Six Sigma quality implies an average of 3.4 defects per million opportunities (DPMO). This level of quality is achieved by reducing process variation and striving for near-perfect performance. The term "Sigma" refers to the standard deviation of a process, and Six Sigma corresponds to a process that operates with six standard deviations between the mean and the nearest specification limit.
The concept of Six Sigma is based on the statistical understanding that within six standard deviations of the mean, there is a negligible amount of defects or errors. This translates to a defect rate of 3.4 parts per million (ppm) or 0.00034%.
To calculate DPMO, we use the formula:
DPMO = (Number of defects / Number of opportunities) x 1,000,000
For Six Sigma quality, we assume 3.4 defects per million opportunities, so:
DPMO = (3.4 / 1,000,000) x 1,000,000 = 3.4
Six Sigma quality signifies an exceptionally low defect rate of 3.4 defects per million opportunities. Achieving this level of quality requires a rigorous focus on process improvement, reducing variation, and eliminating defects to deliver products or services with a high level of customer satisfaction.
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What level of market coverage is typically used for products like honest tea beverages? a.selective distribution b.physical distribution c.exclusive distribution d.intensive distribution
The level of market coverage is typically used for products like honest tea beverages physical distribution. option b
What is Market coverage?Market coverage involves the critically analyzing the market place to determine how an individual or organization will posses the market.
It is also called market share of an individual, where the total amount of people the market is able to hold as customers determines the coverage.
It can be measured based on how large the market is and the goods and services they sell.
The individual can use promotional strategy of a product as an approach. For beverages, physical distribution of the product can be done to attarct more customers.
Therefore, The level of market coverage is typically used for products like honest tea beverages physical distribution. option b
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When purchase costs of inventory regularly decline, which method of inventory costing will yield the lowest gross profit and income
LIFO method of inventory costing will yield the lowest gross profit and income.
The last in, first out (LIFO) approach for inventory accounting is utilized.
According to LIFO, expenses are deducted starting with the expenditures of the most recent goods that were bought (or produced).
Only in the United States is LIFO practiced, and it is governed by generally accepted accounting rules (GAAP).
The average cost approach and first in, first out (FIFO) are other techniques for accounting for inventories.
When prices are rising, using LIFO often reduces net revenue but offers tax benefits.
Hence, When purchase costs of inventory regularly decline, the LIFO method of inventory costing will yield the lowest gross profit and income.
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A department that incurs costs, generates revenues, and is responsible for effectively using department assets is considered a(n):
A department that incurs costs also it generates revenue and is also responsible for effectively using the departmental assets is considered as an investment center.
What is an Asset?An asset is controlled by the organization and which can result in future cash inflows for the organization. Assets are of two types intangible and tangible assets.
Using the perfect set of tangible and intangible assets a department generates revenue.
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Answer: Cost Center
Explanation:
Resource providers use accounting information to identify companies with high earnings potential because those companies are better able to ______.
Resource providers use accounting information to identify companies with high earnings potential because those companies are better able to make payment for goods or resources they buy and also have the ability to repay debt.
Why is company with high earning potential sought for?Companies with high earnings potential have the capability to manage their company.
Banks and other agencies look to working with them because they have a viable business tat brings in money from where they can also get their own share if they invest with them.
Therefore,
Resource providers use accounting information to identify companies with high earnings potential because those companies are better able to make payment for goods or resources they buy and also have the ability to repay debt.
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The interest rate charged to banks to borrow from the federal reserve is the _____
The interest rate charged to banks to borrow from the federal reserve is the discount rate.
The discount rate is known as the interest rate charged by the Federal Reserve on loans to banks. The Federal Open Market Committee consists of the Board of Governors, the President of the Federal Reserve Bank of New York, and the Presidents of five other regional Federal Reserve Banks.
The federal Funds Rate is the rate banks charge each other for lending the Federal Reserve money overnight. A country's central bank uses it in addition to other tools to promote economic stability by increasing or decreasing borrowing costs
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Which payment option can offer additional security like fraud protection? a. cash check b. debit card c. credit card
A credit card can offer additional security like fraud protection.
The answer is option C.
Credit cards provide higher consumer protections against fraud in comparison with debit playing cards related to a bank account. newer debit cards provide more credit score card-like protection, at the same time as many credit score playing cards no longer fee annual costs.
Debit cards can help you draw a budget directly out of your checking account. Debit cards generally offer more fraud protection than credit playing cards. Debit playing cards never require a signature to finalize a buy like credit score playing cards. Debit playing cards price higher hobby quotes on purchases than credit cards.
If a person used your debit card without your information or authorization, your liability is blanketed by way of the electronic finances Transfer Act, which gives you the right to assign fraudulent transactions.
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Answer:
credit card
Explanation:
In the process of reconciling its bank statement for January, Maxi's Clothing's accountant compiles the following information:
The adjusted cash balance per the books on January 31 is $4,055
What is ETF?Since bank service had been deducted from the bank, Maxis clothing had to deduct the same amount. When bank deducts any money, generally it notifies through text message or sometimes does not notify directly. Therefore, It had to be deducted from the cash book.
Through Electronic Fund Transfer (EFT), a payment had been made by the bank for Maxi clothing. Since the expense did not deduct from the cash book, the amount had to deduct it to get the adjusted book value.
Solution:
To find the adjusted book balance, we need the ending balance of the cash book:
Book balance $4,725
Less: bank service charges (25)
Less: EFT (380)
Less: NSF check returned by bank (265)
Adjusted book balance $4,055
Maxi's accounts receivable paid him a check and the firm immediately added the amount to the cash book. When the accountant went for depositing the check, there were not sufficient fund (NSF). Therefore, the amount did not add to the bank balance. Hence, the firm had to deduct it again.
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Question:
In the process of reconciling its bank statement for January, Maxi's Clothing's accountant compiles the following information:
Cash balance per company books on January 30 $4,725
Deposits in transit at month-end $1,800
Outstanding checks at month-end $520
Bank service charges $25
EFT automatically paid monthly, not yet recorded by Maxi $380
An NSF check returned on a customer account $265
The adjusted cash balance per the books on January 31 is:
(A) $5,855
(B) $4,585
(C) $5,335
(D) $4,055
(E) $4,815
Where would you go to review your client’s expense account to see if any transactions have been miscategorized?
If I had to review your client’s expense account to see if any transactions have been miscategorized, I would go to reclassify transactions in accountant tools.
By avoiding opening each transaction and reclassifying each one separately, this tool saves a ton of time.
You can choose a group of transactions and reclassify them into another account using the Reclassify Transactions feature in QuickBooks Online Accountant (QBOA).
The Reclassify Transactions tool searches a set of transactions based on a sort from either the Profit and Loss view or the Balance Sheet view.
This feature only filters to one of the two, not both at once.
Remember that you can change the classification from Profit and Loss to Balance Sheet or vice versa.
Hence, to review your client’s expense account to see if any transactions have been miscategorized we go to reclassify transactions in accountant tools.
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A change in depreciation method is treated as a change in estimate that is achieved by a change in accounting principle, and is accounted for:______.
A change in depreciation method is treated as a change in estimate that is achieved by a change in accounting principle, and is accounted for prospectively in the current and future periods.
The rules and regulations that businesses and other organizations must abide by when reporting financial data are known as accounting principles. These regulations standardize the terminology and procedures that accountants must employ, making it simpler to analyze financial data.
A unified set of accounting guidelines, methods, and standards known as generally accepted accounting principles (GAAP) were released by the Financial Accounting Standards Board (FASB).
The consistency that accounting principles establish enables more accurate and effective viewing of financial statements and reporting for businesses.
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Imagine that you have a friend who has expressed interest in designing and programming video games. He loves to play video games, and he thinks it would be a lot of fun to be able to work in the industry behind his favorite hobby. What would you say to him to get him to understand the qualifications needed to work in video game design
In order to get to the core of developing and programming video games, one must have a thorough understanding of coding and computer programming, and it might take weeks, months, or even years to finish a game. Getting into the video game industry would need a lot of effort and patience on his part. Programming computers and mobile applications might require years of schooling to complete.
This is further explained below.
What is video game design?Generally, Everything about a game is imagined by a videogame designer. This includes the storyline, the characters, the visuals, and the layouts. Designers get together with other groups to come up with a unified vision.
In conclusion, It should be brought to the audience's attention that getting to the fundamental level of creating and programming video games requires knowledge in coding and computer programming and that it takes weeks, months, or even years to finish developing a game in its entirety. In order for him to be successful in the video game production industry, he would need both time and patience. The education required to program computers and applications might take many years to complete.
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Intuitive decision making uses ____ to make decisions
Answer:
Judgment.
Explanation:
Intuitive decision making uses ____ to make decisions. Judgment.
Intuitive decision making uses judgement to make decisions. Correct answer is judgement.
What do you mean by Decision?Process of deciding is known as decision.
Rational decision-making is based on reasoning, evidence, and facts. Choosing among possibilities without using logic or analysis is what intuitive decision-making entails. It entails making decisions based on emotions or inadvertently recalling a memory.
Using your instincts to guide your decision-making is part of the intuitive paradigm. When the team is knowledgeable about the topic, this model is suitable. Generally speaking, it is less organized than other models and depends on team members using prior knowledge to spot patterns and use related solutions.
Therefore, Judgement is used to make decision in Intuitive decision making.
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Which two business and technical challenges does implementing virtualization within a data center help businesses to overcome?
Two technical and business challenges include physical footprint as well as the power and air conditioning at the data center.
Initially, only one server was built within one machine with one operating system only . The server also required power and a cool environment, also a method of backup is required.
Virtualized servers always require more compatible and robust hardware than a standard machine because a computer or server which has been installed in a virtual machine commonly shares hardware with more than one servers and operating systems.
By placing more than one servers within the same physical case, more space is saved.
The proper licenses for operating virtual systems or applications or both is always required and also need the proper security applications and settings applied on them.
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g Suppose the Federal Reserve begins to increase the supply of money at an increasing rate. What impact would that have on GDP, unemployment, and inflation
Expansionary monetary policy shifts AD to the right.
What is Expansionary monetary policy?Expansionary policy, often known as loose monetary policy, expands the availability of money and credit in order to stimulate economic growth. During difficult economic circumstances, a central bank may use expansionary monetary policy to reduce unemployment and stimulate growth.Impacts on GDP, unemployment, and inflation by the increase of supply of money:The Federal Reserve begins to grow the money supply at an increasing rate. The impact on GDP, unemployment, and inflation would be significant. AD is shifted to the right by expansionary monetary policy.Therefore, expansionary monetary policy shifts AD to the right.
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Which of the following could explain why a firm would decrease production of a good despite making significant accounting profit
The opportunity cost of an alternative foregone is greater could explain why a firm would decrease production of a good despite making significant accounting profit.
Opportunity costs are the potential gains that a person, investor, or company forgoes by selecting one option over another. Opportunity costs are by nature invisible, thus it is simple to miss them. Better choices may be made when a firm or individual is aware of the opportunities that can be lost by selecting one investment over another.
The capital structure of a company is greatly influenced by opportunity cost analysis. To make up for the investment risk, a company must pay costs when issuing debt and equity capital, but each has an opportunity cost as well. Loan repayment funds, for instance, cannot be used to purchase stocks or bonds, which have the potential to provide a return on investment.
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When manufacturing overhead costs are assigned to production in a process cost system, they are debited to.
When manufacturing overhead costs are assigned to production in a process cost system, they are debited to a work in process account.
What Is a Work-in-Progress (WIP)?
Production and supply-chain management terms for partially finished goods that are awaiting completion include "work-in-progress" (WIP). Raw materials, labor, and overhead expenses expended for goods that are in different phases of manufacturing are referred to as "work in progress," or WIP. On the balance sheet, WIP is a part of the asset account for inventory. The finished goods account receives these costs after which they are ultimately passed to the cost of sales.
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To satisfy the Statute of Frauds, a written contract or agreement must contain a description of the consideration promised.
It is a true statement that a typical written contract or agreement must contain a description of the consideration promised in order to satisfy the Statute of Frauds.
What is the Statute of Frauds?This refers to the legal concept that requires certain types of contracts to be executed in writing.
In the legal field, the Statute of Frauds covers contracts for the sale of land, agreements involving goods worth over $500 and contracts lasting one year or more.
Most times, the Statute of Frauds can be satisfied by any signed writing that:
identifies the subject matter of the contractis sufficient to indicate that a contract existsstates with reasonable certainty the material terms of the contract.Read more about Statute of Frauds
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Uunder which installments option does the annuitant select the amount of each payment, and the insurer determines how long they will pay benefits?
Under the installments for a fixed period annuity settlement option, the annuitant selects the time period for the benefits; the insurer determines how much each payment will be. This option pays for a specific amount of time only, and there are no life contingencies.
Identical payments are made over underneath a specific time body determined by means of the annuitant (e.g. 5, ten, or 20 years). If the annuitant dies in advance of the forestall of the rating period, the annuitant's beneficiary will collect the stableness of the remaining payments due.
A lifestyle insurance preference can be determined on an agreement below which the coverage proceeds are left on deposit with the coverage employer to accrue hobby and are paid to the beneficiary in identical bills for a specific quantity of years.
“Annuity fine” or “Annuity duration sure” is while payments are disbursed to you for a hard and fast time frame. In most instances, you could pick out a period beginning from five years to 30 years with a length of superb annuity.
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A large decrease in oil prices is an example of: _________
A. A positive inflation shock.
B. A negative inflation shock.
C. Inflation inertia.
D. Excessive aggregate spending
Answer:
d. Excessive aggregate spending
Dinklage corp. has 6 million shares of common stock outstanding. the current share price is $84, and the book value per share is $5. the company also has two bond issues outstanding. the first bond issue has a face value of $145 million, a coupon rate of 5 percent, and sells for 95 percent of par. the second issue has a face value of $130 million, a coupon rate of 4 percent, and s
The answers to the questions are given below.
A. The company's capital structure weights on a book value basis are:
Equity = 9.84%Debt = 90.16%B. The company's capital structure weights on a market value basis are:
Equity = 64.55%Debt = 35.45%What is the calculations about?A. The company's capital structure weights on a book value basis are:
Firm's Outstanding common stock = 6 million shares
Current share price = $84
Book value per share = $5
Hence, Total equity book value = $30 million (6,000,000 x $5)
Total equity market value = $504 million (6,000,000 x $84)
First bond's face value = $145 million
Coupon rate = 5%
Selling price = 95% of par
Market value of first bond = $145 x 95%
= $137.75 million
The Second bond's face value = $130 million
Coupon rate = 4%
Market value = $130 x 107% = $139.1 million
Total market value of bonds = $276.85 million ($137.75 + $139.1)
Book value of bonds = $275 million ($145 + $130)
Therefore, the company's capital structure by book value:
Equity = $30 million
Debt = $275 million
So, Total firm's value = $305 million
Hence:
Equity = $30/$305 x 100 = 9.84%
Debt = $275/$305 x 100 = 90.16%
B. Hence company's capital structure by market value:
Equity = $504 million
Debt = $276.85 million
Total firm's value = $780.85 million
Therefore:
Equity = $504/$780.85 x 100 = 64.55%
Debt = $276.85/$780.85 x 100 = 35.45%
See full question below
Dinklage Corp. has 6 million shares of common stock outstanding. The current share price is $84, and the book value per share is $5. The company also has two bond issues outstanding. The first bond issue has a face value of $145 million, a coupon rate of 5 percent, and sells for 95 percent of par. The second issue has a face value of $130 million, a coupon rate of 4 percent, and sells for 107 percent of par. The first issue matures in 24 years, the second in 9 years. Both bonds make semiannual coupon payments.
Required:
a. What are the company's capital structure weights on a book value basis?
b. What are the company's capital structure weights on a market value basis?
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When Nestor's U.S.-based company purchased a manufacturing facility in China, the company decided to increase the output of the facility by adding an overnight shift. The workers refused to work the overnight hours and eventually the U.S. owner agreed to return to a regular work schedule and output levels dropped. Which aspect of business is being affected by culture
Aspect of business is being affected by culture is production.
What is production?Production can be defined as the process of manufacturing or producing goods from raw material to finished products and it can as well be defined as the amount of goods or products manufactures at a particular period of time.
Hence, since the company want to increase output by introducing night shift and production will be affected if the worker refuse to work overnight hours as the output will reduce.
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In ________ cultures, economic systems tend to provide incentives and rewards for a person's private business initiatives.
In individualist cultures, economic systems tend to provide incentives and rewards for a person's private business initiatives.
economic incentives in private business
Monetary structures in individualist societies frequently offer incentives and rewards for an individual's private running of a business. Economic incentives are motivations to do particular things. They urge people to go after their financial goals. Money is a financial incentive to start a business or look for employment. Improvement can be encouraged by the number of tax breaks, grants, and Economic incentives. Incentives are exemptions, credits, deductions, or exclusions that lower a company's burden to the state or federal government in exchange for taking specific actions.
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The ROI calculation will indicate: Select one: a. the overall quality of a company's earnings. b. the invested capital generated from each dollar of income. c. the sales dollars generated from each dollar of income. d. the percentage of each sales dollar that is invested in assets. e. how effectively a company used its invested capital.
The ROI calculation will indicate (C) how effectively a company used its invested capital.
What is ROI?Return on investment, often known as return on costs, is a ratio of net income to investors. A high ROI indicates that the benefits of the investment outweigh the costs. ROI is used as a performance indicator to evaluate the efficiency of an investment or to compare the efficiencies of several investments.What is ROI calculation?A computation that compares the monetary value of an investment against its cost. (profit minus cost) / cost is the ROI formula. If you earned $10,000 from a $1,000 investment, your return on investment (ROI) would be 0.9, or 90%. This is commonly obtained by using an investment calculator.The ROI calculation will show how well a business utilizes its invested capital.As the description says, the ROI calculation will show how well a business utilizes its invested capital.
Therefore, the ROI calculation will indicate (C) how effectively a company used its invested capital.
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Complete question:
The ROI calculation will indicate:
A. the percentage of each sales dollar that is invested in assets.
B. the sales dollars generated from each dollar of income.
C. how effectively a company used its invested capital.
D. the invested capital generated from each dollar of income.
E. the overall quality of a company's earnings.
To avoid problems with schedules and deadlines, contractors are held accountable with _________ clauses in the contract for failure to perform up to standard.
To avoid problems with schedules and deadlines, contractors are held accountable with penalty clauses in the contract for failure to perform up to standard.
Party who comes in contract to perform certain tasks and breach the compensation in case the contract is failed to be completed is called a penalty clause resulting to the payment of certain penalty to the aggrieved party.
There are certain deadlines, schedules given by contractors so they could complete the task on time resulting to failure of performance upto a standard can lead a penalty .
The sum payable is the agreed amount or completion of work with providing spare days .
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Cindy’s car wash has average variable costs of $2 and average fixed costs of $3 when it produces 100 units of output (car washes). The firm's total cost is:______.
a. $100
b. 5200
c. $300
d. 5500
The firm's total cost is $500
AVC= 2
AFC = 3
ATC = AVC + AFC
= 2 + 3
=5
Output = 100
TC = ATC * OUTPUT
= 5 * 100
= 500
A firm is a for-profit enterprise, usually incorporated as a partnership, providing professional services such as legal and accounting services. The corporate theory assumes that firms exist to maximize profits
A company is a business that sells services or products, usually professional services, for profit. Business, on the other hand, refers to a business that engages in income-generating activities involving the sale of goods and services and includes all business divisions and structures.
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A taxing jurisdiction has a mill rate of 14.7. what is an owner’s tax bill if his assessed value is $250,000?
A taxing jurisdiction has a mill rate of 14.7. the owner’s tax bill would be $3,675.00. Over 55,000 jurisdictions make up the United States. The taxing authority that imposes the tax is known as a jurisdiction. A tax jurisdiction code is used to identify each jurisdiction.
The place where the transaction will be taxed is specified by this code. The tax jurisdiction code is a key that, along with the tax code and other factors, defines the tax amount and how the total tax amount is split between the several taxing authorities for payment. For calculating procedure TAXUSJ,
The system can handle up to four jurisdiction levels, and for TAXUSX, up to six jurisdiction levels. Each level of jurisdiction has a unique jurisdiction code.
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______ is paid communication with potential customers in a public medium, such as newspapers and television.Group of answer choicesJournalism
Advertising is paid communication with potential customers in a public medium, such as newspapers and television
This is further explained below.
What is Advertising?Generally, the activity of generating ads for commercial items or services, either as a job or as a hobby.
In conclusion, Advertising is the exchange of money for the use of a public medium, such as newspapers or television, to communicate with prospective clients.
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Projects where management has a choice in implementing them are called _____ projects.
They are called non-discretionary project.
A discretionary project is one that needs a governmental entity to apply judgement or consideration in determining whether the project will be authorized or if a permit will be provided.
Non-discretionary projects are those that must be completed or funded by law, policy, health and safety, or court order. These are the steps you must take. For example, reacting to court orders or external proposals such as rights-of-way applications or drilling licenses.
Non-Discretionary Items are expenditures due by the Partnership for taxes, utilities, insurance, debt service, and costs, as well as other payments owed by the Partnership under contracts or agreements.
Therefore, the blank is to be filled by non-discretionary project.
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The definition of Blank______ states: the difference between money coming into a country (from exports) and money leaving the country (from imports) plus money flows coming into or leaving a country from other factors such as tourism, foreign aid, military expenditures, and foreign investment.
The definition of Balance of Payments states:
The difference between money coming into a country (from exports) and money leaving the country (for imports) plus money flows from other factors such as tourism, foreign aid, military expenditures, and foreign investment.
What is Balance of Payments ?The balance of payments is a tool in international trade that demonstrates the financial transaction made by a particular country with foreign countries. Its most often includes export, import and transfer payments.
Theoretically, it should be zero as a country's assets should equal the liabilities. However, in practice, that is not always the case, as the country's debits and credits can create a discrepancy in the balance of payments, which creates a surplus or deficit.
A favorable balance of payment means that a country exports exceed imports. B.O.P records economic transactions of goods and services as well as other payments such as international aid, capital flow, and international remittances. A Favorable or positive balance of payment means that the aggregate of country foreign inflow exceeds outflows.
Thus, we can say that above definition state Balance of Payments.
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International trade is fundamentally a?
International trade is fundamentally a win win situation.
What is international trade?International trade is the process by which goods and services are traded between countries. People and countries have access to goods and services that are either unavailable or more expensive domestically because to global trade.
The exchange of money, goods, and services across international boundaries or regions is a result of a need or desire for certain commodities or services. The bulk of countries' gross domestic products benefit greatly from this trade.
The most common types of trade restrictions are tariffs, quotas, and nontariff barriers. In international trade, a tariff is an import tax imposed by the federal government that raises the price of the good for the customer. Often referred to as fees or import duties, tariffs usually begin by placing restrictions on certain goods.
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Mike company reported beginning and ending total assets of $240,000 and $320,000, respectively. Its net sales for the year was $341,600. What was mike's asset turnover ratio?
Asset Turnover Ratio = Net Sales / Average Total Assets
=$341,600/ $280,000
=28%
The ratio of a company's sales or revenues to the value of its assets is known as the asset turnover ratio.
It serves as a gauge of how well a business uses its resources to generate money. As a result, asset turnover ratio can be used to gauge a business' performance. The performance of the company improves as the ratio rises. The asset turnover ratio might vary from one organization to another.
A low asset turnover ratio typically denotes issues with excess manufacturing capacity, subpar inventory management, and subpar tax collection methods. It is typically calculated annually for a certain financial year. The ratio of assets to total assets is typically higher in low-margin businesses.
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