Time tickets are used in job order costing to: Multiple choice question. combine hours worked on several different jobs during the payroll period report hours worked on specific jobs during the payroll period

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Answer 1

Time tickets are a crucial component of job order costing, a cost accounting method used to determine the cost of a specific job or product. The Correct option is B

The purpose of time tickets is to report the hours worked by employees on specific jobs during the payroll period. By tracking the time spent on each job, companies can accurately allocate labor costs to specific jobs and calculate the total cost of each job. This information is then used to make informed decisions about pricing and resource allocation.

Time tickets also enable companies to monitor employee productivity and identify areas for improvement. Overall, time tickets are a valuable tool for companies using job order costing as they help ensure that labor costs are properly accounted for and jobs are priced appropriately.

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Complete Question:

Which of the following best describes the purpose of time tickets in job order costing?

A. To combine hours worked on several different jobs during the payroll period.

B. To report hours worked on specific jobs during the payroll period.  


Related Questions

Explain how a well-functioning financial system increases savings and investment spending, holding the budget balance and any capital flows fixed.

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A well-functioning financial system can increase savings and investment spending option b. It facilitates the flow of savings to their most productive uses, c. It lowers investment risk and d. It provides savers with liquid assets.

It facilitates the flow of savings to their most productive uses: A well-functioning financial system provides savers with access to a range of investment options, allowing them to allocate their savings to the most productive uses. This, in turn, can lead to increased investment spending and economic growth.

It lowers investment risk: A financial system that provides efficient and effective risk management tools, such as insurance, hedging, and diversification, can reduce the risks associated with investment. This can encourage savers to invest more, as they can do so with greater confidence and certainty.

It provides savers with liquid assets: A well-functioning financial system allows savers to easily convert their assets into cash or other highly liquid assets. This can increase the attractiveness of saving, as it gives savers greater flexibility and the ability to respond quickly to changing circumstances. Therefore, the correct answer options are b, c, and d.

The Question was Incomplete, Find the full content below :

How does a well-functioning financial system increase savings and investment spending, holding the budịct balance and any capital flows fixed?

Select all that apply.

a. It lowers the costs of negotiating financial transactions

b. It facilitates the flow of savings to their most productive uses

c. It lowers investment risk

d. It provides savers with liquid assets.

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Cunningham, Inc. sells MP3 players for $60 each. Variable costs are $40 per unit, and fixed costs total $90,000. What sales are needed by Cunningham to break

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Cunningham needs to generate $180,000 in sales revenue to break even and cover all of its costs. If they sell more than 3,000 units, they will start to make a profit, as the selling price per unit exceeds the variable cost per unit, resulting in a contribution margin that can cover the fixed costs and generate a profit.

To calculate the sales needed by Cunningham to break even, we need to use the following formula:
Break-even point (in units) = Fixed costs / (Selling price per unit - Variable cost per unit)
In this case, the selling price per unit is $60 and the variable cost per unit is $40, so we can plug in those values along with the fixed costs of $90,000:
Break-even point (in units) = $90,000 / ($60 - $40) = 3,000 units
This means that Cunningham needs to sell 3,000 MP3 players to cover all of its costs and break even. To calculate the sales revenue needed to reach this break-even point, we can multiply the number of units by the selling price per unit:
Sales revenue needed to break even = 3,000 units x $60 per unit = $180,000
Therefore, Cunningham needs to generate $180,000 in sales revenue to break even and cover all of its costs. If they sell more than 3,000 units, they will start to make a profit, as the selling price per unit exceeds the variable cost per unit, resulting in a contribution margin that can cover the fixed costs and generate a profit.

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You borrowed $200,000 on a 15-year mortgage at a 4.75% annual interest rate compounded daily. What is your monthly mortgage payment

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To calculate the monthly mortgage payment for a $200,000, 15-year mortgage at 4.75% annual interest rate compounded daily, we can use the following formula:

M = P * (r/12) * (1 + r/12)^(12*n) / ((1 + r/12)^(12*n) - 1)

where:

M = monthly mortgage payment
P = principal amount (the amount borrowed), which is $200,000 in this case
r = annual interest rate, which is 4.75%
n = number of years of the mortgage, which is 15 years in this case

Plugging in the values, we get:

M = 200000 * (0.0475/12) * (1 + 0.0475/12)^(12*15) / ((1 + 0.0475/12)^(12*15) - 1)

Simplifying this equation, we get:

M = $1,529.99 (rounded to the nearest penny)

Therefore, the monthly mortgage payment for a $200,000, 15-year mortgage at 4.75% annual interest rate compounded daily is $1,529.99.

Because it influences all aspects of the advertising program, it is essential to understand the needs and characteristics of the

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Because it influences all aspects of the advertising program, it is essential to understand the needs and characteristics of the target audience.

The target audience is the group of individuals or organizations that a marketing or advertising campaign is intended to reach. Understanding the needs, desires, attitudes, and behavior patterns of the target audience is crucial for developing effective advertising messages and strategies. Factors such as age, gender, income, education level, geographic location, and lifestyle can all impact the way in which an audience responds to advertising messages. Therefore, conducting thorough market research to gain insights into the target audience is essential for creating a successful advertising campaign.

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There is, for almost all projects, usually a dominant constraint that serves as the final arbiter of project decisions. True False

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True. In most projects, there is usually a dominant constraint that serves as the final arbiter of project decisions. This constraint is typically one of three factors: time, cost, or scope. For example, if a project is constrained by a tight deadline, decisions will be made with a focus on meeting that deadline.

Similarly, if a project is constrained by a limited budget, decisions will be made with a focus on staying within that budget. If a project is constrained by scope, decisions will be made with a focus on delivering the required scope of work.

Understanding the dominant constraint of a project is essential for project managers and their teams. It helps them to make informed decisions that keep the project on track and within the boundaries of the constraint. Failure to identify the dominant constraint can result in project delays, cost overruns, and scope creep.

By identifying and prioritizing the dominant constraint, project managers can develop a plan that ensures the project's success. This plan should include strategies to mitigate risks and manage resources effectively. It should also include regular monitoring and evaluation to ensure that the project stays on track and that decisions are aligned with the dominant constraint.

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Suzanne Limley was just elected to the board of directors at United Bank Corporation. As a board member, she is expected to represent the interests of

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As a board member of United Bank Corporation, Suzanne Limley is expected to represent the interests of the company and its stakeholders. This includes shareholders, employees, customers, and the broader community in which the bank operates.


In her role as a board member, Limley will have a fiduciary duty to act in the best interests of the company and its stakeholders. This means that she must exercise due diligence in understanding the bank's operations, financial performance, and strategic objectives. She will need to stay informed about the banking industry and economic trends that could impact the bank's operations.

Additionally, Limley must ensure that the bank is operating in compliance with applicable laws and regulations, and that it is adhering to ethical standards. She will need to work collaboratively with other board members and senior management to set policies, oversee operations, and make strategic decisions that will drive the bank's growth and success.

Overall, Suzanne Limley's role as a board member is critical to ensuring that United Bank Corporation operates in a responsible and sustainable manner that benefits all of its stakeholders.

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What information does the project charter contain that signifies how the customer or user of the final product, service or result will judge the deliverables, in order to determine that they have been completed satisfactorily?

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The project charter contains the information about the criteria or requirements by which the customer or user will judge the deliverables to determine their satisfactory completion.

The project charter is a document that formally authorizes a project and provides an overview of its objectives, scope, and stakeholders. One crucial aspect included in the project charter is the criteria or requirements that define how the customer or user will evaluate the deliverables to determine their satisfactory completion. These criteria could be specific performance indicators, quality standards, functional requirements, or any other measurable factors that are essential for the customer's satisfaction.

By clearly outlining these criteria in the project charter, the project team and stakeholders have a shared understanding of the expectations and can work towards meeting them. The project charter acts as a guiding document to ensure that the final product, service, or result meets the customer's or user's requirements and is considered satisfactory upon completion.

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administrative role in executing risk management policies and ensuring compliance with managed care organization (MCO) standards?

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The administrative role in executing risk management policies and ensuring compliance with managed care organization (MCO) standards is critical in any healthcare setting.

The administrative staff is responsible for developing and implementing policies and procedures that minimize risks and ensure the safety of patients and employees. They must work closely with the clinical staff to identify potential risks and develop effective strategies for managing them. The administrative staff is also responsible for monitoring compliance with MCO standards and regulations. They must ensure that the organization is following all guidelines set forth by the MCO and that the staff is properly trained to meet those standards. The administrative staff should also be involved in regular audits and assessments to identify areas where improvements can be made. In summary, the administrative role in executing risk management policies and ensuring compliance with MCO standards is essential for the success of any healthcare organization. Effective policies and procedures, proper training, and regular monitoring are key to minimizing risks and ensuring the safety of patients and employees.

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Suppose that the average wage earner saves 7% of her take-home pay and spends the other 93%. Also suppose that 93% of any amount spent is always re-spent (with 7% saved). Estimate the impact that a proposed $40 billion tax cut will have on the economy over the long run due to the additional spending generated. (Round your answer to the nearest integer.)

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The impact that a proposed $40 billion tax cut will have on the economy over the long run due to the additional spending generated can be estimated by using the multiplier effect formula, which is 1/MPS, where MPS is the marginal propensity to save.

In this case, the MPS is 0.07 (7% saved), which means the multiplier is approximately 14.29 (1/0.07). The multiplier effect refers to the idea that any initial injection of spending into the economy will have a ripple effect, as the money is re-spent by others. In this case, the initial injection is the $40 billion tax cut, which will lead to an increase in spending.

To estimate the impact of this tax cut, we need to consider the marginal propensity to save (MPS) of the average wage earner, which is 0.07 (7% saved). This means that for every additional dollar earned, the average wage earner will save $0.07 and spend $0.93. However, we also know that 93% of any amount spent is always re-spent (with 7% saved), which means that the $0.93 spent by the average wage earner will generate additional spending by others. Using the multiplier formula, we can estimate that the total increase in spending generated by the $40 billion tax cut will be approximately $571.4 billion (40 billion x 14.29).

Therefore, the impact of the proposed tax cut on the economy over the long run due to the additional spending generated will be an increase of approximately $571.4 billion.

1. First, we calculate the amount of the tax cut that is initially spent. As the average wage earner saves 7% and spends 93%, we multiply the tax cut by 0.93: $40 billion * 0.93 = $37.2 billion.

2. Next, we determine the spending multiplier. This is the sum of an infinite geometric series, which can be found using the formula S = a / (1 - r), where "a" is the initial amount spent, and "r" is the common ratio. In this case, r = 0.93 (the percentage of money that is re-spent).

3. Plugging the values into the formula, we get: S = $37.2 billion / (1 - 0.93) = $533 billion (rounded to the nearest integer).

4. Therefore, the proposed $40 billion tax cut will generate an additional $533 billion in spending over the long run.

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Prepare the journal entry to record the issue of each of these two bonds, assuming each company issued $790,000 of bonds in total. (Credit account titles are automatically indented when amount is entered. Do not indent manually.)

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This journal entry reflects the increase in cash received by the company from the issuance of the bonds and the corresponding increase in the company's liability for the bonds.

Since there are no specific details given about the bonds, such as their interest rates or maturity dates, it's not possible to provide a complete journal entry.

However, assuming that the bonds were issued at par value (i.e., their face value equals the amount of cash received by the company), the journal entry to record the issuance of the bonds would be:

Debit Cash: $790,000

Credit Bonds Payable: $790,000

This journal entry reflects the increase in cash received by the company from the issuance of the bonds and the corresponding increase in the company's liability for the bonds.

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A small open economy with a floating exchange rate is initially at equilibrium A with LM*1 equilibrium exchange rate e2, and equilibrium output Y1. If there is a monetary expansion to the new equilibrium will be at _____, holding everything else constant.

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If there is a monetary expansion in a small open economy with a floating exchange rate, the new equilibrium will be at point B, with a lower equilibrium exchange rate e1 and higher equilibrium output Y2, holding everything else constant.

A monetary expansion refers to an increase in the money supply, which lowers interest rates and increases aggregate demand. This causes output to increase and the exchange rate to depreciate. In a small open economy with a floating exchange rate, the exchange rate adjusts to balance the supply and demand of foreign currency. Therefore, a monetary expansion leads to a lower exchange rate as domestic currency becomes less valuable relative to foreign currency.

At the new equilibrium point B, the lower exchange rate makes domestic goods cheaper for foreign buyers, leading to an increase in net exports and output. The increase in output occurs because the lower interest rates from the monetary expansion lead to an increase in investment and consumption. Therefore, the new equilibrium is at a higher output level and lower exchange rate compared to the initial equilibrium A.

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SanData Inc. recently paid its annual dividend of $4.54. Dividends have consistently grown at a rate of 10%. You estimate that the stock has a required return of 15%. What is the intrinsic value of this stock

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The intrinsic value of this stock is $99.88.

To calculate the intrinsic value of a stock, you can use the Dividend Discount Model (DDM). Given the information you provided, we'll use the following terms:

D0 = Annual dividend just paid (in this case, $4.54)
g = Dividend growth rate (10%)
r = Required return (15%)

First, we need to find the next year's dividend (D1). We can calculate this using the formula:

D1 = D0 * (1 + g)

D1 = $4.54 * (1 + 0.10) = $4.54 * 1.10 = $4.994

Next, we'll use the DDM formula to calculate the intrinsic value:

Intrinsic Value = D1 / (r - g)

Intrinsic Value = $4.994 / (0.15 - 0.10) = $4.994 / 0.05 = $99.88

So, the intrinsic value of this stock is $99.88.

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Historically, there is a(n) ______ relationship between risk and expected return in the financial markets. Multiple choice question.

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Historically, there is a positive relationship between risk and expected return in the financial markets. This means that the higher the level of risk associated with a particular investment, the higher the expected return should be in order to compensate investors for taking on that risk.

This relationship is often referred to as the risk-return tradeoff and is a fundamental concept in finance. It is important for investors to understand this relationship and to weigh the potential risks and rewards of any investment before making a decision. This means that as the level of risk increases, the expected return on an investment also tends to increase. Investors demand higher returns for taking on higher risks, which is known as the risk-return trade-off. In the financial markets, less risky investments like government bonds generally offer lower returns, while riskier investments like stocks tend to offer higher returns. This relationship encourages investors to diversify their portfolios and find a balance between risk and return that aligns with their investment goals and risk tolerance.

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Unicorn Toys faces stiff competition from Playtime Inc., a rival firm with which Unicorn Toys has achieved differentiation parity. Both firms have invested in state-of-the art production facilities and have similar learning curves of 85 percent. Assuming neither firm can reduce the cost of its input factors, how can Unicorn Toys achieve a competitive advantage as a cost leader

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Unicorn Toys can achieve a competitive advantage as a cost leader by focusing on operational efficiency, economies of scale, and process innovation.

Unicorn Toys faces stiff competition from Playtime Inc., as both firms have invested in state-of-the-art production facilities and achieved differentiation parity. With similar learning curves of 85 percent, and input factor costs that cannot be reduced but it can achieve competitive advantage. Operational efficiency involves streamlining processes, eliminating waste, and optimizing resources. By continuously refining its production methods and supply chain management, Unicorn Toys can lower its costs and outperform Playtime Inc. Economies of scale come into play as Unicorn Toys expands its production capacity. By producing larger quantities, the firm can lower per-unit costs, giving it a competitive edge. Lastly, process innovation is essential in maintaining cost leadership. Unicorn Toys should invest in research and development to identify innovative production techniques that lower costs without compromising product quality. By focusing on these strategies, Unicorn Toys can achieve a competitive advantage as a cost leader and withstand the stiff competition from Playtime Inc.

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Suppose that, in a competitive market without government regulations, the equilibrium price of hamburgers is $7 each. Complete the following table by indicating whether each of the statements is an example of a price ceiling or a price floor and whether it is binding or nonbinding. The government prohibits fast-food restaurants from selling hamburgers for more than $8 each. The government has instituted a legal minimum price of $5 each for hamburgers. There are many teenagers who would like to work at fast-food restaurants, but they are not hired due to minimum-wage laws.

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The government prohibiting fast-food restaurants from selling hamburgers for more than $8 each is an example of a price ceiling. It is nonbinding because the equilibrium price of hamburgers is already lower than the price ceiling.

The government instituting a legal minimum price of $5 each for hamburgers is an example of a price floor. It is binding because the equilibrium price of hamburgers is higher than the price floor.

The minimum-wage laws that prevent many teenagers from getting hired at fast-food restaurants is an example of a price floor. It is binding because the equilibrium wage rate for teenage workers is lower than the minimum wage set by the government.

A price ceiling is a legal maximum price that can be charged for a good or service. If the ceiling is set below the equilibrium price, it is binding and can cause shortages. If it is set above the equilibrium price, it is nonbinding and has no effect on the market. In this case, the government has set a price ceiling of $8 for hamburgers, but the equilibrium price is already below that, so it is nonbinding.

A price floor is a legal minimum price that can be charged for a good or service. If the floor is set above the equilibrium price, it is binding and can cause surpluses. If it is set below the equilibrium price, it is nonbinding and has no effect on the market. In this case, the government has set a price floor of $5 for hamburgers, but the equilibrium price is higher than that, so it is binding.

Similarly, a minimum wage is a legal minimum wage rate that an employer must pay to its employees. If the minimum wage is set above the equilibrium wage rate, it is binding and can cause unemployment. If it is set below the equilibrium wage rate, it is nonbinding and has no effect on the market. In this case, the minimum wage is preventing many teenagers from getting hired, which indicates that the minimum wage is set above the equilibrium wage rate for teenage workers, so it is binding.

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Passive economic policy seeks to: Group of answer choices take a hands-off approach to macroeconomic policy. use monetary and fiscal policy to shift aggregate demand. respond to changing economic conditions. offset fluctuations in real GDP.

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The correct answer is A. Take a hands-off approach to macroeconomic policy.

Passive economic policy seeks to take a hands-off approach to macroeconomic policy. This means that the government and central banks allow market forces to naturally determine economic outcomes without actively intervening through monetary or fiscal policy. The idea behind passive policy is that the economy will self-regulate and return to equilibrium over time, requiring minimal interference from policymakers. This contrasts with active economic policy, which involves using monetary and fiscal policy tools to shift aggregate demand, respond to changing economic conditions, and offset fluctuations in real GDP. In summary, passive economic policy relies on the self-correcting nature of the market, while active policy seeks to actively manage and stabilize the economy.

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James manages a team of employees for a company that is highly organized, well controlled, and high in employee satisfaction. In this situation, there is a greater need for a __________ leader than a __________ leader.

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James manages a team in a structured and positive work environment. In such a situation, there is a greater need for a transformational leader than a transactional leader.

Transformational leaders inspire and motivate their team members to reach their full potential and go beyond what is expected of them. They focus on creating a positive work culture, nurturing employee development, and fostering creativity and innovation. This leadership style is particularly effective in high-performing and dynamic work environments where employees are encouraged to take risks and pursue excellence.

Transactional leaders, on the other hand, focus on maintaining the status quo and ensuring that employees adhere to established rules and procedures. They tend to rely on incentives and punishments to motivate their team members and ensure compliance. This leadership style may be effective in stable and predictable work environments, but it may not be as effective in environments that require constant adaptation and innovation.

In summary, given the characteristics of the company and team that James manages, a transformational leader would be better suited to lead the team to success.

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when a bond is purchased at its face value yield to maturity will be ___ the coupon rate printed on the certificate

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When a bond is purchased at its face value, the yield to maturity will be equal to the coupon rate printed on the certificate.


1. A bond is a debt instrument issued by an entity to raise funds.
2. Face value is the principal amount of the bond that will be paid back at maturity.
3. Maturity is the date when the bond's principal (face value) is repaid to the bondholder.

4. Yield to maturity is the total return an investor can expect to receive if the bond is held until maturity.
5. Coupon rate is the interest rate stated on the bond certificate, which is paid periodically to the bondholder.
So, when you purchase a bond at its face value, the yield to maturity and the coupon rate will be the same because you are not paying a premium or discount for the bond.

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The WACC is the minimum required return for ______. Multiple choice question. the NYSE the overall firm a firm's stockholders the SEC a firm's bondholders

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The WACC (Weighted Average Cost of Capital) is the minimum required return for the overall firm, option b.

WACC represents the average rate that a company expects to pay to finance its assets and growth, taking into account the cost of equity and the cost of debt, weighted by their respective proportions in the company's capital structure. The weighted average cost of capital (WACC), which includes ordinary stock, preferred stock, bonds, and other types of debt, is the average after-tax cost of capital for a company. The WACC is the typical interest rate that a business anticipates paying to finance its assets.

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Juliana works in an industry that is earning below-normal profits. She notices that although some firms did leave the industry, losses are still being incurred. Why did this happen

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The main reason for this situation is that the remaining firms in the industry have not yet reached a long-term equilibrium where the market price equals the minimum average total cost.

In a competitive market, firms enter and exit based on the profitability of the industry. When an industry is earning below-normal profits, some firms might leave to seek better opportunities, which causes the market supply to decrease. This decrease in supply should lead to an increase in the market price, which eventually reduces the losses being incurred by the remaining firms. However, if losses are still being incurred even after some firms have left, it indicates that the market price has not increased enough to cover the minimum average total cost of the remaining firms. This could be due to factors such as excess capacity, slow demand growth, or continued downward pressure on prices due to competition.  Juliana's industry is still incurring losses because it has not yet reached a long-term equilibrium. The remaining firms need to either adjust their costs, market price, or capacity in order to reach a sustainable level of profitability.

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When unwanted inventories pile up in retail stores, retail managers will take actions that lead to greater: A. Economic growth. B. Wages. C. Unemployment. D. Inflation.

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When unwanted inventories pile up in retail stores, retail managers will take actions that lead to greater unemployment.

This is because when inventory levels are high, it indicates that sales are not meeting expectations, leading to a decrease in revenue. To cut costs, retail managers may choose to lay off employees or reduce work hours to minimize labor expenses.

This action will result in a higher unemployment rate as workers lose their jobs or work fewer hours. The increase in unemployment can lead to a decrease in consumer spending, which can further exacerbate the issue of unwanted inventory.

Inflation is not a likely outcome in this scenario, as inventory levels would likely lead to a decrease in prices rather than an increase. Economic growth may be negatively impacted, as high inventory levels can indicate a slowdown in the economy.

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How do the average-cost values for ending inventory and cost of goods sold relate to ending inventory and cost of goods sold for FIFO and LIFO

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The average-cost method assumes a uniform cost per unit, while FIFO and LIFO methods assign different costs to units based on their order of acquisition. This leads to different values for ending inventory and cost of goods sold depending on the method used.

The average-cost values for ending inventory and cost of goods sold are calculated by dividing the total cost of goods available for sale by the total number of units available for sale. This method assumes that all units have an equal cost, regardless of when they were purchased or produced. On the other hand, FIFO (First-In, First-Out) and LIFO (Last-In, First-Out) are inventory valuation methods that assign different costs to units of inventory based on their order of acquisition. Under FIFO, the first units acquired are assumed to be sold first, while under LIFO, the last units acquired are assumed to be sold first.

The ending inventory value and cost of goods sold will differ depending on which method is used. Under FIFO, ending inventory will be valued at the most recent cost, while cost of goods sold will be based on the earliest costs. This results in a higher ending inventory value and lower cost of goods sold compared to LIFO. Under LIFO, ending inventory will be valued at the earliest cost, while cost of goods sold will be based on the most recent costs. This results in a lower ending inventory value and higher cost of goods sold compared to FIFO.

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The four-firm ___________________ measures the percentage share of the total sales in the industry that is accounted for by the largest four firms.

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The four-firm concentration ratio is a commonly used measure to evaluate the level of competition within an industry. It calculates the percentage of total sales in an industry that is generated by the largest four firms.

If the ratio is high, it suggests that the industry is dominated by a few big players and competition is limited. On the other hand, a low ratio implies a more competitive landscape where a larger number of firms compete for market share.

The four-firm concentration ratio is important for regulators and policymakers as it helps them to understand the level of competition in the industry and the potential impact of market power on consumers.

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An investment will pay you $87,000 in five years. Assume the appropriate discount rate is 7.75 percent compounded daily. What is the present value? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16. Use 365 days in a year.)

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The present value of the investment is $52,219.67. To find the present value of the investment, we need to use the formula for present value of a future sum, which is: PV = FV / (1 + r)^n, where PV is the present value, FV is the future value, r is the discount rate, and n is the number of periods.


In this case, the future value is $87,000, the discount rate is 7.75% compounded daily, and the number of periods is 5 years * 365 days/year = 1,825 days.


To convert the annual discount rate to a daily rate, we use the formula: daily rate = (1 + annual rate)^(1/365) - 1. Plugging in the values, we get: daily rate = (1 + 0.0775)^(1/365) - 1 = 0.0197%.


Now we can calculate the present value: PV = $87,000 / (1 + 0.000197)^1825 = $52,219.67.Therefore, the present value of the investment is $52,219.67.

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Diaz Company owns a machine that cost $125,300 and has accumulated depreciation of $93,700. Prepare the entry to record the disposal of the machine on January 1 in each seperate situation.

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In order to prepare the entry to record the disposal of the machine owned by Diaz Company, we must first determine the separate situations that apply.

The two possible situations are: selling the machine for cash, or disposing of the machine due to damage or obsolescence.

Situation 1: Selling the machine for cash
In this situation, Diaz Company is selling the machine for cash. The entry to record this transaction is as follows:

Cash (debit) - $X (amount received from the sale)

Accumulated depreciation (debit) - $93,700

Machine (debit) - $125,300

Gain on disposal of asset (credit) - $X (calculated as the difference between the amount received from the sale and the book value of the machine)

Situation 2: Disposing of the machine due to damage or obsolescence
In this situation, Diaz Company is disposing of the machine due to damage or obsolescence. The entry to record this transaction is as follows:

Accumulated depreciation (debit) - $93,700

Loss on disposal of asset (debit) - $X (calculated as the difference between the book value of the machine and the amount received from the disposal, which is assumed to be $0 in this situation)
Machine (credit) - $125,300

It is important to note that in both situations, the book value of the machine (the original cost minus accumulated depreciation) must be taken into account when calculating the gain or loss on disposal of the asset. The gain or loss represents the difference between the book value and the amount received from the sale or disposal.

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Data concerning Bedwell Enterprises Corporation's single product appear below: Selling price per unit $ 200.00 Variable expense per unit $ 95.50 Fixed expense per month $ 441,890 The unit sales to attain the company's monthly target profit of $27,000 is closest to: (Do not round intermediate calculations.) Multiple Choice 4,487 4,229 4,910 2,344

Answers

The contribution margin per unit is the selling price per unit minus the variable expense per unit:

Contribution margin per unit = $200 - $95.50 = $104.50

To find the number of units Bedwell Enterprises needs to sell to attain the target profit of $27,000, we can use the following formula:

(Unit sales x Contribution margin per unit) - Fixed expenses = Target profit

Let's substitute the given values:

(Unit sales x $104.50) - $441,890 = $27,000

Solving for unit sales:

Unit sales = ($27,000 + $441,890) / $104.50 = 4,910 units

Therefore, the unit sales to attain the company's monthly target profit of $27,000 is 4,910. The answer is option (c).

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Advocacy advertisements state the position of a company on an issue. It is a form of Blank______ advertising.

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It is a form of Advocacy advertising.

Marketing is used in advocacy advertising to promote a specific message or cause. Advocacy advertising, in contrast to commercial advertising, is thought to be carried out in the interest of a group or the general public and normally does not advertise a good or service.

The goal of advocacy marketing is to encourage your present consumers to promote your company, goods, and/or services online. Advocates have a variety of ways to show their support for your company, including You Tube review videos. FB status updates. As an illustration, parents frequently speak out for their children's needs at school. Individual advocacy that is done formally frequently involves nonprofit or governmental institutions.

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Nick wants to create a chart that shows how market share is divided among the top companies in his industry. Which option should he use

Answers

Nick should use a pie chart to show how market share is divided among the top companies in his industry.

A pie chart is a circular chart divided into slices that represent percentages of the whole. Each slice represents a portion of the market share held by a particular company.

Pie charts are an effective way to visually represent the relative proportions of different parts of a whole. They allow the viewer to quickly see the size of each slice and compare them to one another. This is especially useful when comparing the market share of different companies, as it provides a clear visual representation of how much of the market each company holds.

When creating a pie chart, it's important to ensure that the slices are accurately sized and labeled, and that the chart is visually appealing and easy to read. Nick should also consider adding additional information, such as the names of each company and their respective market share percentages, to help viewers better understand the data being presented.

Overall, a pie chart is a great option for Nick to use when showing how market share is divided among the top companies in his industry, as it provides a clear and easy-to-understand visual representation of the data.

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Quality control in services is: Group of answer choices relatively simple for all types of services. especially difficult if the service is highly intangible. performed exactly the same for small, medium, and large service providers. is most easily done on the buyer's premises.

Answers

Quality control in services is a crucial aspect that ensures the delivery of high-quality services to customers.

In detail, quality control in services can be relatively simple for some types of services, but it can be especially difficult if the service is highly intangible. This is because intangible services are difficult to measure, and quality control can be challenging.

Moreover, quality control in services cannot be performed exactly the same way for small, medium, and large service providers. The approach and strategies used for quality control can vary depending on the size and complexity of the service provider's operations. For instance, larger service providers may have more resources and tools at their disposal, making quality control more manageable.

Finally, quality control in services is not easily done on the buyer's premises. Instead, it should be carried out at every stage of the service delivery process to ensure that the service meets the required standards. Quality control should involve continuous monitoring, evaluation, and improvement of the service to ensure that it meets customer expectations. In summary, quality control in services is a long full answer that requires a systematic approach and attention to detail to ensure that customers receive high-quality services.

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Under MSRB rules, advertising relating to municipal securities must be approved by the: I Municipal Securities Principal II General Securities Principal III Financial and Operations Principal

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I. Municipal Securities Principal.

Under MSRB rules, advertising relating to municipal securities must be approved by a Municipal Securities Principal. This individual is responsible for ensuring that the content of the advertising complies with all applicable laws and regulations.

The Municipal Securities Principal is a licensed professional who oversees the activities of the firm in connection with municipal securities. They are responsible for the supervision of personnel engaged in municipal securities activities, including the approval of advertising materials.

The approval process involves a review of the content of the advertisement to ensure that it is fair, balanced, and not misleading. The Municipal Securities Principal must also ensure that any disclosures required by law are included in the advertisement.

The approval process is critical to ensuring that investors receive accurate and complete information about municipal securities.

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