginal costs compared to product firms. This is because, once the digital platform is built, the cost of adding new users or facilitating transactions is minimal. Lower costs result in higher profit margins, which can contribute to higher market valuations.

3. Network effects: Platform firms benefit from network effects, which occur when the value of the platform increases as more users join. The more users on a platform, the more attractive it becomes for others to join, creating a positive feedback loop that further enhances the platform's value. This leads to a higher market capitalization.

In conclusion, the higher ratio of market capitalization to employees for platform firms can be attributed to their scalable business models, lower marginal costs, and network effects, which all contribute to increased market valuations compared to product firms.

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The World Trade Organization (WTO) is critical to the facility location decision process because of their impact on: a. Innovation b. Southeast Asian Nations c. Relationship marketing d. Tariffs

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Due to its influence on Tariffs, the World Trade Organisation (WTO) is crucial to the decision-making process for facility sites. Here option D is the correct answer.

The World Trade Organization (WTO) plays a critical role in the facility location decision process for companies that engage in international trade. One of the key ways in which the WTO impacts this process is through its regulation of tariffs.

Tariffs are taxes that countries impose on imported goods, and they can significantly affect the cost of doing business in a particular location. For example, high tariffs on imported raw materials may make it less cost-effective to locate a production facility in a particular country.

In addition to regulating tariffs, the WTO also promotes innovation through its intellectual property agreements. This can be an important consideration for companies that rely on intellectual property rights to protect their products and services. The WTO also promotes relationship marketing by encouraging countries to adopt fair trade practices and by providing a forum for resolving disputes between trading partners.

Finally, the WTO's impact on Southeast Asian nations is significant, as these countries are important players in the global trade system. The WTO provides a framework for these nations to participate in international trade on an equal footing with more developed countries, and it helps to promote economic development and growth in the region.

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Under which of the following circumstances will a partner recognize a gain from an operating distribution? Multiple Choice A partner will never recognize a gain from an operating distribution. A partner will recognize a gain from an operating distribution when the partnership distributes property other than money with an inside basis greater than the partner's basis in the partnership interest. A partner will recognize a gain from an operating distribution when the partnership distributes money in an amount that is less than the partner's basis in the partnership interest. A partner will recognize a gain from an operating distribution when the partnership distributes money in an amount that is greater than the partner's basis in the partnership interest.

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The following statement about partnership operating assets distributed is accurate circumstances will a partner recognize a gain from an operating distribution. The correct answer is A. partner will recognize a gain from an operating distribution when the partnership distributes money.

If their outside basis excercise the bases of the assets allocated in an operating distribution. A capital distribution is a dividend given in exchange for the delivery of a company's property, such as shares of a class or series of common stock.

That is owned by the company's shareholders. A partner will recognize a gain from an operating distribution when the partnership distributes money in an amount that is greater than the partner's basis in the partnership interest. When you distribute your property in a Stirpes manner (also known as "by proxy"), all of your offspring receive an equal share, but not just one of them. A person's share passes to their offspring (your grandkids) if they pass away.

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The outstanding bonds of Roy Thomas, Inc. provide a real rate of return of 3.6%. The current rate of inflation is 2.5%. What is the nominal rate of return on these bonds

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The nominal rate of return on the bonds is calculated using the Fisher equation: Nominal rate = Real rate + Inflation rate.  So, Nominal rate = 3.6% + 2.5% = 6.1%.

The real rate of return is the rate of return adjusted for inflation, while the nominal rate of return is the rate of return without any adjustment for inflation. In this scenario, the real rate of return is given as 3.6%, which means that the bond yield takes into account the current rate of inflation. The inflation rate is 2.5%. To determine the nominal rate of return, multiply the real rate of return by the inflation rate:

Nominal rate of return = Real rate of return + Inflation rate

Nominal rate of return = 3.6% + 2.5%

Nominal rate of return = 6.1%

Therefore, the nominal rate of return on the bonds of Roy Thomas, Inc. is 6.1%.

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1. A carpet manufacturer has delivered carpet directly to the end consumer rather than to the carpet dealer. The carpet manufacturer is practicing what

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In this scenario, the carpet manufacturer is practicing a distribution strategy known as direct-to-consumer (DTC) or direct-to-customer (DTC) distribution. This means that instead of selling their products to a middleman such as a carpet dealer or retailer, the manufacturer is selling their products directly to the end consumer.

This distribution strategy has become increasingly popular in recent years due to the rise of e-commerce and the ability for manufacturers to reach consumers through their own online channels. By bypassing traditional distribution channels, manufacturers can often offer lower prices to consumers while still maintaining a healthy profit margin. Additionally, DTC distribution allows manufacturers to have more control over the marketing and branding of their products, as well as more direct access to customer feedback and preferences.

However, DTC distribution can also have some drawbacks. Manufacturers may have to invest more in their own marketing and customer service efforts, as they no longer have a middleman to handle these aspects of the business. Additionally, cutting out intermediaries in the distribution process may strain relationships with dealers and retailers who feel threatened by the manufacturer's direct sales to consumers.

In summary, the carpet manufacturer in this scenario is practicing direct-to-consumer distribution, which can have both benefits and drawbacks for the business.

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A _________ strategy is a general way of positioning a firm within an industry. Group of answer choices marked standard micro pattern generic

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A 4- generic strategy is a broad, general approach that a firm can take to position itself within an industry.

This approach typically focuses on either cost leadership, differentiation, or a combination of the two.

A cost leadership strategy involves achieving the lowest cost of production or delivery of a product or service in an industry. This allows the firm to offer its products or services at a lower price than its competitors, thereby gaining a competitive advantage.

A differentiation strategy involves creating a unique and valuable product or service that sets the firm apart from its competitors. This allows the firm to charge a premium price for its products or services, and to attract customers who are willing to pay more for the added value.

A firm may also pursue a combination of cost leadership and differentiation, known as a "best-cost" strategy, in which it seeks to offer a product or service with a balance of low cost and high value.

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the complete question is:

A _________ strategy is a general way of positioning a firm within an industry. Group of answer choices 1-marked standard

2micro

3-pattern

4-generic

ameroon Corporation manufactures and sells electric staplers for $17 each. If 14,400 units were sold in December, and management forecasts 5% growth in sales each month, the number of units of electric stapler sales budgeted for February should be:

Answers

The number of units of electric stapler sales budgeted for February should be 15,876 units.

Based on the information given, we know that Ameeroon Corporation sold 14,400 units of electric staplers in December for $17 each. To calculate the sales budget for February, we need to take into account the 5% growth in sales each month.
To do this, we can use the following formula:
Sales Budget = Previous Sales * (1 + Growth Rate)^Number of Months
In this case, the previous sales are 14,400 units and the growth rate is 5%. We need to calculate the number of months from December to February, which is 2 months.
Plugging in the numbers, we get:
Sales Budget = 14,400 * (1 + 0.05)^2
Sales Budget = 14,400 * 1.1025
Sales Budget = 15,876 units

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Suppose a firm imports goods from Europe and the import price is denominated in euros, then ________.

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Suppose a firm imports goods from Europe and the import price is denominated in euros, then the firm will need to engage in foreign exchange transactions to convert its domestic currency into euros.


Step-by-step explanation:

1. The firm will first determine the total cost of the imported goods in euros, based on the agreed upon price with the European supplier.


2. Next, the firm will need to check the current exchange rate between its domestic currency and the euro, which fluctuates due to market factors such as supply and demand, economic indicators, and geopolitical events.


3. The firm will then calculate the amount of domestic currency needed to purchase the required euros, by multiplying the cost of the imported goods in euros by the current exchange rate.


4. Once the amount of domestic currency needed is determined, the firm will either engage in a spot transaction, where it purchases the required euros immediately at the current exchange rate, or enter into a forward contract, where it agrees to purchase the euros at a future date at a pre-determined exchange rate.


5. After obtaining the necessary euros, the firm can complete the payment for the imported goods, ensuring a smooth transaction with its European supplier.

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The stepping stone year is the second year after the explicit forecast period when valuing a ventures. Group of answer choices True False

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The statement is False. The term "stepping stone year" is not a widely recognized or commonly used term in the context of valuing ventures.

However, it is common to use a "terminal value" to estimate the value of a company beyond the explicit forecast period, which is typically a period of 5 to 10 years. The terminal value represents the present value of all cash flows beyond the explicit forecast period and is often based on a multiple of the company's projected earnings or cash flows at the end of the forecast period. The terminal value calculation is an important part of a discounted cash flow (DCF) analysis, which is a commonly used valuation method for ventures.

The DCF analysis estimates the present value of a company's future cash flows by discounting them back to their present value using a discount rate that reflects the risk of the investment. While the explicit forecast period is typically the first 5 to 10 years of the company's operations, the terminal value represents the estimated value of the company beyond that period. In summary, the stepping stone year is not a commonly used term in venture valuation, but the terminal value is an important concept in estimating the value of a company beyond the explicit forecast period.

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The following data are the seasonally adjusted percent changes from the preceding month for the United States. February 2020 March 2020 Total PPI -0.5 -0.4 Core PPI -0.1 -0.2 The aggregate price level in March 2020, as measured by the total PPI, was _____ it was in February 2020

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The seasonally adjusted percent change from February 2020 to March 2020 for the Total PPI was -0.4. the aggregate price level in March 2020, as measured by the Total PPI, was about 0.4% lower than it was in February 2020.

To calculate the aggregate price level in March 2020 relative to February 2020, we can use the following formula:

Aggregate Price Level = 100% + Percent Change

Plugging in the percent change, we get:

Aggregate Price Level = 100% - 0.4%

= 99.6%

Therefore, the aggregate price level in March 2020, as measured by the Total PPI, was about 0.4% lower than it was in February 2020.

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On December 31, there were 26 units remaining in ending inventory. Using the perpetual FIFO inventory costing method, what is the cost of the ending inventory

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The cost of the ending inventory using the perpetual FIFO inventory costing method is $3,200.

To calculate the cost of the ending inventory using the perpetual FIFO (First-In, First-Out) inventory costing method, we need to determine the cost of the 26 remaining units in the inventory based on the order they were purchased.

1. Identify the number of units purchased throughout the year:
  January: 10 units at $120
  February: 20 units at $125
  May: 15 units at $130
  September: 12 units at $135
  November: 10 units at $140

2. Apply the FIFO method to find the cost of the 26 remaining units in ending inventory. We will go through the purchases chronologically and account for 26 units.

  a. First, take all 10 units from January at $120 each.
     Remaining units to account for: 26 - 10 = 16 units

  b. Next, take all 16 units from February at $125 each. We don't need more units from other months because we have accounted for all 26 units.

3. Calculate the total cost of the 26 units in ending inventory:

  - 10 units from January: 10 * $120 = $1,200
  - 16 units from February: 16 * $125 = $2,000

  Total cost of ending inventory: $1,200 + $2,000 = $3,200

The cost of the ending inventory using the perpetual FIFO inventory costing method is $3,200. Therefore, the correct answer is option (b) $3,200.

The complete question is:

On December 31, there were 26 units remaining in ending inventory. Using the perpetual FIFO inventory costing method, what is the cost of the ending inventory?

A company had the following purchases during the year:

January  10 units at $120

Februray  20 units at $125

May  15 units at $130

September   12 units at $135

November 10 units at $140

Option are:

a) $3280

b) $3200

c) $3445

d) $3540

e) 3640

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HP relies heavily on wholesale and retail channel partners to distribute its computers. Dell elects to sell most of its computers directly to consumers without using intermediaries. Clearly, these firms have different _____.

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HP relies heavily on wholesale and retail channel partners to distribute its computers. Hence, HP and Dell have different distribution strategies.

HP relies on wholesale and retail channel partners to distribute its computers, while Dell chooses to sell most of its computers directly to consumers without intermediaries. This difference in distribution strategies is largely influenced by the companies' business models, product lines, and target markets.

HP has a diverse range of products, including personal computers, printers, and other hardware devices. Thus, it is easier for HP to distribute its products through channel partners who have access to a wide range of customers. On the other hand, Dell focuses mainly on personal computers and laptops, which are relatively easy to distribute directly to consumers. Dell's direct-to-consumer approach allows the company to have greater control over its supply chain, pricing, and customer experience.

Overall, both HP and Dell have effective distribution strategies that have allowed them to become successful companies in the computer industry. However, the difference in their distribution strategies highlights the importance of choosing the right distribution channels based on a company's business model, product line, and target market.

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Once R&D identifies an idea for a new product, what are the three main components of production planning?a. Design, facilities, and materials b. Design, facilities, and operational c. Design, materials, and operational d. Design, employee, and conversion e. Design, operational, and employee O lcon Key

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Design, facilities, and operational planning are the three key components of production planning once R&D identifies an idea for a new product.

The three main components of production planning once R&D identifies an idea for a new product are design, facilities, and operational. Design is the first and foremost component of production planning as it involves creating a blueprint of the product to be produced. This includes designing the product's features, specifications, and functionality. Facilities are the second important component, as it involves identifying the location and infrastructure required to manufacture the product. Facilities planning involves determining the necessary equipment, space, and utilities needed for production. Operational planning is the third component and includes the process of determining the sequence of steps required for producing the product, the time required to complete each step, and the resources needed to execute each step. This also involves setting production schedules and determining the required labor and staffing needs.

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The Roscoe Company's March 31 bank statement balance was $72,500. As of March 31, outstanding checks total $23,000 and deposits in transit total $15,500. Assuming there are no other reconciling items, what was the March 31 cash balance on Roscoe's books

Answers

March 31 cash balance on Roscoe's books was $65,000.

We first need to understand what a bank reconciliation is. A bank reconciliation is a process of comparing the balance in a company's accounting records with the balance shown on the bank statement.

This is done to identify any differences and reconcile them to ensure that the company's records match the bank's records. Now, let's look at the information provided in the question. The bank statement balance on March 31 was $72,500. However, there were outstanding checks totaling $23,000 that had not cleared the bank by March 31, and there were deposits in transit totaling $15,500 that had not been credited to the account by March 31. These are the two items that need to be reconciled.

To reconcile these items, we need to adjust the bank statement balance. We do this by subtracting the outstanding checks and adding the deposits in transit. The adjusted bank statement balance is calculated as follows:

Bank statement balance: $72,500
Outstanding checks: -$23,000
Deposits in transit: +$15,500

Adjusted bank statement balance: $65,000

Now, we need to determine the cash balance on Roscoe's books as of March 31. To do this, we need to take into account any transactions that may have occurred since the last bank statement. If there were no other reconciling items, then the cash balance on Roscoe's books should be the adjusted bank statement balance of $65,000.

In summary, assuming there are no other reconciling items, the March 31 cash balance on Roscoe's books was $65,000. This was calculated by adjusting the bank statement balance for outstanding checks and deposits in transit. I hope this long answer helps!
To calculate the March 31 cash balance on Roscoe's books, we need to consider the bank statement balance, outstanding checks, and deposits in transit. Here's a step-by-step explanation:

1. Start with the March 31 bank statement balance: $72,500.
2. Subtract the total outstanding checks: $72,500 - $23,000 = $49,500.
3. Add the total deposits in transit: $49,500 + $15,500 = $65,000.

Based on this information, the March 31 cash balance on Roscoe's books was $65,000.

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When managers ask all of the job applicants the same set of standard questions in an interview, this is an example of a(n) ______ interview.

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When managers ask all of the job applicants the same set of standard questions in an interview, this is an example of a structured interview.

Structured interviews are a common type of interview used in the hiring process. They involve a set of pre-determined questions that are asked of each candidate in the same order. Structured interviews are designed to eliminate bias in the hiring process by ensuring that each candidate is evaluated on the same set of criteria. Structured interviews are typically used in situations where there are a large number of candidates for a position or when the job requires specific skills or experience.

They are also useful in industries where there are high turnover rates or where the work is highly repetitive. They are more objective, as each candidate is asked the same set of questions in the same order. This helps to eliminate any potential bias that may arise from differences in the interviewer's approach or questioning style.

Structured interviews are also more reliable and valid, as they provide a standardized measure of the candidate's abilities and qualifications. In conclusion, structured interviews are an effective way to assess job applicants in a fair and objective manner. By using a standardized set of questions, managers can evaluate each candidate's qualifications in a consistent and reliable way, which can ultimately lead to better hiring decisions.

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Direct materials$ 20per unit Direct labor$ 22per unit Variable overhead$ 13per unit Fixed overhead$ 44,000per year Variable selling and administrative expenses$ 3per unit Fixed selling and administrative expenses$ 67,200per year Sales price$ 90per unit Ramort doubles its production from 22,000 to 44,000 units while sales remain at the current 22,000 unit level. (a) Compute gross profit when production is 44,000 units under absorption costing. (b) What is the change in gross profit by increasing production from 22,000 units to 44,000 units under absorption costing

Answers

(a) The gross profit when production is 44,000 units under absorption costing is $770,000.

(b) The change in gross profit by increasing production from 22,000 units to 44,000 units under absorption costing is $726,000.

To calculate the gross profit when production is 44,000 units under absorption costing, consider the costs and expenses associated with production and sales.

(a) Gross profit when production is 44,000 units under absorption costing:

Calculate the total variable cost per unit:

Total variable cost per unit = Direct materials per unit + Direct labor per unit + Variable overhead per unit

Total variable cost per unit = [tex]\$20 + \$22 + $13 = \$55 per unit[/tex]

Calculate the total fixed cost per unit:

Total fixed cost per unit = (Fixed overhead per year + Fixed selling and administrative expenses per year) / Total units produced

Total fixed cost per unit = [tex](\$44,000 + \$67,200) / 44,000 units = \$3.10 per unit[/tex]

Calculate the cost of goods sold (COGS):

COGS = [tex]' Total variable cost per unit' * 'Total units sold'[/tex]

COGS = [tex]\$55 * 22,000 units[/tex]

           = $1,210,000

Calculate the gross profit:

Gross profit = Total sales revenue - COGS

Gross profit = [tex]\text {Sales price per unit} * \text{Total units sold} - COGS\\[/tex]

Gross profit = [tex]\$90 * 22,000 units - \$1,210,000[/tex]

After calculation,

Gross profit = [tex]\$1,980,000 - \$1,210,000[/tex]

Gross profit = $770,000

Therefore, the gross profit when production is 44,000 units under absorption costing is $770,000.

(b) To determine the change in gross profit by increasing production from 22,000 units to 44,000 units under absorption costing, calculate the gross profit for both scenarios and compare them:

Gross profit when production is 22,000 units under absorption costing. Using the same calculations as above, the gross profit is $770,000. The gross profit when production is 44,000 units under absorption costing is $770,000.

Therefore, there is no change in gross profit when production is increased from 22,000 units to 44,000 units under absorption costing.

Gross profit helps in showing the difference between net sales revenue and the cost of goods sold (COGS). It tells the profitability of a company's core operations,  like the production or sale of goods.

Gross profit calculates the amount of money an organization keeps after subtracting the direct costs of producing or acquiring the goods that has been sold.

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(a) The net benefit when creation is 44,000 units under retention costing is - $595,200.

(b) The adjustment of net benefit by expanding creation from 22,000 units to 44,000 units under retention costing is $0.

(a) Net benefit when creation is 44,000 units under ingestion costing:

To begin with, we should work out the all out fixed assembling above per unit:

All out Fixed Assembling Above = Fixed Above/Creation Amount

=$44,000/22,000 units

=$2 for each unit

Cost per Unit = Direct Materials + Direct Work + Variable Above + All out Fixed Assembling Above

= $20 + $22 + $13 + $2

=$57

All out Assembling Cost = Cost per Unit * Creation Amount

= $57 * 44,000 units

= $2,508,000

All out Cost of Products Sold = Complete Assembling Cost + Fixed Selling and Authoritative Costs

= $2,508,000 + $67,200

= $2,575,200

Net Benefit = Complete Deals - Absolute Expense of Merchandise Sold

Net Benefit = Deals Cost per Unit * Deals Amount - All out Cost of Products Sold

= $90 * 22,000 units - $2,575,200

= $1,980,000 - $2,575,200

= -$595,200

(b) Change in net benefit by expanding creation from 22,000 units to 44,000 units under retention costing:

To work out the adjustment of net benefit, we want to look at the net benefits at the two creation levels.

Net Benefit at 22,000 units = $1,980,000 - $2,575,200 = - $595,200

Net Benefit at 44,000 units = - $595,200

The adjustment of net benefit is the contrast between the two levels:

Change in Net Benefit = Net Benefit at 44,000 units - Net Benefit at 22,000 units

Change in Net Benefit = - $595,200 - (- $595,200)

Change in Net Benefit = $0

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When determining which business units to retain in the corporate portfolio, the Boston Consulting Group developed a decision matrix. In this model, what's a name for a firm with high market share units within fast-growing industries

Answers

In the Boston Consulting Group's decision matrix, a firm with high market share units within fast-growing industries is referred to as a "star."

Stars are business units that have a high market share in a fast-growing market or industry and are expected to generate a significant amount of revenue and profits in the future. They require significant investment to maintain their position and continue growing but have the potential to become cash cows in the future.

The BCG matrix also categorizes other business units as "cash cows," "question marks," and "dogs," based on their market share and industry growth rates.

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A bond issued by the U.S. Treasury with a maturity of 90 days is sold on the(1 point) secondary market. secondary market. capital market. capital market. money market. money market. primary market.

Answers

A bond issued by the U.S. Treasury with a maturity of 90 days is sold on the money market. Option c is answer.

The money market is where short-term debt instruments, such as Treasury bills, commercial paper, and certificates of deposit, are bought and sold. These instruments typically have maturities of one year or less. A 90-day Treasury bond falls within this short-term category, making it eligible to be traded in the money market.

The money market provides a platform for investors and institutions to meet their short-term funding needs or invest surplus funds for a relatively short duration. It is characterized by high liquidity, low risk, and low returns compared to other financial markets. Treasury bills, in particular, are considered one of the safest investments since they are backed by the U.S. government.

In summary, a 90-day Treasury bond would be sold on the money market, which is specifically designed for short-term debt instruments with maturities of one year or less.

Option c is answer.

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A. appeal to the reasonableness of a product's benefits.
B. inspire the audience's confidence in a product's quality.
C. sell products that are superior to others.
D. are more successful than ads without celebrities.

Answers

The correct answer is B. Advertisements that use celebrity endorsements inspire the audience's confidence in a product's quality. Celebrity endorsements can help to create an emotional connection with a product and increase brand visibility.
Most likely B: inspire the audiences confidence in a products quality.

By using a celebrity you are using there credibility as your own for the product. Therefor insuring confidence in the product.

8. Rosen Fashions’ common stock recently paid a dividend of $2.75. Investors require a 18% rate of return on this stock. Rosen earns a 30% return on equity. The firm pays 55% of its earnings as dividends, and reinvests 45% of earnings in the firm. What is the value of the stock? a) $61 d) $15 b) $69 e) $17 c) $208

Answers

The value of Rosen Fashions' common stock is approximately $69.36. So, the correct answer is b) $69.

To find the value of Rosen Fashions' common stock, we need to use the Dividend Discount Model (DDM). The DDM calculates the value of a stock based on the present value of future dividend payments. Here's the step-by-step explanation:

1. Find the dividend growth rate: Since Rosen Fashions earns a 30% return on equity and reinvests 45% of earnings in the firm, the growth rate (g) can be calculated as follows:

g = Return on equity * Retention ratio
g = 0.3 * 0.45
g = 0.135 or 13.5%

2. Calculate the required rate of return (k): Investors require an 18% rate of return on this stock, so k = 0.18 or 18%.

3. Determine the most recent dividend (D0): The most recent dividend paid was $2.75.

4. Calculate the expected dividend next year (D1): Since we know the dividend growth rate, we can find the expected dividend next year:

D1 = D0 * (1 + g)
D1 = 2.75 * (1 + 0.135)
D1 = 2.75 * 1.135
D1 = $3.12125

5. Finally, find the value of the stock (P0) using the DDM formula:

P0 = D1 / (k - g)
P0 = 3.12125 / (0.18 - 0.135)
P0 = 3.12125 / 0.045
P0 = $69.36111

Based on the calculations, the value of Rosen Fashions' common stock is approximately $69.36. So, the correct answer is b) $69.

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Experience-dependent brain growth ________. occurs throughout our lives depends on young children's ordinary explorations of and interactions with their environment provides the foundation for experience-expectant brain growth refers to the young brain's rapidly developing organization

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Experience-dependent brain growth is not limited to early childhood. Throughout our lives, we continue to learn and adapt to new experiences, and our brains respond accordingly. This means that we can continue to shape our brains and improve our cognitive abilities well into adulthood.

Experience-dependent brain growth refers to the ongoing changes in brain structure and function that occur throughout our lives in response to our experiences and interactions with the environment. This process is distinct from experience-expectant brain growth, which refers to the young brain's rapidly developing organization in response to specific, biologically programmed experiences. Experience-dependent brain growth is more flexible and adaptable and depends on the individual's unique experiences and learning opportunities.

One of the most important factors in experience-dependent brain growth is young children's ordinary explorations of and interactions with their environment. As they play, explore, and engage with the world around them, they are building new neural connections and strengthen existing ones. This provides the foundation for later learning and development and helps to shape the individual's cognitive, emotional, and social abilities.

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g consider a two-year disinflation. in the first year pi = 0.04 and pi = 0.08. in the second year pi = 0.04 and pi =0.04. find unemployment rate in the first year

Answers

To calculate the unemployment rate in the first year, we can use the Phillips Curve, which shows the inverse relationship between inflation (π) and unemployment rate.

The Phillips Curve can be expressed as follows:

π - πe = -α (u - u*)

Where:

π = actual inflation rate
πe = expected inflation rate
α = a positive constant
u = actual unemployment rate
u* = natural rate of unemployment

In the first year, π = 0.04 and πe = 0.08. We need to find the unemployment rate (u). However, we don't have the values for α and u*. Without these values, we cannot directly calculate the unemployment rate using this equation.

Please provide the values for α and u* to continue with the calculation, or more information about the scenario to estimate these values.

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Regarding the notification of a broker-dealer's financial condition to customers, a brokerage firm must send semi-annual statements which include the firm's:

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A brokerage firm is required to send semi-annual statements which include the firm's net capital, aggregate indebtedness, excess net capital, and financial statement.  

1. Net capital: This figure represents the brokerage firm's liquid assets, which are available to meet its financial obligations. Net capital is a key measure of a firm's financial health, as it ensures the firm can cover its liabilities.

2. Aggregate indebtedness: This value represents the total amount of debt that the brokerage firm owes to its creditors. It is crucial for customers to know the firm's indebtedness, as it can impact the firm's ability to continue its operations.

3. Excess net capital: This is the difference between the firm's net capital and the minimum net capital required by regulatory authorities. Excess net capital indicates the financial cushion that the firm has in place to cover unforeseen expenses or downturns in the market.

4. Financial statement: The semi-annual statement must also include a comprehensive financial statement that outlines the firm's assets, liabilities, and equity. This helps customers understand the overall financial condition of the brokerage firm.

In summary, brokerage firms are required to send semi-annual statements to their customers, providing them with key information on the firm's financial condition. These statements must include the firm's net capital, aggregate indebtedness, excess net capital, and a detailed financial statement.

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In Reimbursement, the primary insurance plan for a child of divorced parents, the ___________________________ plan is primary.

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In reimbursement, the primary insurance plan for a child of divorced parents is determined by the order of liability set forth in the court's decree of divorce or separation.

This means that if the decree designates one parent's insurance plan as the primary plan, that plan will be responsible for paying for the child's medical expenses first, up to the limits of its coverage.

If the primary plan's coverage is exhausted or insufficient, the secondary plan (i.e. the other parent's insurance plan) will then become responsible for paying the remaining expenses.

It is important for divorced parents to understand and follow the order of liability set forth in their decree to avoid confusion and potential disputes regarding insurance coverage and reimbursement.

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Company A is structured like many other major companies, but its goal is to benefit society, not to make money, company A is a:

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Company A is a type of social enterprise or a nonprofit organization that aims to benefit society through its activities, rather than solely pursuing profit as its primary goal.

These types of organizations may have a similar structure to for-profit companies, but their mission and objectives are centered around creating positive social and environmental impact. Unlike traditional businesses, social enterprises reinvest their profits into their social mission, rather than distributing them to shareholders.

Some examples of social enterprises include fair trade organizations, community development corporations, and social service agencies. By prioritizing social and environmental outcomes, these organizations seek to create sustainable and equitable solutions for a wide range of societal issues.

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While innovations in cotton production impacted the economies of the Southern states, which innovation of the Industrial Revolution in the early 1800s most positively impacted the economies of Northern states

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During the early 1800s, the Industrial Revolution brought about many innovations that positively impacted the economies of Northern states in the United States. One of the most significant innovations during this time was the development of the textile industry.

In particular, the spinning jenny and power loom greatly increased the efficiency of textile production and allowed for larger quantities of textiles to be produced at a lower cost. This innovation led to the growth of textile mills and factories in Northern states such as Massachusetts, Connecticut, and Rhode Island. These mills and factories not only provided jobs for thousands of workers but also stimulated the growth of supporting industries such as transportation and finance. Additionally, the availability of affordable textiles allowed for the growth of other industries such as clothing and furniture manufacturing. The growth of the textile industry in the North also had a significant impact on international trade. The availability of cheap textiles made in the North helped to fuel the growth of the British textile industry, which in turn, fueled the growth of the British economy. This led to increased trade between the United States and Britain, which further boosted the economy of the Northern states. In summary, the development of the textile industry during the Industrial Revolution in the early 1800s was the most positively impactful innovation on the economies of Northern states. It led to the growth of factories, created jobs, stimulated supporting industries, and had a significant impact on international trade.

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The systematic examination of the relationships among selling prices, volume of sales and production, costs, and profits is termed

Answers

The systematic examination of the relationships among selling prices, volume of sales and production, costs, and profits is termed as "cost-volume-profit analysis" or CVP analysis. CVP analysis is a vital tool in managerial accounting, as it helps businesses understand the impact of varying levels of production and sales on their overall costs, revenues, and profits.


1. Identify the relevant variables: Determine the fixed costs (expenses that remain constant regardless of the production volume) and variable costs (expenses that change with the level of production) for your business.

2. Establish the contribution margin: Calculate the contribution margin by subtracting variable costs per unit from the selling price per unit. This represents the profit per unit before considering fixed costs.

3. Determine the breakeven point: Calculate the breakeven point in units by dividing the total fixed costs by the contribution margin per unit. This represents the number of units that must be sold to cover all costs (both fixed and variable) and achieve zero profit.

4. Analyze the profit: Estimate the profit at different levels of sales volume by multiplying the contribution margin per unit by the number of units sold, then subtracting the total fixed costs.

5. Assess the impact of changes: Evaluate how changes in selling price, variable costs, or fixed costs affect the breakeven point and profit levels. By using CVP analysis, businesses can make informed decisions regarding pricing strategies, production levels, and cost management to maximize profitability.

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4. Suppose you purchase one Texas Instruments August 75 call contract quoted at $8.50. If, at expiration, the price of a share of Texas Instruments stock is $79, your profit would be _________. (Note: One contract consists of 100 options.)

Answers

Your profit would be $150 after considering the call option's strike price, stock price at expiration, and the initial cost of the contract.


You purchased the call option at $8.50, which gives you the right to buy the stock at $75. At expiration, the stock price is $79. This means you can buy the stock at $75 and sell it at $79, resulting in a $4 profit per share. Since one contract consists of 100 options, the total profit per contract would be $4 x 100 = $400. However, you need to subtract the initial cost of the contract, which was $8.50 x 100 = $850. Therefore, your net profit would be $400 - $850 = -$450.

However, since you bought the call option, you can choose not to exercise it, resulting in a loss of just the initial cost, $850. So, your profit in this case would be -$850 + $1000 = $150.


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