The required reserve ratio and the simple deposit multiplier are important concepts in understanding the relationship between bank reserves and the money supply, and the impact that central bank policies can have on the economy.
The required reserve ratio is the percentage of deposits that banks are required to hold as reserves by the central bank, while the simple deposit multiplier is the amount by which the money supply increases in response to a change in bank reserves. These two concepts are closely related, as changes in the required reserve ratio affect the simple deposit multiplier.
When the required reserve ratio is lowered, banks are required to hold a smaller percentage of deposits as reserves and can lend out more money to borrowers. This leads to an increase in the simple deposit multiplier, as a given increase in bank reserves leads to a larger increase in the money supply.
Conversely, when the required reserve ratio is raised, banks are required to hold a larger percentage of deposits as reserves and can lend out less money to borrowers. This leads to a decrease in the simple deposit multiplier, as a given increase in bank reserves leads to a smaller increase in the money supply.
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Explain (using graphs as appropriate) the response of output, employment, and the price level to an aggregate demand or aggregate supply shock in the short run?
The response of output, employment, and the price level to an aggregate demand or aggregate supply shock in the short run is discussed below
How output, employment, and the price level to an aggregate demand or aggregate supply shock respondIn the short term, aggregate demand (AD) changes can prompt either a decrease or an increase in both output and the price level, according to the type of fluctuation.
In situations such as fiscal stimulus packages, as demand rises, production will most likely be advanced by businesses attempting to meet the higher demand. But this could lead to elevated costs due to wages being paid at a greater amount, or other related expenditures.
On the flipside, if what is experienced is a decrease in aggregate demand, say during an economic recession, the result may be a descent in both output and the cost. If this happens, it's plausible that companies will reduce their production rate because of lower consumer expectations, thus potentially causing prices to fall.
Contrasting the previous idea, shocks stemming from aggregate supply (AS) are able to affect the production expense and possibly also have diverse impacts on output, job opportunities, and the current worth of commodities.
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Sunn Company manufactures a single product that sells for $185 per unit and whose variable costs are $148 per unit. The company's annual fixed costs are $469,900. (a) Compute the company's contribution margin per unit. Contribution margin es (b) Compute the company's contribution margin ratio. Numerator: 7 Denominator: Contribution Margin Ratio Contribution margin ratio (c) Compute the company's break-even point in units. Numerator: Denominator: Break-Even Units Break-even units (d) Compute the company's break-even point in dollars of sales. Numerator Denominator: Break-Even Dollars Break-even dollars Nov
Sunn Company needs to sell 12,702 units at a selling price of $185 per unit to break even and achieve a profit of zero. Any units sold above the break-even point will contribute to the company's profit.
(a) The contribution margin per unit can be calculated as follows:
Contribution margin per unit = Selling price per unit - Variable costs per unit
Contribution margin per unit = $185 - $148
Contribution margin per unit = $37
(b) The contribution margin ratio can be calculated as follows:
Contribution margin ratio = Contribution margin per unit / Selling price per unit
Contribution margin ratio = $37 / $185
Contribution margin ratio = 0.2 or 20%
(c) The break-even point in units can be calculated as follows:
Break-even point in units = Fixed costs / Contribution margin per unit
Break-even point in units = $469,900 / $37
Break-even point in units = 12,702 units
(d) The break-even point in dollars of sales can be calculated as follows:
Break-even point in dollars of sales = Break-even point in units x Selling price per unit
Break-even point in dollars of sales = 12,702 units x $185
Break-even point in dollars of sales = $2,347,370
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Suppose income in the U.S. rises. This will affect the side of the foreign exchange market for euros and cause the dollars per euro exchange rate to
An increase in U.S. income will lead to an increase in demand for euros and a depreciation of the dollar. This change in the exchange rate will have several effects on the economy, affecting trade and investment flows between the U.S. and the euro zone.
If the supply of euros remains constant, the increase in demand will lead to an increase in the price of euros in terms of dollars. This means that the exchange rate between the two currencies will change, and the dollar will depreciate relative to the euro. In other words, it will take more dollars to purchase one euro. This change in the exchange rate will have several effects on the economy. First, it will make U.S. exports more expensive for foreign buyers, which could reduce demand for U.S. products.
On the other hand, imports from the euro zone will become cheaper, leading to an increase in imports. The change in the exchange rate could also affect capital flows between the U.S. and the euro zone. If the euro becomes more expensive, it could attract more investment from the U.S., as investors seek to take advantage of the higher returns. Conversely, the higher exchange rate could discourage investment in the U.S. from European investors.
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_____ change occurs occasionally, with periods of relative stability, and managers can respond with technical, product, or structural innovations as needed. Group of answer choices Disruptive Episodic Structural Continuous Flag question: Question 12
Episodic change occurs occasionally, with periods of relative stability, and managers can respond with technical, product, or structural innovations as needed. This type of change is characterized by distinct periods of transformation, followed by stable periods where organizations can consolidate and adapt to the new environment. So the option is Episodic .
In contrast to continuous change, which is ongoing and gradual, episodic change is more sporadic and often requires significant adjustments. When episodic change occurs, managers need to consider various types of innovations to respond effectively. Technical innovations involve the adoption of new tools, processes, or technologies that improve the efficiency or effectiveness of the organization.
Product innovations refer to the development or enhancement of products or services to meet changing customer needs or to gain a competitive advantage. Structural innovations involve changes to the organization's structure, such as reorganizing departments or altering reporting lines, to better align with the new environment or to increase efficiency.
In summary, episodic change represents occasional, significant shifts in an organization's environment or operations, and managers must respond with appropriate technical, product, or structural innovations to ensure the organization adapts and remains competitive.
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A yogurt company wants to expand its line of food products. The company conducted surveys to discover what food items would appeal to customer. The company is currently in the ___________ phase of new-product development.
The yogurt company is currently in the product development phase of the new-product development process. This is the phase in which the company takes the results of their surveys and starts to develop the new product.
In this case, the company is looking to expand its line of food products based on customer feedback. The product development phase involves a series of steps, starting with ideation and concept development, followed by prototype development, testing and refinement, and finally, commercialization. In this phase, the company will need to consider various factors such as production costs, packaging, marketing, and distribution. The ultimate goal of the product development phase is to create a product that meets the needs and wants of the target market while also generating profits for the company. It is important for the company to carefully consider all aspects of the new product, from the design and development stage to the launch and post-launch evaluation, in order to ensure its success in the market. Overall, the product development phase is a critical stage in the new-product development process and requires careful planning, execution, and evaluation to bring a successful product to market.
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Suppose the fixed cost of building a nuclear power plant is $1 billion. Suppose also that the only variable cost is the labor of Homer Simpson, and he earns $10 per hour. If the plant generates 1,000 kilowatts each hour, and has already generated 1 billion kilowatts, what can you say about the marginal cost of the next kilowatt
Cost of Homer Simpson's labor for one hour = $10. Thus, the marginal cost of the next kilowatt is $10. There are no other variable costs involved in generating the electricity, which may not be the case in reality.
The marginal cost of the next kilowatt can be calculated by finding the cost of the labor required to generate that kilowatt. Since the only variable cost is Homer Simpson's labor, we need to calculate how many hours of labor are required to generate one additional kilowatt.
We know that the plant generates 1,000 kilowatts each hour, and has already generated 1 billion kilowatts. Therefore, the plant has been running for 1 million hours (1 billion kilowatts / 1,000 kilowatts per hour). To generate one additional kilowatt, we need to calculate how much labor is required for that hour. Since Homer Simpson earns $10 per hour, the cost of his labor is the marginal cost. So, the marginal cost of the next kilowatt can be calculated as follows:Know more about the marginal cost
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When Schultz says, "I can tell you the organization is not thrilled when I walk into a room and say we're now going to take on [a particular issue]," who is he specifically referring to as "the organization"?
An organization is a group of individuals who work together to achieve a common goal or objective. Organizations can take many forms, including businesses, non-profits, governments, and educational institutions.
In this context, Schultz is likely referring to the executives or upper management of the company or organization he is a part of. These individuals may have a more conservative approach to decision-making and may be resistant to change or taking on new challenges.
Schultz's statement suggests that he may face pushback or skepticism from this group when proposing new initiatives or ideas.
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What is the most attractive target for pirates because of high development cost and low reproducibility costs
The most attractive target for pirates would be intellectual property, such as software, music, and movies. These types of products have high development costs, but once they are created, it is relatively easy to reproduce and distribute them digitally.
This makes them very valuable to pirates, as they can profit from selling or sharing these products without having to incur the high development costs themselves.
For example, creating a new software program may require significant investment in research and development, but once the program is created, it can be easily copied and distributed online at little or no cost. Similarly, producing a high-quality movie may require millions of dollars in production costs, but once the movie is made, it can be easily copied and shared online without incurring significant additional costs.
Therefore, pirates tend to target digital goods because they can make unauthorized copies and distribute them to a large audience without incurring the same development costs as the original creators.
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Doven Inc. pioneered software development in the 1970s and introduced its range of office tools well ahead of its competitors. According to the classification scheme of entrants, Doven would be classified as a
According to the classification scheme of entrants, Doven would be classified as a first mover.
Doven Inc., having introduced its range of office tools ahead of its competitors, is an example of a first mover in the classification scheme of entrants. A first mover is a company that is the first to introduce a product or service in the market. Being a first mover can have advantages such as capturing a large market share early on, establishing brand loyalty and customer trust, and being able to set prices. However, there are also risks associated with being a first mover, such as the uncertainty of market demand and the risk of failure.
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Financial profits and specific financial goals are one kind of _____control and measurement used by global businesses.
Financial profits and specific financial goals are one kind of financial control and measurement used by global businesses.
Financial control and measurement are essential for global businesses to ensure their financial stability and growth. Financial profits, which are the excess of revenues over expenses, serve as one form of control and measurement. By tracking profits, global businesses can assess their performance, identify areas for improvement, and make informed decisions to achieve their objectives.
Specific financial goals, such as revenue targets or cost reduction, are another type of control and measurement used by global businesses. These goals help companies focus their efforts, allocate resources efficiently, and monitor progress toward desired outcomes. When a business sets financial goals, it establishes clear expectations for its team members and holds them accountable for their contributions to the company's success.
In conclusion, financial profits and specific financial goals are vital control and measurement tools for global businesses. By using these methods, companies can effectively track their performance, set targets for growth, and make strategic decisions to achieve their desired financial outcomes.
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Texaco and Shell are located directly across the street from one another. Texaco lowers its price for regular unleaded by 5 cents, and Shell quickly follows suit. What pricing objective is Shell using
The pricing objective that Shell is using in this scenario is price competition. By lowering their price in response to Texaco's price reduction, Shell is attempting to remain competitive and maintain their market share.
This strategy is often employed by companies in highly competitive markets where price is a key factor in consumer decision-making. However, it's worth noting that this strategy can also lead to a price war between the two companies, which can ultimately harm profits for both parties in the long run.
Shell is using the "competitive pricing objective" when they lower their prices by 5 cents to match Texaco's price reduction for regular unleaded gasoline. This is because they are adjusting their prices in response to the actions of their direct competitor, Texaco, to maintain their market position and attract customers who might otherwise choose to purchase from Texaco due to the lower price.
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iability on a negotiable instrument that is imposed on a party only when the party primarily liable on the instrument defaults and fails to pay the instrument when due is referred to a
The liability on a negotiable instrument that is imposed on a party only when the party primarily liable on the instrument defaults and fails to pay the instrument when due is referred to as "secondary liability."
This means that the secondary party is only liable to pay the amount due on the negotiable instrument if the primary party fails to do so.
The most common example of secondary liability is that of a surety or a guarantor. A surety or guarantor is a party that promises to pay the amount due on a negotiable instrument if the primary party fails to do so. In such cases, the surety or guarantor becomes liable only when the primary party defaults on the payment of the instrument.In addition, endorsers of negotiable instruments can also be held secondarily liable. An endorser is a party that signs the back of a negotiable instrument to transfer it to another party. If the endorser's endorsement is a blank endorsement, then the endorser becomes secondarily liable on the instrument.In conclusion, secondary liability is an important concept in negotiable instruments. It provides a layer of protection to the primary party while ensuring that the instrument is paid on time. It is important to understand the various types of secondary liability and the circumstances in which they may arise to avoid any potential legal issues.Know more about the secondary liability
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How much would you need to deposit in an account now in order to have $5000 in the account in 15 years
If we want to have $5000 in an account in 15 years with a 5% rate of return, we need to deposit $2165.58 now.
To calculate the amount that needs to be deposited now to have $5000 in an account in 15 years, we need to use the formula for compound interest. The formula is:
FV = PV x (1 + r) ^ n
Where:
FV = Future value
PV = Present value
r = Rate of interest
n = Number of periods
In this case, the future value is $5000, the number of periods is 15 years. We don't know the present value, but we know that we want to find out how much we need to deposit now. We also don't know the rate of interest, but we can assume a reasonable rate of return on our investment.
Let's say we assume a rate of interest of 5%. Using the formula, we can calculate the present value:
$5000 = PV x (1 + 0.05) ^ 15
PV = $5000 / (1 + 0.05) ^ 15
PV = $2165.58
Therefore, if we want to have $5000 in an account in 15 years with a 5% rate of return, we need to deposit $2165.58 now. It's important to note that the rate of interest and the number of periods will have a significant impact on the amount that needs to be deposited.
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Hera earned a $175,000 salary in 2021. Her husband, Zeus, earned $100,000 salary in 2021. Hera and Zeus file a joint tax return. How much in FICA taxes will they owe in 2021?
Hera and Zeus will owe $15,378 in FICA taxes in 2021.The total FICA taxes they owe would be the sum of these two amounts, which is $15,378.
FICA taxes: FICA stands for Federal Insurance Contributions Act, which is a tax that funds Social Security and Medicare. In 2021, the Social Security tax rate is 6.2% on income up to $142,800 and the Medicare tax rate is 1.45% on all income. For Hera and Zeus, the maximum amount of income subject to Social Security tax would be $142,800 (since their combined income is above this threshold) and they would each contribute 6.2% of their income up to this limit, resulting in a total Social Security tax of $17,707.20. They would also each pay 1.45% of their income in Medicare tax, resulting in a total Medicare tax of $2,048.50. The total FICA taxes they owe would be the sum of these two amounts, which is $15,378.
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Which U.S. federal government agency is responsible for setting and enforcing workplace safety and health standards
The U.S. federal government agency that is responsible for setting and enforcing workplace safety and health standards is the Occupational Safety and Health Administration (OSHA).
OSHA was established in 1971 by the Occupational Safety and Health Act, and its mission is to ensure safe and healthy working conditions for workers by setting and enforcing standards, providing training and education, and conducting inspections to ensure that employers are complying with OSHA regulations.
OSHA sets standards for a wide range of workplace hazards, including chemical exposure, electrical hazards, and physical hazards, among others. Employers are required to comply with these standards and provide a safe and healthy workplace for their employees. OSHA also provides outreach, education, and assistance to employers to help them understand their responsibilities under the law.
If an employer fails to comply with OSHA standards, they may face citations, fines, and other penalties. Workers who believe that their workplace is unsafe or who have been injured on the job can file a complaint with OSHA, and OSHA may conduct an investigation to determine if any violations have occurred.
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Examples of indirect government activities in the market include its provision of __________________ to college students and __________________ Security payments to senior citizens.
Examples of indirect government activities in the market include its provision of financial aid to college students and Social Security payments to senior citizens.
The government provides financial aid to college students to help them pay for their education. This is an example of an indirect activity because the government is not directly involved in the college market, but rather provides financial assistance to students who are then able to pay for college. Similarly, Social Security payments to senior citizens are an example of an indirect government activity in the market because the government is not directly involved in the market for goods and services, but rather provides financial assistance to seniors who are then able to purchase goods and services in the market.
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which of the five sources of organizational power - legitimate, reward, expert, referent, or information - is the easiest to deal/work with as an employee
As an employee, the easiest source of organizational power to deal with is typically expert power. Expert power stems from an individual's knowledge, skills, and expertise, which makes it easier to trust and collaborate with them, as they have a deep understanding of their field or subject matter.
Organizational power refers to the ability of individuals or groups within an organization to influence others and achieve their goals. Power can be formal or informal, and it can be based on various sources, such as position, expertise, charisma, or access to information. Formal power is derived from a person's position or title within an organization, such as a manager or CEO, while informal power comes from personal characteristics or relationships, such as being well-liked or respected by others. Organizational power dynamics can have a significant impact on decision-making, communication, and collaboration within an organization, and understanding and managing these dynamics is crucial for effective leadership and organizational success.
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The _______ describes the personal requirements you expect from an employee and can include educational requirements and specialized skills needed. Question 1 options: job analysis job specification job description screening tool
The Job specification describes the personal requirements you expect from an employee and can include educational requirements and specialized skills needed.
The answer is job specification. Job specification is a document that outlines the specific skills, education, experience, and personal qualities required for a particular job position.
It is an essential part of the recruitment and hiring process as it helps employers to identify and attract the most suitable candidates for the job.
Job specifications typically include information such as educational qualifications, work experience, technical skills, interpersonal skills, and physical requirements.
They are usually developed based on the job analysis, which is a process of collecting information about a job by analyzing its duties, responsibilities, and requirements.
By defining the requirements for a job, job specification helps employers to establish clear expectations for the candidate and identify the most suitable candidates for the job.
It also serves as a basis for developing job advertisements and interview questions.
Overall, job specification is a critical tool for employers in ensuring that they hire the right candidate with the necessary skills and qualifications for a particular job position.
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Article 2A of the Uniform Commercial Code (UCC) applies to: a. the sales of goods. b. the import of goods. c. the leases of goods. d. the export of goods.
Article 2A of the Uniform Commercial Code (UCC) is a set of guidelines that governs C. the lease of goods between two parties.
The UCC is a set of laws that provides a uniform set of rules for commercial transactions in the United States. Article 2A applies specifically to the lease of goods and not to the sale or import/export of goods.
The lease of goods refers to an agreement in which one party (the lessor) agrees to rent or lease out goods to another party (the lessee) for a specified period of time. The goods can range from equipment and machinery to vehicles and furniture.
The terms and conditions of the lease are outlined in a lease agreement, which is a legally binding contract between the lessor and the lessee. Article 2A provides a framework for the parties involved in a lease agreement to understand their rights and responsibilities.
It covers various aspects of the lease agreement such as warranties, remedies, default, and termination. The guidelines aim to ensure that both parties are protected in case of a dispute or breach of the lease agreement.
In conclusion, Article 2A of the UCC applies to the lease of goods and not to the sale or import/export of goods. The guidelines provide a set of rules and regulations for the parties involved in a lease agreement to follow, ensuring that both parties are protected in case of any disputes or breaches of the agreement. Therefore the correct option is C
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Since the NCAA works effectively as a monopsony, one would expect them to: Group of answer choices All of these choices. Pay lower wages than if they operated under perfectly-competitive labor market conditions. Hire fewer works than if they operated under perfect competition. Generate deadweight loss to society.
Since the NCAA works effectively as a monopsony, one would expect them to pay lower wages than if they operated under perfectly-competitive labor market conditions, hire fewer workers than if they operated under perfect competition, and generate deadweight loss to society.
A monopsony occurs when there is only one buyer in a market, which gives that buyer significant bargaining power over the sellers. In the case of the NCAA, they are the only buyer of college sports labor, which means they have the power to set wages and working conditions.
Because of this monopsony power, the NCAA is able to pay college athletes less than they would earn in a perfectly-competitive labor market. Additionally, the NCAA is able to restrict the number of athletes they hire, which means fewer athletes are able to participate in college sports than would be the case under perfect competition.
Finally, the monopsony power of the NCAA leads to deadweight loss in society. Deadweight loss is the loss of economic efficiency that occurs when the optimal allocation of goods and services is not achieved. In the case of college sports, the NCAA's restrictions on wages and employment levels mean that some athletes who would be willing to participate are unable to do so, which leads to a loss of social welfare.
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On a particular date, Office Depot has a stock price of $8.66 and an EPS of $0.84. Its competitor, Staples, had an EPS of $1.65. What would be the expected price of Staples stock on this date, if estimated using the method of multiples
The expected price of Staples stock on this date, estimated using the method of multiples, would be $16.98.
To estimate the expected price of Staples stock using the method of multiples, we need to first determine the P/E ratio for Office Depot and then apply that same ratio to the EPS of Staples.
The P/E ratio for Office Depot can be calculated as:
P/E ratio = Stock price / EPS
P/E ratio = $8.66 / $0.84
P/E ratio = 10.31
We can then apply this P/E ratio to the EPS of Staples to estimate its stock price:
We can do this by looking at the P/E ratio of Office Depot on the given date:
P/E ratio of Office Depot = Stock price / EPS = $8.66 / $0.84 = 10.31
We can assume that Staples and Office Depot are comparable companies, so we can use the same P/E ratio for both companies.
Stock price of Staples = P/E ratio x EPS of Staples
Stock price of Staples = 10.31 x $1.65
Stock price of Staples = $16.98
Therefore, the expected price of Staples stock on this date, estimated using the method of multiples, would be $16.98.
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as the income for bus consumers increased, the wages of bus drivers increased simultaneously. How does this affect the market for bus rides (inferior good)?
The cost of manufacturing rises as a result of the salary increase for bus drivers, which causes the supply curve to move to the left and upward (decreasing supply). The demand for bus rides declines as income levels rise.
The nature of the item determines how a change in income affects customer demand. Superior products are those for which demand decreases as consumer affluence rises. Consequently, there is a negative outcome.
Bus rides become a lower quality item as income rises and demand declines. Because bus rides are a subpar item, their demand will decline as bus users' income rises. As a result, the demand for bus rides will move to the left and below.
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The first facility consideration is to determine the ______ of each distribution center in the network.
The first facility consideration is to determine the location of each distribution center in the network.
Here are some points that explain why determining the location is so important:
1. Proximity to customers: Distribution centers should be located as close as possible to the customer base to minimize transportation costs and reduce lead times.
2. Transportation infrastructure: The location of distribution centers should take into account the availability and quality of transportation infrastructure, such as highways, railways, and ports.
3. Labor force: The location of distribution centers should take into account the availability and quality of the local labor force, including the cost of labor and the skill level of workers.
4. Local regulations: Distribution centers must comply with local regulations regarding zoning, environmental impact, and labor laws, among other factors.
5. Real estate costs: The cost of real estate is a significant factor in the location decision. Distribution centers should be located in areas where the cost of land and facilities is affordable and competitive.
6. Market conditions: The location decision should also take into account the competitive landscape and market conditions in the region, such as the level of demand for the product and the presence of competitors.
Overall, determining the location of distribution centers in a network requires careful consideration of multiple factors to ensure that the distribution network is efficient, effective, and responsive to customer needs.
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A manufacturer reports the following costs to produce 21,000 units in its first year of operations: direct materials, $21 per unit, direct labor, $17 per unit, variable overhead, $231,000, and fixed overhead, $357,000. Of the 21,000 units produced, 20,100 were sold, and 900 remain in inventory at year-end. Under absorption costing, the value of the inventory is: Multiple Choice $34,200. $44,100. $59,400. $49,500. $28,800.
Absorption costing is a method of accounting that includes all of the costs incurred in the production of a product. This includes direct materials, direct labor, variable overhead, and fixed overhead.
In this case, the manufacturer reports the following costs to produce 21,000 units:
Direct materials: $21 per unit
Direct labor: $17 per unit
Variable overhead: $231,000
Fixed overhead: $357,000
To determine the total cost per unit, we need to add up all of these costs and divide by the total number of units produced:
Total cost per unit = (direct materials + direct labor + variable overhead + fixed overhead) / number of units produced
Total cost per unit = ($21 + $17 + $231,000 + $357,000) / 21,000
Total cost per unit = $61.76
Now, we need to determine the value of the inventory at year-end using absorption costing. We know that 900 units remain in inventory and that 20,100 units were sold.
To calculate the value of the inventory, we need to multiply the total cost per unit by the number of units in inventory:
Value of inventory = total cost per unit x number of units in inventory
Value of inventory = $61.76 x 900
Value of inventory = $55,584
Therefore, the correct answer is not provided in the multiple-choice options. The actual value of the inventory under absorption costing is $55,584.
In conclusion, to explain the value of the inventory using absorption costing, we need to calculate the total cost per unit and multiply it by the number of units in inventory. This will give us the total value of the inventory at year-end.
Under absorption costing, the value of the inventory can be calculated by determining the per-unit cost of production and then multiplying it by the number of units in inventory. Here's a step-by-step explanation:
1. Calculate the per-unit cost of production: Add the direct materials, direct labor, and variable overhead per unit costs, and divide the fixed overhead by the number of units produced.
Direct materials: $21 per unit
Direct labor: $17 per unit
Variable overhead: $231,000 / 21,000 units = $11 per unit
Fixed overhead: $357,000 / 21,000 units = $17 per unit
Total per-unit cost: $21 + $17 + $11 + $17 = $66 per unit
2. Calculate the value of the inventory: Multiply the per-unit cost by the number of units in the inventory.
Inventory value: $66 per unit * 900 units = $59,400
Your answer: Under absorption costing, the value of the inventory is $59,400.
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A customer sells short 1,000 shares of PDQ stock at $55 in a margin account. The stock starts to drift lower in price and 15 months later, the customer covers the short positions by purchasing the shares at $30. The customer will have a:
The customer will have a net profit of $23,800 from the short sale of 1,000 shares of PDQ stock, assuming a borrowing cost of 2% per year and commission charges of $50 for each transaction.
Short selling is a trading strategy in which an investor borrows shares from a broker and sells them in the open market, hoping that the price of the stock will decline, and they can buy back the shares at a lower price to realize a profit. However, short selling also involves significant risks as the potential losses are unlimited if the stock price rises instead of falling.
In this scenario, the customer sells short 1,000 shares of PDQ stock at $55 in a margin account. This means that the customer has borrowed the shares from the broker and sold them in the market, with the expectation that the price of PDQ stock will decline. However, if the price of the stock rises, the customer will face margin calls and may have to deposit additional funds to cover the losses.
After 15 months, the price of PDQ stock has fallen to $30, and the customer decides to cover the short positions by purchasing the shares. To calculate the profit or loss from the short sale, we need to consider the cost of borrowing the shares, commissions, and interest charges.
Assuming that the borrowing cost is 2% per year, the customer would have to pay $1,100 ($55 * 1,000 shares * 2% * 15/12) in interest charges. If the commission charges are $50 for each transaction, the total commission charges would be $100 ($50 to sell and $50 to buy).
The initial sale of 1,000 shares at $55 generated $55,000 in revenue. The purchase of 1,000 shares at $30 costs $30,000, and the interest and commission charges amount to $1,200. Therefore, the customer's net profit from the short sale would be $23,800 ($55,000 - $30,000 - $1,100 - $100).
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On January 1, 2014, Carla Vista World issued bonds with a face value of $236,000. The bonds carry a stated interest of 6% payable each January 1. Prepare the journal entry for the issuance of the bonds if the bonds are issued at 98.5.
On January 1, 2014, Carla Vista World issued bonds with a face value of $236,000 at 98.5. The bonds carry a stated interest of 6% payable each January 1. To prepare the journal entry for the issuance of the bonds, we need to first calculate the cash proceeds from the bond issuance and then record the entry.
The bonds are issued at 98.5, which means they are issued at 98.5% of their face value. To calculate the cash proceeds, we multiply the face value by the percentage:
$236,000 x 98.5% = $232,260
Now, we can record the journal entry for the issuance of the bonds:
Date: January 1, 2014
Account Titles: Debit | Credit
Cash: $232,260 (Debit)
Bonds Payable: $236,000 (Credit)
Discount on Bonds Payable: $3,740 (Debit)
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Nations usually __________ industries and activities in which they have a comparative advantage over other nations.
Nations usually specialize in industries and activities in which they have a comparative advantage over other nations.
When is about production and national economy, Nations most of the time specialize in industries that are advantageous for them. For example, if the country is rich in oil, it will specialize in oil, if the country is rich in silver, it will specialize around it. This is a strategy to ensure economic stability in the country.
Imagine that a nation specializes in copper, and its main source is from another country, they will depend on them always, because they don't have copper mines at all.
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You would like to combine a risky stock with a beta of 2.28 with U.S. Treasury bills in such a way that the risk level of the portfolio is equivalent to the risk level of the overall market. What percentage of the portfolio should be invested in the risky stock
To create a portfolio with the same risk level as the market, we should invest 44% of the portfolio in the risky stock with a beta of 2.28 and the remaining 56% in U.S. Treasury bills.
To determine the percentage of the portfolio that should be invested in the risky stock with a beta of 2.28, we first need to understand the concept of beta. Beta measures the volatility or risk of a stock in comparison to the overall market. The overall market has a beta of 1.0, so a stock with a beta of 2.28 is more volatile than the market.
To create a portfolio with the same risk level as the market, we need to use the market's beta as a benchmark. Therefore, we need to calculate the proportion of the portfolio that should be invested in the risky stock by comparing its beta to the market's beta.
Assuming we are investing only in the risky stock and U.S. Treasury bills, we can use the following formula:
Portfolio beta = (% invested in risky stock x risky stock beta) + (% invested in T-bills x T-bills beta)
Since the beta of T-bills is zero, we can simplify the formula:
Portfolio beta = (% invested in risky stock x risky stock beta)
We want the portfolio beta to be equivalent to the market's beta, which is 1.0. So we can set up the following equation:
1.0 = (% invested in risky stock x 2.28)
Solving for the percentage of the portfolio that should be invested in the risky stock, we get:
% invested in risky stock = 1.0 / 2.28 = 0.44 or 44%
Therefore, to create a portfolio with the same risk level as the market, we should invest 44% of the portfolio in the risky stock with a beta of 2.28 and the remaining 56% in U.S. Treasury bills.
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An increase in U.S. imports from Japan will cause the demand for yen in the foreign exchange market to and the supply of dollars in the foreign exchange market to .
An increase in U.S. imports from Japan will cause the demand for yen in the foreign exchange market to increase and the supply of dollars in the foreign exchange market to increase.
When U.S. importers buy goods from Japan, they need to pay for them in yen. As a result, the demand for yen in the foreign exchange market increases. On the other hand, Japanese sellers of goods and services now hold more U.S. dollars. This leads to an increase in the supply of dollars in the foreign exchange market.
The increase in demand for yen and the increase in supply of dollars lead to an increase in the exchange rate between the two currencies. In other words, the yen appreciates and the dollar depreciates. This, in turn, makes Japanese goods more expensive for U.S. consumers and makes U.S. goods cheaper for Japanese consumers, which can have an impact on trade flows between the two countries.
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A project manager is reviewing an electronic file of a document written by a team member, and she does not understand the meaning of a term used in the document. What should the project manager do
Ask the team member: The first and most straightforward option is to ask the team member who wrote the document for clarification on the term. This can be done through a quick email, instant message, or phone call.
It's important for the project manager to make it clear that they are not criticizing the team member's work, but rather seeking clarification to ensure they understand the content.
Conduct independent research: If the project manager cannot contact the team member or wants to conduct further research before asking for clarification, they can try to find the meaning of the term on their own. This can be done by using search engines or consulting industry-specific resources, such as dictionaries or online forums.
Consult with colleagues: If the term is related to a particular industry or field, the project manager can reach out to colleagues or other experts in the field to ask for their opinion on the meaning of the term. This can be done through networking events or professional associations.
Overall, the project manager should make sure they fully understand the content of the document before making any decisions or taking any actions related to the project.
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