Ending inventory assuming LIFO is $1,720
LIFO refers to the important and accurate method used to account for inventory. this method follows certain rules and guidelines like the first products to be expensed are the once that are most recent. it is only used in the United States.
Given,
Date Undertaking Number of units Units cost
April 1 Beginning Inventory 500 $2.40
April 20 Purchase 400 $2.50
Total number of units sold during the current month = 700 units
The Formula for cost of goods concerning LIFO,
= ( inventory Purchase on April 20 x per unit cost at April 20)+{( inventory sold - inventory purchased) x per unit cost at April 1}
=( 400 x 2.50)+{(700-400) x 2.40}
= 1000+ 720
=$1720
Ending inventory assuming LIFO is $1,720
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suppose carfax is a monopoly. why might carfax be considered undesirable from a societally standpoint?
Carfax, as a monopoly, might be considered undesirable from a societal standpoint because it can lead to higher prices, reduced innovation, and limited choices for consumers. Monopolies can also abuse their market power and create barriers for new competitors.
If Carfax is a monopoly, it could be considered from a societal standpoint for several reasons. A monopoly is defined as a situation in which one company or group has complete control over the supply of a particular commodity or service.
This control could lead to higher prices, lower quality, and less innovation than if there were multiple competitors in the market. Additionally, a monopoly may have the power to restrict access to essential goods or services, which could have negative consequences for consumers.In the case of Carfax, if it is a monopoly, it may have the power to charge higher prices for its vehicle history reports than if there were other competitors in the market. This could make it difficult for some consumers to access important information about a used vehicle's history, potentially putting them at risk of purchasing a defective or unsafe car. Furthermore, a monopoly could restrict access to its database of vehicle history information, limiting competition in the market and making it more difficult for new entrants to compete. This could stifle innovation in the industry and limit consumer choice.
Therefore, if Carfax is a monopoly, it could be considered undesirable from a societal standpoint.
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asonia co. will pay a dividend of $4.80, $8.90, $11.75, and $13.50 per share for each of the next four years, respectively. the company will then close its doors. if investors require a return of 11.4 percent on the company's stock, what is the stock price?
If investors require a return of 11.4 percent on the company's stock, the stock price is $449.52.
Using this formula for each of the dividend payments, we get:
PV1 = $4.80 / (0.114 - 0.0) = $42.11
PV2 = $8.90 / (0.114 - 0.02) = $95.34
PV3 = $11.75 / (0.114 - 0.03) = $137.07
PV4 = $13.50 / (0.114 - 0.04) = $175.00
To calculate the present value of the final stock price, we can use the formula:
PV = FV / (1 + r)n
Using this formula, we get:
PV5 = $0 / (1 + 0.114)4 = $0
Therefore, the total present value of the dividend stream and the final stock price is:
[tex]PV = PV_1 + PV_2 + PV_3 + PV_4 + PV_5 = $449.52[/tex]
Investors are individuals or entities who allocate their resources, typically capital, in the hopes of generating a financial return. They invest in a range of asset classes such as stocks, bonds, mutual funds, exchange-traded funds, real estate, and other financial instruments.
Investors often have different objectives and strategies. Some investors may seek long-term growth and choose to invest in high-risk, high-reward assets. Others may prioritize stability and invest in safer, lower-risk assets. Additionally, investors may also invest with specific social or ethical goals in mind, such as avoiding investments in companies with poor environmental or labor practices. Investors are critical to the functioning of capital markets, as they provide the necessary capital for businesses to grow and expand.
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assume that penguin co. is considering disposing of equipment that cost $50,000 and has $40,000 of accumulated depreciation to date. penguin co. can sell the equipment through a broker for $25,000 less 5% commission. alternatively, teal co. has offered to lease the equipment for five years for a total of $48,750. penguin will incur repair, insurance, and property tax expenses estimated at $10,000. at lease-end, the equipment is expected to have no residual value. the net differential income from the lease alternative is:
The net differential income from the lease alternative is $15,000.
To calculate the net differential income from the lease alternative, we need to compare the cash flows from both the alternatives and choose the one that results in a higher net cash inflow.
If Penguin Co. disposes of the equipment, it will receive $25,000 - 5% = $23,750 in cash.
If Penguin Co. leases the equipment, it will receive $48,750 over five years.
The repair, insurance, and property tax expenses of $10,000 should be allocated over the five-year lease period, resulting in an annual expense of $2,000.
The annual cash inflow from the lease is $48,750 / 5 = $9,750. The net cash inflow from the lease after accounting for expenses is $9,750 - $2,000 = $7,750 per year.
The net differential income from the lease alternative is the difference between the net cash inflow from the lease and the cash inflow from selling the equipment:
Net Differential Income = Net Cash Inflow from Lease - Cash Inflow from Sale
Net Differential Income = ($7,750 × 5) - $23,750
Net Differential Income = $38,750 - $23,750
Net Differential Income = $15,000
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terry wants to begin investing and needs some guidance because he is uncomfortable making investment decisions. he should use a(n):
If terry wants to begin investing and needs some guidance because he is uncomfortable making investment decisions, Terry should use a full-service broker. So, correct option is B.
Full-service brokers are professionals who offer personalized investment advice and can manage Terry's investment portfolio. They charge higher fees than discount brokers, but they provide a wide range of services, including investment research, financial planning, and asset management.
They can help Terry determine his investment goals, assess his risk tolerance, and develop an investment strategy that aligns with his objectives.
In addition, they can monitor the market on Terry's behalf, provide regular updates, and make adjustments to his portfolio as needed. This level of personalized attention and expertise can be invaluable for someone like Terry who is uncomfortable making investment decisions.
Discount brokers and online brokers offer self-directed investment options, which may not provide the level of guidance and support that Terry needs. Market makers are firms that facilitate the trading of securities, but they do not offer investment advice.
Therefore, correct option is B.
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Complete question is:
Terry wants to begin investing and needs some guidance because he is uncomfortable making investment decisions. He should use a(n)
Select one:
a. Discount broker
b. Full-service broker
c. Market Maker
d. Online broker
e. None of the above are correct
in february, year 2, a single individual taxpayer inherited common stock from the taxpayer's parent. the c corporation was a small business under section 1244. the parent's basis in the stock was $5,000 and had a fair market value of $10,000 at the parent's date of death. later in year 2, the stock was deemed worthless. the taxpayer had no other stock transactions. what were the taxpayer's year 2 losses before any capital loss limitation?
The basis of the inherited stock is the fair market value of the stock at the parent's date of death, which is $10,000. Since the stock became worthless, the taxpayer's capital loss deduction is $10,000.
Under the IRC section 1244, if a small business stock of a C corporation is sold at a loss, the taxpayer can claim an ordinary loss rather than a capital loss. However, in this scenario, the taxpayer did not sell the stock and the stock became worthless.
The loss incurred by the taxpayer in this case is a capital loss. It is important to note that there are limitations on the number of capital losses that can be claimed by an individual taxpayer in a given year.
The maximum amount of capital loss that can be deducted against ordinary income in a tax year is $3,000. Any excess capital loss can be carried forward to future tax years. However, in this scenario, the question only asks for the year 2 losses before any capital loss limitation, which is $10,000.
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calculate the price of a 3.77% coupon bond that matures in 20 years if the market interest rate is 6.54 assume semiannual compounding and 1000 par value
The price of the bond is $751.78. This means that an investor would be willing to pay $751.78 to purchase the bond, given the current market interest rate of 6.54% and the bond's coupon rate of 3.77%.
To calculate the price of a 3.77% coupon bond that matures in 20 years, we need to use the present value formula. The formula is:
[tex]$PV = \frac{C}{(1 + \frac{r}{n})^{n\times t}} + \frac{F}{(1 + \frac{r}{n})^{n\times t}}$[/tex]
where PV is the present value, C is the coupon payment, r is the market interest rate, n is the number of compounding periods per year, t is the number of years until maturity, and F is the face value.
In this case, the coupon rate is 3.77%, the market interest rate is 6.54%, and the face value is $1000. Since the coupon payments are semiannual, we need to adjust the formula accordingly. There are 40 semiannual periods (20 years * 2 periods per year).
So, plugging in the values, we get:
[tex]$PV = \frac{18.85}{(1 + \frac{0.0327}{2})^{2\times 20}} + \frac{1000}{(1 + \frac{0.0327}{2})^{2\times 20}}$[/tex]
PV = 465.33 + 286.45
PV = $751.78
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you have a portfolio of three stocks, a, b, and c. 30% of your portfolio is invested in a, 25% in b, and 45% in c. a's beta is .5, b's beta is 1.3, and c's beta is 2.1. what is the portfolio beta? group of answer choices 1.14 1.31 1.23 1.42
To calculate the portfolio beta, we need to weigh the individual betas by their respective weights in the portfolio. The formula for portfolio beta is:
Portfolio Beta = (Weight of Stock A x Beta of Stock A) + (Weight of Stock B x Beta of Stock B) + (Weight of Stock C x Beta of Stock C)
Plugging in the given values, we get:
Portfolio Beta = (0.30 x 0.5) + (0.25 x 1.3) + (0.45 x 2.1)
Portfolio Beta = 0.15 + 0.325 + 0.945
Portfolio Beta = 1.42
Therefore, the portfolio beta is 1.42, which means the portfolio is more volatile than the market as a whole (which has a beta of 1.0). This information can be useful for investors in determining the risk level of their portfolio and making informed decisions about asset allocation.
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a fluid, highly adaptive organization whose members, linked by information technology, come together to collaborate on common tasks is a
A fluid, highly adaptive organization whose members, linked by information technology, come together to collaborate on common tasks is a virtual organization
It is a type of organization that operates in a digital or virtual environment, where individuals and groups collaborate using communication and information technology tools. The virtual organization is fluid and flexible, allowing its members to be geographically dispersed while working towards a common goal.
The virtual organization has become increasingly popular due to the advancement of information technology and the need for global collaboration. It allows companies to reduce costs associated with traditional office spaces and overhead expenses.
Additionally, it enables businesses to access a diverse pool of talent from different locations around the world.
The virtual organization can be an excellent solution for companies that need to remain flexible and adaptable to market changes, as it provides a framework for rapid response and can easily scale up or down as per the demand.
However, managing virtual teams can also pose unique challenges, such as ensuring effective communication and collaboration, building trust, and maintaining a shared organizational culture.
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infosec measurements collected from production statistics depend greatly on which of the following factors? question 15 options: types of performance measures developed number of systems and users of those systems number of monitored threats and attacks activities and goals implemented by the business unit
InfoSec metrics derived from production statistics are highly dependent on b. the number of systems and users of those systems.
Production statistics are data on the quantities of various commodities and services produced. These are normally provided monthly by the different businesses and published in quarterly statistical bulletins.
The production figures depict employment and the financial complexities of many sectors.
Statistics Netherlands covers agriculture, mining and quarrying, manufacturing, production and distribution of energy and water, consumer goods repair, wholesale and retail trade, hotels and restaurants, transport, storage and communication, business and personal services, environmental services, and health and welfare.
During the evaluation period, businesses that were economically engaged in one of the aforementioned industries.
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Correct question:
InfoSec measurements collected from production statistics depend greatly on which of the following factors?
a. types of performance measures developed
b. number of systems and users of those systems
c. number of monitored threats and attacks
d. activities and goals implemented by the business unit
you received an e-mail message from someone you don't know. the e-mail requests you to click a link and provide some information. it says that in exchange, you will receive access to a site that offers incredible deals on popular items, up to 90 percent off retail cost. this offer sounds too good to be true. what type of security threat have you encountered?
The security threat encountered in this scenario is "phishing", which is an attempt to obtain sensitive information by disguising as a trustworthy entity in an electronic communication. Option A is correct.
Phishing is a type of cyber attack that involves tricking people into revealing sensitive information such as login credentials, social security numbers, or credit card details. It usually involves creating fake websites or sending fraudulent emails that appear to be from a legitimate source, in order to steal personal information.
In this case, the e-mail sender is offering access to a website that promises incredible deals on popular items in exchange for personal information, which is a common phishing tactic. It is important to be cautious of unsolicited emails and avoid clicking on any links or providing any personal information unless it can be verified as a legitimate request.
Option A holds true.
The complete question:
You received an e-mail message from someone you don't know. The e-mail requests you to click a link and provide some information. It says that in exchange, you will receive access to a site that offers incredible deals on popular items, up to 90 percent off retail cost. This offer sounds too good to be true. What type of security threat have you encountered?
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29) which of the following statements is false? a) a bank's assets are its uses of funds. b) a bank issues liabilities to acquire funds. c) the bank's assets provide the bank with income. d) bank capital is recorded as an asset on the bank balance sheet.
Bank capital is recorded as an asset on the bank balance sheet. Bank capital is not recorded as an asset on the bank balance sheet. The false statement is d)
Instead, it is recorded as a liability, as it represents the funds provided by the owners or shareholders of the bank. Bank capital is an important source of funding for a bank, and it is used to support the bank's operations and to absorb losses that may arise from its business activities. Therefore, it is crucial for a bank to maintain adequate levels of capital to ensure its financial stability and to meet regulatory requirements.
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Task 1: Sponsorship in Sports and Entertainment Marketing
Using online research, select one stadium or arena naming deal from a sport of your choice. Summarize the advantages and disadvantages of the deal for both parties—the team and the company that purchased the naming rights.
One example of a stadium naming deal is the Staples Center in Los Angeles, California, which is home to the NBA's Los Angeles Lakers and Los Angeles Clippers, as well as the NHL's Los Angeles Kings. The naming rights for the Staples Center were purchased by office supply company Staples, Inc. in 1999, and the deal was extended in 2019 through 2041.
Advantages for the team:
Financial gain: The naming rights deal with Staples reportedly brings in around $20 million per year for the venue's owners, AEG, and the teams that play there receive a portion of that revenue.
Brand recognition: The Staples Center name is well-known, which helps to increase the visibility and brand recognition of the teams that play there.
Enhanced fan experience: The revenue generated from the naming rights deal allows the venue's owners to invest in improvements and upgrades to the arena, which can enhance the fan experience and make it a more attractive destination for events.
Disadvantages for the team:
Potential backlash: Some fans may not like the idea of a corporate name being attached to their beloved team's home arena, and may feel like it takes away from the team's identity and history.
Risk of negative association: If the company that owns the naming rights becomes embroiled in scandal or controversy, it could reflect poorly on the teams that play at the venue.
Advantages for the company:
Brand exposure: Having a major sports and entertainment venue named after their company can provide significant exposure and brand recognition.
Positive association: By aligning themselves with popular sports teams and events, the company can enhance their brand image and create positive associations with fans.
Hospitality opportunities: Companies that purchase naming rights deals often receive perks like premium seating and hospitality opportunities, which can be used to entertain clients or reward employees.
Disadvantages for the company:
High cost: Naming rights deals for major sports and entertainment venues can be very expensive, with multi-million dollar price tags.
Limited exclusivity: While the company may have exclusive naming rights for the venue, they may not have exclusivity within the broader category of their industry. For example, while Staples may have naming rights for the Staples Center, other office supply companies can still advertise at the venue.
Risk of negative association: As mentioned previously, if the teams or events held at the venue experience negative press, it could reflect poorly on the company that owns the naming rights.
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which of the following are examples of email personalization? select all that apply. 1 point following up on previous interactions sending unwanted emails out in bulk to a mass recipient list addressing each recipient directly sending messages that match where customers are in the marketing funnel
Email personalization examples include including the recipient's name in the subject line or greeting, tailoring the content of the footer to include pertinent CTAs, and providing location-based event information. Email customization does not include mass distribution of undesired emails to lists of recipients.
Marketers want their subscribers to take action after reading the email's content, and a CTA provides the reader with a clear next step to take while or after reading the email. The goal of CTAs, which come in all different forms and sizes, is to persuade customers to take further action.
A call to action (CTA) can be incorporated into marketing materials' text copy, added as a button to the bottom of emails, or included in different CTAs for various content blocks. Because of this, your content should determine how and when you employ a CTA. Your marketing campaign will choose when to employ it more or less totally.
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a taxpayer owned land with a basis of $120,000, subject to a mortgage of $75,000. the taxpayer exchanged the land held for another parcel of land with a fair market value of $200,000 plus cash of $35,000, and the taxpayer was relieved of the mortgage on the relinquished land. the transaction qualified for like-kind exchange treatment. what amount of taxable gain will be recognized on the taxpayer's tax return for this exchange?
The taxpayer would recognize a taxable gain of $40,000 on their tax return for this exchange.
Based on the information provided, the taxable gain recognized on the taxpayer's tax return for this exchange can be calculated as follows:
Calculate the realized gain:
Fair market value of the new land received: $200,000
Cash received: $35,000
Total realized gain = Fair market value of new land + Cash received - Basis of old land = $200,000 + $35,000 - $120,000 = $115,000
Calculate the recognized gain:
Realized gain: $115,000
Mortgage relief: $75,000 (as the taxpayer was relieved of the mortgage on the relinquished land)
Total recognized gain = Realized gain - Mortgage relief = $115,000 - $75,000 = $40,000
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the risk free rate currently have a return of 2.5% and the market risk premium is 6.61%. if a firm has a beta of 1.42, what is its cost of equity?
The cost of equity can be calculated using the capital asset pricing model (CAPM) which is expressed as:
Cost of equity = Risk-free rate + Beta x Market risk premium
Given that the risk-free rate is 2.5%, the market risk premium is 6.61%, and the firm has a beta of 1.42, we can calculate the cost of equity as follows:
Cost of equity = 2.5% + 1.42 x 6.61%
Cost of equity = 2.5% + 9.38%
Cost of equity = 11.88%
Therefore, the cost of equity for the firm is 11.88%. This means that the firm's shareholders would require a return of 11.88% on their investment in the firm's stock to compensate for the risk associated with investing in the firm, given the level of systematic risk (as measured by beta) and the current market conditions.
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during 2014 the dld company had a net income of $75,000. in addition, selected accounts showed the following changes: accounts receivable $3,000 increase accounts payable 1,000 increase buildings 4,000 decrease depreciation expense 1,500 increase bonds payable 8,000 increase what was the amount of cash provided by operating activities?
The amount of cash provided by operating activities for DLD Company during 2014 can be calculated using the indirect method of cash flow analysis.
Start with Net IncomeAdd or subtract non-cash items included in the net incomeAdjust for changes in current assetsAdjust for changes in current liabilitiesNet Income for 2014 = $75,000Changes in Accounts Receivable = $3,000 increaseChanges in Accounts Payable = $1,000 increaseDepreciation Expense = $1,500 increaseCash flow from operating activities is calculated as follows:Net Income + Depreciation Expense + Increase in Accounts Payable − Increase in Accounts Receivable$75,000 + $1,500 + $1,000 - $3,000 = $74,500Therefore, the amount of cash provided by operating activities for DLD Company during 2014 was $74,500.
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the five steps of concept generation process does not include: group of answer choices reflecting on the solutions and the process searching externally and internally for the solutions clarifying the problem translating customer needs in product specifications
Reflecting on the solutions and the process is not one of the five steps of concept generation process. So, correct option is A.
The five steps of the concept generation process are a systematic approach to developing new product ideas or solutions.
The process typically involves the following steps:
Clarifying the problem or opportunity
Searching internally and externally for solutions
Translating customer needs into product specifications
Generating potential concepts or solutions
Reflecting on the solutions and the process
Based on this, the answer is A) reflecting on the solutions and the process, which is not included in the concept generation process.
While reflecting on the solutions and the process is an important step in any innovation process, it is not typically included as a discrete step in the concept generation process.
Instead, reflection and evaluation are often integrated throughout the process, with designers and teams regularly assessing the potential of new ideas, reviewing feedback and data, and making adjustments to their approach as needed.
Therefore, the correct option is A.
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the term treasury stock refers to multiple choice question. government securities that are held for sale. a security that is held as a long-term investment. stock that is repurchased by the issuing corporation. a class of stock that is subordinate to common stock.
The term treasury stock refers to d. stock that is repurchased by the issuing corporation.
Stock that the business has bought back from its stockholders and is listed as an asset on its balance sheet is referred to as treasury stock. It alludes to previously outstanding equity that the giving business has acquired from shareholders. The overall quantity of outstanding shares on the open market declines as a consequence.
The stock is a counter-equity account because it lowers the overall shareholders' equity on a company's balance statement. The two approaches for filing Treasury shares are the cost technique and the par value strategy. This approach makes the assumption that a business will buy common shares on the open market with the money it gets from an in-the-money alternative exercise.
Complete Question:
The term treasury stock refers to
a. a security that is held as a long-term investment.
b. government securities that are held for sale.
c. a class of stock that is subordinate to common stock.
d. stock that is repurchased by the issuing corporation.
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shareholders influence a company by multiple choice question. voting to establish corporate policies. voting for the officers who manage the company. appointing the top management of the company. voting for the board of directors.
Shareholders influence a company by voting to establish corporate policies, voting for the officers who manage the company, and voting for the board of directors.
About corporation's shareholdersIn the United States, a corporation's shareholders elect the board of directors, which is the company's decision-making body.
The board of directors, in turn, appoints the company's top management, which is responsible for running the company on a day-to-day basis. Shareholders have an impact on the company's activities because the board of directors, the top management, and the officers all report to them.
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in the discussion of german and japanese postwar growth, the text describes what happens when part of the capital stock is destroyed in a war. by contrast, suppose that a war does not directly affect the capital stock but that casualties reduce the labor force. assume that the economy was in a steady state before the war, the saving rate is unchanged, and the rate of population growth after the war is the same as it was before 525 the war. a. what is the immediate impact of the war on total output and on output per person? b. what happens subsequently to output per worker in the postwar economy? is the growth rate of output per worker after the war smaller or greater than it was before the war?
A. The immediate impact of the war on total output and output per person is a decrease. The reduction in the labor force due to casualties decreases the amount of labor available to produce output.
Therefore, total output will decrease, and output per person will decrease as well because there are fewer people available to produce the same amount of marginal product
B. Subsequently, output per worker in the postwar economy will increase. The decrease in the labor force will lead to an increase in the marginal product of labor. This will lead to an increase in wages, which will provide an incentive for firms to invest in capital and technology to increase labor productivity. As a result, the growth rate of output per worker in the postwar economy may be greater than it was before the war.
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when delivering bad news, you should group of answer choices examine your apology for any legal implications. end your message on a negative note. conclude with an expression of regret for delivering the bad news. avoid using strategic buffers in your opening statement. avoid showing concern for your reader as it can be misconstrued.
You should express sorry for giving the terrible news as your final statement while giving bad news. Option 3 is Correct.
It is important to be upfront and honest about what occurred and what you're going to do to make it right rather than trying to "sugarcoat" the facts. Keep in mind that two crucial aspects of this interaction are your attitude and the clarity of your message.
Be frank, explicit, and honest. If they are interpreted as confessions of wrongdoing, apologizes in bad-news announcements can be subject to legal repercussions. The most crucial component of a negative communication is an explanation of the bad news because it sets up the reader for rejection or denial without yet openly stating the terrible news. Option 3 is Correct.
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Correct Question:
When delivering bad news, you should group of answer choices
1. examine your apology for any legal implications.
2. end your message on a negative note.
3. conclude with an expression of regret for delivering the bad news.
4. avoid using strategic buffers in your opening statement.
5. avoid showing concern for your reader as it can be misconstrued.
abc reported the following data for its first year of operations: net sales $2,800 cost of goods sold 1,680 operating expenses 880 ending inventories 820 what is abc's gross profit ratio (round to nearest whole percentage, just put in the number with no %)?
The gross profit ratio for ABC is 40%.
To calculate the gross profit ratio, we first need to calculate the gross profit by subtracting the cost of goods sold from the net sales:
Gross profit = Net sales - Cost of goods sold = $2,800 - $1,680 = $1,120
Then, we can calculate the gross profit ratio by dividing the gross profit by the net sales and multiplying by 100 to convert to a percentage:
Gross profit ratio = (Gross profit / Net sales) x 100 = ($1,120 / $2,800) x 100 = 40%.
The gross profit ratio for ABC is 40%.
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which of the following statements describe people who are high on authoritarianism? check all that apply. they believe that people at different levels of the organization should have markedly different power. they believe that leaders should serve their employees. they hold egalitarian values. they stick to conventional values.
All the options are correct which describe people who are high on authoritarianism i.e. They believe that people at different levels of the organization should have markedly different power. They believe that leaders should serve their employees. They hold egalitarian values. They stick to conventional values.
An individual with authoritarian leadership, sometimes referred to as autocratic leadership, has complete authority over all decisions and his subordinates. With little to no input from his or her team or followers, an authoritarian leader makes choices on policies, procedures, and group goals.
A leadership that is "self-appointed and even if elected cannot be supplanted by people' free choice among rivals," the arbitrarily revocation of civil freedoms, and scant tolerance for substantive disagreement are some characteristics of authoritarianism. In businesses and organizations where decisions must be made quickly and effectively, and when it is essential that particular duties be completed in a precise manner, authoritarian leadership is advantageous.
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mrs. jones is buying bottles of beer and bags of pretzels in such amounts that the marginal utility of the last bottle is 60 utils and the marginal utility of the last bag is 30 utils. the prices of beer and pretzels are $.60 per bottle and $.40 per bag respectively. it can be concluded that:
Mrs. Jones is buying bottles of beer and bags of pretzels in such amounts that the marginal utility of the last bottle is 60 utils and the marginal utility of the last bag is 30 utils.
The prices of beer and pretzels are $0.60 per bottle and $0.40 per bag respectively. It can be concluded that the marginal utility per dollar spent on beer is greater than that of pretzels.
Marginal utility refers to the additional satisfaction or benefit a consumer derives from consuming an extra unit of a good or service. The price of a good or service refers to the amount paid to acquire the good or service. From the given information, Mrs. Jones has a marginal utility of 60 utils for beer and 30 utils for pretzels.
The marginal utility per dollar spent on beer is calculated by dividing the marginal utility of the last bottle by its price:MU per dollar spent on beer = MU of the last beer bottle / Price of beer bottle= 60 / 0.6= 100 utils per dollar.
Similarly, the marginal utility per dollar spent on pretzels is calculated by dividing the marginal utility of the last bag by its price:MU per dollar spent on pretzels = MU of the last bag of pretzels / Price of the bag of pretzels= 30 / 0.4= 75 utils per dollar
Since the marginal utility per dollar spent on beer is greater than that of pretzels, it can be concluded that Mrs. Jones should buy more beer and less pretzels if she wants to maximize her utility per dollar spent.
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tb mc qu. 05-113 (algo) a company's product sells at... a company's product sells at $12.30 per unit and has a $5.45 per unit variable cost. the company's total fixed costs are $96,500. the break-even point in units is:
The break-even point in units is approximately 14,109 units. This means that the company needs to sell at least 14,109 units of its product to cover its total costs and break even. If it sells fewer units, it will incur a loss, and if it sells more units, it will earn a profit.
The break-even point is the level of sales at which the company neither earns a profit nor incurs a loss. At this point, the total revenue generated by sales is just enough to cover the total costs incurred in producing and selling the product.
To calculate the break-even point in units, we can use the following formula:
Break-even point (units) = Total fixed costs / (Selling price per unit - Variable cost per unit)
Plugging in the given values, we get:
Break-even point (units) = $96,500 / ($12.30 - $5.45)
Break-even point (units) = $96,500 / $6.85
Break-even point (units) = 14,109.49
Therefore, the break-even point in units is approximately 14,109 units. This means that the company needs to sell at least 14,109 units of its product to cover its total costs and break even. If it sells fewer units, it will incur a loss, and if it sells more units, it will earn a profit.
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assume ford motors expects a new hybrid-engine project to produce incremental cash flows of $45 million each year, and expects these to grow at 3% each year. the upfront project costs are $380 million and ford's weighted average cost of capital is 9%. if the issuance costs for external finances are $10 million, what is the net present value (npv) of the project?
The net present value (NPV) of the Ford Motors hybrid-engine project is $360 million.
The net present value (NPV) of the Ford Motors hybrid-engine project can be calculated using the following steps:1. Identify the variables:
Incremental cash flows (CF) = $45 million per year
Growth rate (g) = 3% per year
Upfront project costs (Initial investment, I) = $380 million
Weighted average cost of capital (WACC, r) = 9%
Issuance costs (IC) = $10 million
2. Calculate the present value of cash flows (PVCF) using the formula for the present value of a growing perpetuity:
PVCF = CF / (r - g) = $45 million / (0.09 - 0.03) = $45 million / 0.06 = $750 million
3. Calculate the net initial investment (NII) by adding the upfront project costs and issuance costs:
NII = I + IC = $380 million + $10 million = $390 million
4. Calculate the NPV of the project by subtracting the net initial investment from the present value of cash flows:
NPV = PVCF - NII = $750 million - $390 million = $360 million
Thus, the net present value of the Ford Motors hybrid-engine project is $360 million.
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the roadside inn is an 80-room motel with only one or two front desk agents on duty at any time. to ensure that no single employee is wholly responsible for accounting for all phases of a transaction, room and room tax charges should be posted by the:
The Roadside Inn is an 80-room motel with only one or two front desk agents on duty at any time. The facility's staff is small, and there is no chance of hiring additional people.
What is the Roadside Inn?
To ensure that no single employee is wholly responsible for accounting for all phases of a transaction, room and room tax charges should be posted by the following
Front desk agents.
Multiple employees.
The Roadside Inn is an 80-room motel with only one or two front desk agents on duty at any time. The facility's staff is small, and there is no chance of hiring additional people. Because there is a minimal number of people employed, the duties of each employee should be evenly divided, and it must be ensured that no one person is responsible for accounting for all aspects of a transaction.
This strategy assists in the hotel's transparency and accounting accuracy.
The roadside inn is an 80-room motel with only one or two front desk agents on duty at any time. To ensure that no single employee is wholly responsible for accounting for all phases of a transaction, room and room tax charges should be posted by the front desk agents.
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a firm operating in a perfectly competitive market that must charge the prevailing market price for its product, so this firm is a ?
A firm operating in a perfectly competitive market that must charge the prevailing market price for its product is a price taker.
In a market with perfect competition, there are numerous small businesses selling the same goods, and no one business controls the market price. Instead, each firm must adjust its output in accordance with the current market price, which it must accept as given. This indicates that the company lacks the ability to set prices and must accept the market price in order to make sales of its goods.
The company is regarded as a price taker because it has no control over market prices. It must accept the going rate and cannot demand a higher price without losing clients to competing businesses.
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when an employer hires an employee to perform some sort of physical service where the employee is under the control of the employer, this relationship is known as a(n) blank relationship.
When an employer hires an employee to perform some sort of physical service where the employee is under the control of the employer, this relationship is known as a(n) "master-servant" relationship.
The master-servant relationship is characterized by the control that the employer (master) has over the employee (servant) in terms of their work and actions. The employee is hired to perform specific tasks or duties under the direction and supervision of the employer, which typically involves some level of physical service. In this relationship, the employer has the authority to determine how the work is to be performed and the manner in which it is to be completed. This can include setting work hours, assigning tasks, providing necessary tools or equipment, and offering guidance or instruction on how to accomplish the work.
The employee, in turn, is obligated to follow the employer's instructions and complete the assigned tasks to the best of their abilities. This obligation is based on the mutual understanding that the employee will be compensated for their services through wages, salary, or other forms of remuneration. It is essential for both parties to understand their roles and responsibilities in a master-servant relationship to ensure a productive working environment. Employers should provide clear instructions and necessary resources, while employees should carry out their duties efficiently and professionally. Both parties must also adhere to relevant labor laws and regulations to maintain a fair and lawful working relationship.
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which of the following would create a natural monopoly? requirement of a government license before the firm can sell the good or service an exclusive right granted to supply a good or service technology enabling a single firm to produce at a lower long run average cost than two or more firms ownership of all the available units of a necessary input skip this question (or leave all choices blank)
A natural monopoly occurs when a single firm can produce a good or service at a lower long-run average cost than two or more firms.
Among the given options, "technology enabling a single firm to produce at a lower long run average cost than two or more firms" would create a natural monopoly.
In a natural monopoly, the firm benefits from economies of scale, which means that as production increases, the average cost of production decreases.
This can be due to factors such as specialized technology, a unique production process, or ownership of a significant input required for production.
As a result, a single firm can produce the good or service at a lower cost than any potential competitor, effectively preventing other firms from entering the market and competing.
The other options do not create a natural monopoly.
A requirement of a government license is a regulatory barrier to entry, but it does not inherently lead to a single firm dominating the market due to lower long-run average costs.
An exclusive right granted to supply a good or service is a legal monopoly, which is a result of government intervention, rather than inherent market conditions.
Lastly, ownership of all available units of a necessary input can create a monopoly, but it is not necessarily a natural monopoly, as it does not guarantee that the firm can produce at a lower long-run average cost than multiple firms.
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