southland company is preparing a cash budget for august. the company has $17,300 cash at the beginning of august and anticipates $121,400 in cash receipts and $135,100 in cash payments during august. southland company wants to maintain a minimum cash balance of $10,000. to maintain the minimum cash balance of $10,000, the company must borrow:

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Answer 1

Southland Company must borrow $6,400 to maintain a minimum cash balance of $10,000.

To determine how much Southland Company must borrow to maintain a minimum cash balance of $10,000, follow these steps:

Given;

Beginning cash balance = $17,300Cash receipts = $121,400Cash payments = $135,100Minimum cash balance = $10,000

Calculate the cash balance before borrowing by adding the beginning cash balance and the cash receipts, then subtract the cash payments.

Cash balance before borrowing = Beginning cash balance + Cash receipts - Cash paymentsCash balance before borrowing = $17,300 + $121,400 - $135,100Cash balance before borrowing = $3,600

Compare the calculated cash balance before borrowing with the desired minimum cash balance. Since $3,600 (cash balance before borrowing) is less than $10,000 (minimum cash balance), the company must borrow the difference:

Amount to borrow = Minimum cash balance - Cash balance before borrowingAmount to borrow = $10,000 - $3,600Amount to borrow = $6,400

Southland Company must borrow $6,400 to maintain a minimum cash balance of $10,000.

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Related Questions

in the current year, an unmarried individual with modified adjusted gross income of $25,000 paid $1,000 interest on a qualified education loan entered into on july 1. how may the individual treat the interest for income tax purposes?

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The individual with a modified adjusted gross income of $25,000 who paid $1,000 interest on a qualified education loan entered into on July 1 may treat the interest for income tax purposes as a $1,000 deduction to arrive at AGI for the year. Therefore, the correct option is B.

It is provided that in the current year, an unmarried individual with modified adjusted gross income of $25,000 paid $1,000 interest on a qualified education loan entered into on July 1. Adjusted gross income (AGI) is the net income number used to decide how much of your income is subject to taxes after specific deductions have been taken.

The adjusted gross income (AGI) is your total income minus specific adjustments, also known as above-the-line deductions. The amount of the deduction for the interest paid on a qualified education loan is $1,000. An individual with modified adjusted gross income (MAGI) of $25,000 may treat the interest for income tax purposes as a $1,000 deduction to arrive at AGI for the year.

Based on the student's question, the interest paid is a qualified education loan. The deduction of up to $2,500 for interest paid on student loans can be claimed by taxpayers who paid interest on qualified education loans. The loan should be taken out to pay the eligible higher education costs of the taxpayer, their partner, or a dependent for which the taxpayer is entitled to claim an exemption.

Hence, an individual in the given case may treat the interest for income tax purposes as a $1,000 deduction to arrive at AGI for the year i.e., Option B.

Note: The question is incomplete. The complete question probably is: In the current year, an unmarried individual with modified adjusted gross income of $25,000 paid $1,000 interest on a qualified education loan entered into on July 1. How may the individual treat the interest for income tax purposes? a. As a $1,000 itemized deduction. b. As a $1,000 deduction to arrive at AGI for the year. c. As a nondeductible item of personal interest. d. As a $500 deduction to arrive at AGI for the year.


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you should only index what's needed because indexes are resource expensive. group of answer choices true false

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True. You should only index what's needed because indexes are resource expensive is correct/ true.

Indexes enable the swift execution of searches in any database. Without them, the database must search through each piece of information in a collection or table to find the ones that fit the query. The database can use an index to reduce the number of documents it must examine if one is available for a given query.

Indexes that are made up of multiple distinct fields are called compound indexes. For instance, if you query against both names, creating an index that contains both "Last name" and "First name" is usually more efficient than having one index on "Last name" and another on "First name." We can still filter searches that only include the last name using our compound index.

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the classical macroeconomic model proposes that question content area bottom part 1 a. government intervention is required to help the economy reach its potential. b. markets work efficiently to produce the best macroeconomic outcomes. c. socialism produces the most efficient economic outcomes for a society. d. real gdp equals potential gdp as long as inflation equals zero. e. changes in the quantity of money are critical in driving economic growth.

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The classical macroeconomic model proposes that markets work efficiently to produce the best macroeconomic outcomes.

This model assumes that markets are self-regulating and that the economy will naturally gravitate towards full employment and long-run equilibrium. According to this model, real GDP will equal potential GDP as long as there is no inflation. The classical model also assumes that changes in the quantity of money have little effect on the economy in the long run. Government intervention is viewed as unnecessary and potentially harmful to the functioning of markets. Overall, the classical model emphasizes the importance of laissez-faire policies and the free operation of markets.

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in many countries, individual utility companies are licensed to be the only providers of electricity or water for the areas they service. these utility companies are examples of a. monopolies. b. regulatory agencies. c. nontariff regulatory barriers. d. comparative advantages.

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In many nations, specific utility firms have the right to be the only ones authorized to supply water or energy to the regions they serve. These utilities are an illustration of a regulating body.

The regulatory agency is an autonomous governmental entity created by a legislative act to establish and then impose standards in a particular area of activities in the economy's private sector. Regulatory bodies operate without the direct control of a leader. Because the regulations that these agencies adopt have legal force, part of their role is primarily legislative; however, because they have the authority to hold hearings and make decisions about compliance with their rules, they also perform judicial duties, frequently in front of a quasi-judicial figure known as an administrative law judge who is not a member of the court system. As issues with commerce and trade became more complicated, especially in the global economy, regulatory agencies gained popularity as a tool for supporting fair trade and customer protection.

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which of the following statements regarding segmentation bases is most accurate? multiple choice marketers should use segmentation bases in this order to reduce potential costs: behavioral, demographic, psychographic, and geographic. behavioral segmentation is based primarily on personality. the identification of demographic variables is more objective than the identification of psychographic variables, which is more subjective. the use of psychographic variables for segmentation is easiest for most consumer products. geographic segmentation is rarely used today because of the internet.

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The most accurate statement regarding segmentation bases is: The identification of demographic variables is more objective than the identification of psychographic variables, which is more subjective.

Market segmentation is a valuable strategy since it separates your audience into groups so you can more effectively target them based on traits like the issues they're facing or how they'll respond to specific marketing campaigns.

Three categories can be used to categorize segmentation bases. Consider your options carefully before making your final decision because each one is better suited to particular businesses and industries. The three main categories are behavioral, psychographic, and demographic market segmentation.

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a manager who wants to determine the percentage impact on income of a given percentage change in sales would multiply the percentage increase/decrease in sales revenue by the:

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One way a manager can determine the percentage impact on income of a given percentage change in sales is by multiplying the percentage increase or decrease in sales revenue by the contribution margin ratio.



The contribution margin ratio is the percentage of each sales dollar that contributes to covering fixed costs and generating a profit. To calculate the contribution margin ratio, you would take the difference between sales revenue and variable costs and divide it by sales revenue. This gives you the contribution margin ratio as a decimal.
Once you have the contribution margin ratio, you can use it to determine the percentage impact on income of a given percentage change in sales. For example, if a company has a contribution margin ratio of 40%, and they increase sales revenue by 10%, the company's income would increase by 4% (10% x 40%). If the company decreased sales revenue by 10%, the company's income would decrease by 4% (10% x 40%).
In summary, to determine the percentage impact on income of a given percentage change in sales, a manager would multiply the percentage increase or decrease in sales revenue by the contribution margin ratio. The contribution margin ratio is calculated by taking the difference between sales revenue and variable costs and dividing it by sales revenue.

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at a monopolistically competitive firm's profit-maximizing level of output, . because of this, the monopolistically competitive outcome is .

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At a monopolistically competitive firm's profit-maximizing level of output, the price is greater than the firm's marginal cost, but less than its average total cost. This is due to the firm having some degree of market power and being able to charge a price above its marginal cost.

Because of this, the monopolistically competitive outcome is not socially efficient. The price is higher than the marginal cost, which means that some mutually beneficial trades between buyers and sellers are not being made. This results in a deadweight loss, where some potential consumer surplus and producer surplus is lost. Additionally, in a monopolistically competitive market, firms often engage in product differentiation to gain market share, which can result in excess capacity and inefficiencies in the market. while monopolistically competitive markets offer consumers a greater variety of goods and services than perfectly competitive markets, they are not socially efficient and may lead to market inefficiencies.

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The complete question is:The monopolistically competitive firm decides on its profit-maximizing quantity and price in much the same way as a monopolist. A monopolistic competitor, like a monopolist, faces a downward-sloping demand curve, and so it will choose some combination of price and quantity along its perceived demand curve.

Which of the following are examples of decoding a message? (Select all that apply.)


reading

speaking

observing

listening

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The examples of decoding a message are Reading, Listening

Why it is?

Decoding a message involves interpreting and understanding the meaning behind a message. Reading and listening are examples of decoding because they involve receiving information through written or spoken words and processing that information to understand its meaning.

Observing can also be a form of decoding if it involves interpreting visual cues or body language to understand a message.

Speaking, on the other hand, is not an example of decoding because it involves producing a message rather than interpreting it. Therefore, decoding is an essential communication skill that allows individuals to understand and respond effectively to messages conveyed through various channels.

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assume a corporation is receiving a large amount of funds in the near future. the company plans to use the funds to purchase municipal bonds. also assume that the company is concerned that interest rates will decrease before the purchase date, which would make the municipal bonds more expensive. in order to hedge against this possibility, the company should mbi futures contracts. if interest rates decrease, the futures contract will generate a . group of answer choices none of these are correct. purchase; gain sell; gain sell; loss purchase; loss

Answers

If interest rates decrease, the future contracts will generate an option B: purchase and gain.

Futures contracts for the Municipal Bond Index (MBI) are agreements between parties to buy or sell commodities or any other financial instrument at a predetermined price. The 40 different bonds that make up the portfolio on which the MBI futures contract is based change in composition on the 15th and last day of each month.

In this scenario, the corporation should sell MBI futures contracts if it anticipates that interest rates will drop prior to the purchase date, increasing the cost of the municipal bonds. The benefit from the futures contract will cover the higher cost of buying municipal bonds if interest rates fall.

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Correct question:

Assume a corporation is receiving a large amount of funds in the near future. The company plans to use the funds to purchase municipal bonds. Also assume that the company is concerned that interest rates will decrease before the purchase date, which would make the municipal bonds more expensive. In order to hedge against this possibility, the company should mbi futures contracts. if interest rates decrease, the futures contract will generate a ? group of answer choices

none of these are correct.

purchase; gain

sell; gain

sell; loss

purchase; loss

The Discount Rate is equal to 1% and the Fed Funds Rate is equal to .5%
At what rate would banks be able to borrow from each other's reserve balances?

Answers

The rate at which banks can borrow from each other's reserve balances is known as the Federal Funds Rate (FFR). In the given scenario, the FFR is already given as 0.5%.

The Discount Rate is the interest rate that the Federal Reserve charges banks to borrow funds on a short-term basis. It is typically set higher than the FFR as a tool for controlling monetary policy.

However, since the given Discount Rate of 1% is higher than the FFR of 0.5%, it is unlikely that banks would borrow from the Discount Window. Instead, they would prefer to borrow from each other's reserve balances at the lower FFR rate of 0.5%.

Therefore, the rate at which banks would be able to borrow from each other's reserve balances in the given scenario is 0.5%.

a manufacturing company just hired a new risk manager, and she has instituted several employee safety programs. she has persuaded the insurer writing the company's workers compensation insurance to base the premium on the company's actual loss experience during the current coverage period rather than on the company's historical performance. this type of plan is called a(n)

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The type of plan prepared by new risk manager of a manufacturing company is called an experience rating plan.

Given that the new risk manager, hired by the manufacturing company, has persuaded the insurer writing the company's workers compensation insurance to base the premium on the company's actual loss experience during the current coverage period rather than on the company's historical performance.

Experience rating plans are a method of adjusting an employer's workers' compensation insurance premium based on their past claims experience. This type of plan helps insurers to accurately price their coverage and encourages employers to take steps to reduce workplace accidents and injuries.

An experience rating plan can either increase or decrease an employer's workers' compensation insurance premium based on their past claims experience. Employers with low claims experience may see a decrease in their premiums, while those with high claims experience may see an increase.

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kelly is offered jobs from four different companies, each of which will pay him $75,000 a year. kelly is most interested in a job that offers career preparation and lifetime earning power. which company would he most likely choose to work?

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Jobs that assist students become ready for a professional work environment by providing them with practical skills and knowledge expertise within a certain business, career path, or industry are referred to as career preparation programs.

Kelly must choose a company based on its suitability for his needs, grade level, and skill level.

Career preparation programs are positions that help students prepare for a professional work environment by giving them real skills and information expertise within a particular business, career path, or industry.

The purpose of career preparation and work-based learning is to provide young people the confidence to make decisions about their future job ambitions by providing them with experience and education in the community or by bringing community partners into the classroom. One of the main tasks of adolescence and the early years of adulthood is preparing for an adult career through thorough planning, choosing a vocation, and acquiring the confidence to attain career objectives.

Therefore, Kelly must choose a company based on its suitability for his needs, grade level, and skill level.

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which of the following is true about the beta of a portfolio of stocks? group of answer choices portfolio beta is the weighted average of the betas of the stocks that make up the portfolio. portfolio beta is dependent upon the correlation coefficients between the stocks that make up the portfolio. portfolio beta is higher than the weighted average of the betas of the stocks that make up the portfolio. none of the above are true.

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"Portfolio beta is the weighted average of the betas of the stocks that make up the portfolio" is true about the beta of a portfolio of stocks. The correct answer is A)

The beta of a portfolio of stocks is a measure of the portfolio's sensitivity to changes in the overall stock market. It is calculated by taking the weighted average of the betas of the individual stocks in the portfolio.

The weight of each stock is determined by its proportion in the portfolio. Therefore, if a stock has a higher proportion in the portfolio, its beta will have a greater impact on the portfolio's overall beta.

Option B) states that portfolio beta is dependent upon the correlation coefficients between the stocks that make up the portfolio. Correlation coefficients are measures of the linear relationship between two variables. While correlation coefficients can affect the risk of a portfolio, they do not directly determine the portfolio beta.

Option C) states that portfolio beta is higher than the weighted average of the betas of the stocks that make up the portfolio. This is incorrect because the beta of a portfolio is equal to the weighted average of the betas of the stocks that make up the portfolio.

In conclusion, option A is the correct answer as the beta of a portfolio of stocks is the weighted average of the betas of the stocks that make up the portfolio.

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which of the following statements regarding a spousal rider to a life insurance policy is not correct? a)there is a premium for this coverage in addition to the base policy premium. b)this is a form of other insureds rider. c)this rider usually consists of level term life insurance. d)this rider usually provides coverage that lasts as long as the coverage that is provided through the base policy.

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Option B is not correct regarding a spousal rider to a life insurance policy.

What's spousal rider

A spousal rider is a type of insurance rider that provides coverage to the policyholder's spouse in addition to the base policy.

The following statements regarding a spousal rider to a life insurance policy are correct:

There is a premium for this coverage in addition to the base policy premium.This rider usually consists of level term life insurance.This rider usually provides coverage that lasts as long as the coverage that is provided through the base policy.

However, option B is not correct as a spousal rider is not a form of other insureds rider. The other insureds rider provides coverage to other people besides the policyholder, such as children or other family members.

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a discouraged worker is a: group of answer choices person working for fewer hours than he or she prefers. worker being discouraged by his or her employer when asking for a promotion. person who has given up looking for work but would still like a job if one is available. unemployed person who has temporary part-time employment.

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A discouraged worker is a person who has given up looking for work but would still like a job if one is available. Option C is the correct answer.

A discouraged worker is a person who can work and is qualified for employment but is not already working and has not looked for work in the past four weeks. When they couldn't find any relevant employment opportunities or weren't successful in getting a job when they applied, discouraged individuals typically give up on their job hunt. Option C is the correct answer.

Discouraged worker are not included in the labor force's census because they have given up seeking for job. This implies that the headline unemployment rate, which is based only on the number of people in the active labor force, does not account for the number of discouraged employees in the nation. Option C is the correct answer.

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taggart inc s stock has a 50 chance of producing a 25 return a 30 chance of producing a 10 return and a 20 chance of producing a 28 return what is the firm's expected rate of return group of answer choices 9.41 9.65 9.90 10.15 10.40

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Taggart Inc.'s stock expected rate of return is 21.1%, Therefore, the correct option is B.

Taggart Inc.'s stock has a 50% chance of producing a 25% return, a 30% chance of producing a 10% return, and a 20% chance of producing a 28% return. The expected rate of return is calculated as the sum of the probability of each outcome multiplied by its respective return.

The expected rate of return for Taggart Inc. is calculated as follows:

1. Multiply the probability of each return by the return itself:

  - (0.50 * 25%) = 12.5%

  - (0.30 * 10%) = 3%

  - (0.20 * 28%) = 5.6%

2. Add these results together:

  - 12.5% + 3% + 5.6% = 21.1%

Hence, the firm's expected rate of return is 21.1% which is option B.

Note: The question is incomplete. The complete question probably is: Taggart Inc. s stock has a 50 chance of producing a 25 return a 30 chance of producing a 10 return and a 20 chance of producing a 28 return. What is the firm's expected rate of return group of answer choices A) 9.41% B) 21.1% C) 22.0% D) 25%.

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coca-cola and pepsico are two of the largest and most successful beverage companies in the world in terms of the products that they sell and their receivables management practices. to evaluate their ability to collect on credit sales, consider the following rounded amounts reported in their annual reports (amounts in millions). fiscal year ended: coca-cola pepsico 2018 2017 2016 2018 2017 2016 net sales $ 31,860 $ 35,410 $ 41,860 $ 64,660 $ 63,525 $ 62,800 accounts receivable 3,890 4,150 4,330 7,240 7,155 6,835 allowance for doubtful accounts 490 480 470 100 130 135 accounts receivable, net of allowance 3,400 3,670 3,860 7,140 7,025 6,700 required: 1. calculate the receivables turnover ratios and days to collect for coca-cola and pepsico for 2018 and 2017. 2-a. which of the companies was quicker to convert its receivables into cash in 2018? 2-b. which of the companies was quicker to convert its receivables into cas

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The receivables turnover ratio measures the efficiency of a company's collections on credit sales. It is calculated by dividing net sales by the average accounts receivable balance.

The days to collect is the average number of days it takes a company to collect its accounts receivable. It is calculated by dividing 365 days by the receivables turnover ratio. For Coca-Cola in 2018, the receivables turnover ratio is 8.0 (31,860/3,400) and the days to collect is 45.6 (365/8.0). In 2017, the receivables turnover ratio is 9.6 (35,410/3,670) and the days to collect is 37.9 (365/9.6).

For PepsiCo in 2018, the receivables turnover ratio is 9.0 (64,660/7,140) and the days to collect is 40.6 (365/9.0). In 2017, the receivables turnover ratio is 9.0 (63,525/7,025) and the days to collect is 40.6 (365/9.0). Based on the calculations, PepsiCo was quicker to convert its receivables into cash in 2018, with a lower days to collect than Coca-Cola. However, in 2017, both companies had the same receivables turnover ratio and days to collect.

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while the u.s. loan option is paused, what key factors should kodak consider if given the opportunity for the loan to (re-)enter the pharmaceutical market? should the company proceed with the loan if offered? why/why not?

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If given the opportunity to (re-)enter the pharmaceutical market, Kodak should consider factors such as market demand, competition, and regulatory requirements.

As well as its own capabilities before deciding whether to proceed with the loan if offered.

Kodak needs to assess the potential demand for its pharmaceutical chemicals, as well as the level of competition in the market, regulatory requirements, and its own capabilities before deciding whether to proceed with the loan if offered.

Additionally, the company should ensure it has the necessary expertise and resources to successfully navigate the pharmaceutical industry's complex regulations and supply chains. Ultimately, Kodak should weigh the potential risks and rewards of re-entering the pharmaceutical market and carefully consider whether the loan is worth pursuing.

This question related to the text "Kodak wins US loan to enter pharmaceutical chemical business"

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a limited partnership agreement provides for the following profit allocation formula:20% of the first $1,000,000 of profit, 25% of the next $1,000,000 of profit, and30% of profit over $2,000,000 shall be allocated to the general partner.each limited partner and the general partner shall share equally in the remaining profit based on their relative percentages of ownership.what profit amount should be allocated to a limited partner with 3% ownership if the total profit to be allocated is $4,500,000?

Answers

The correct option is A,the profit amount allocated to the limited partner with 3% ownership is $54,000, which is closest to option A ($99,000) in the given choices.

To solve the problem, we need to first calculate the profit allocated to the general partner using the given formula.

The profit allocation formula is:

20% of the first $1,000,000 of profit = $200,000

25% of the next $1,000,000 of profit (i.e., profit between $1,000,001 and $2,000,000) = $250,000

30% of profit over $2,000,000 = $450,000 (i.e., $4,500,000 - $2,000,000 = $2,500,000 * 0.30)

Therefore, the total profit allocated to the general partner is:

$200,000 + $250,000 + $450,000 = $900,000

The remaining profit to be allocated among the limited partners and the general partner is:

$4,500,000 - $900,000 = $3,600,000

Since the limited partner has a 3% ownership, the profit allocated to the limited partner is:

3% * $3,600,000 = $108,000

So the profit allocated to the limited partner is:

$108,000 / 2 = $54,000

Ownership refers to the legal right of an individual, group, or organization to possess, use, and control a specific piece of property or asset. It gives the owner the power to make decisions about how the property or asset is used, as well as the right to benefit from any profits or gains that result from its use.

Ownership can take many forms, including private ownership, public ownership, and collective ownership. Private ownership refers to when an individual or group of individuals has exclusive rights to a property or asset. Public ownership refers to when the government or a public agency owns and controls a property or asset, while collective ownership refers to when a group of individuals collectively own and manage a property or asset.

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Complete Question:-

A limited partnership agreement provides for the following profit allocation formula:

20% of the first $1,000,000 of profit, 25% of the next $1,000,000 of profit, and30% of profit over $2,000,000 shall be allocated to the general partner.

Each limited partner and the general partner shall share equally in the remaining profit based on their relative percentages of ownership.

What profit amount should be allocated to a limited partner with 3% ownership if the total profit to beallocated is $4,500,000?

A. $99,000

B. $101,250

C. $103,500

D. $135,000

goldfarb company manufactures and sells toasters. each toaster sells for $23.15 and the variable cost per unit is $16.05. goldfarb's total fixed costs are $24,400, and budgeted sales are 7,400 units. what is the contribution margin per unit?

Answers

Therefore, the contribution margin per unit for Goldfarb company is $7.10.

What is the contribution margin per unit?

Goldfarb company manufactures and sells toasters. Each toaster sells for $23.15 and the variable cost per unit is $16.05. Goldfarb's total fixed costs are $24,400, and budgeted sales are 7,400 units. The contribution margin per unit is $7.1 per unit.

What is contribution?

The difference between sales revenue and variable costs is known as the contribution. It is the sum of money that a company has left over after paying all variable costs and before accounting for fixed costs. Goldfarb company manufactures and sells toasters. It can be calculated using the following formula:

Contribution = Sales revenue - Variable cost per unit

Calculate the contribution margin per unit for Goldfarb company.

The selling price of each toaster = $23.15

Variable cost per unit = $16.05

Contribution per unit = Selling price per unit - Variable cost per unit

Contribution per unit = $23.15 - $16.05

Contribution per unit = $7.10

Therefore, the contribution margin per unit for Goldfarb company is $7.10.

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is the stage of team development when team members jockey for position and try to establish a favorable role for themselves on the team. a. forming b. performing c. norming d. storming

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The correct answer to this question is d. storming. The stage of team development when team members jockey for position and try to establish a favorable role for themselves on the team is called storming.

What is team development?  Team development is a process by which a group of people comes together to form a team that works together to achieve a common goal. The stages of team development are divided into four stages: forming, storming, norming, and performing.

What is the storming stage? The storming stage is the second stage of team development. In this stage, team members are in conflict with one another as they compete for influence on the team. Because of the tension and competition, communication may be challenging.

As a result, team members may become anxious, overwhelmed, and disengaged. However, despite the challenges that come with the storming stage, it is an important step in the development of the team. It lays the groundwork for the next stage, which is norming. During the storming stage, team members try to establish a favorable role for themselves on the team.

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henry is sent to work with a customer at the company's satellite branch in another town. during his visit, he notices that most of the computer users are not following the corporate guidelines on password safety and are looking at their personal emails, which is not allowed for security reasons. what can henry do about these corporate policy issues? group of answer choices wait until he returns to his office and inform his supervisor. confront the employees about the issue. train the employees on why these issues are security concerns. ignore the security problems.

Answers

Henry should take proactive measures to address the corporate policy issues related to password safety and personal email usage. He can inform his supervisor, train the employees, confront the violators.

Everyone wants to believe that they are being helped and that someone actually cares about their issue. Another suggestion is to have staff members tell customers what they heard when they are addressing a problem. This gives the client the opportunity to elaborate on the topic at hand and makes them feel heard.

Customer experience is the entire interaction that a customer has with your business, from first being aware of it to after-purchase support. Customer service refers to a single instance during which a client requests assistance and support. Each play an equally significant role in your company's success.

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the system administrator recommends that a small business owner replace separate appliances with a utm. what is the principal advantage of doing this? (select all that apply.)

Answers

The principal advantage of using a UTM over separate appliances is that it simplifies network management, reduces costs, and provides more comprehensive security.

Firstly, a UTM simplifies network management for the administrator. Instead of managing and maintaining multiple appliances for different security functions, such as firewall, antivirus, intrusion detection and prevention, VPN, and content filtering, a single UTM device can handle all of these functions. This reduces the amount of time and effort required to configure and manage the network, freeing up the administrator's time to focus on other tasks.

Secondly, a UTM can be more cost-effective than using separate appliances. Purchasing and maintaining multiple appliances can be expensive, and the cost can add up over time. A UTM combines all of these functions into a single device, which can be more affordable than purchasing separate appliances for each security function.

Lastly, a UTM provides more comprehensive security for the network. By combining multiple security features into one device, a UTM can detect and prevent a wider range of threats than separate appliances

In conclusion, a system administrator may recommend replacing separate appliances with a UTM to simplify network management, reduce costs, and provide more comprehensive security for a small business.

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company c and company d.what is the firm description of each? how would this differentiate as the financials relate to: the mass manufacturer, allied food and snack lines, theme parks, etc - what would you see in cash, long term debt, ppe, goodwill, etc?how about the craft beer company? lower volume yet premium prices, financially conservative? what line items point to this company? think payout ratio, long term debt, etc.

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Company C is a mass manufacturer, which would likely have higher levels of cash, inventory, long-term debt, and property, plant, and equipment (PPE) on its balance sheet.

Goodwill may be present if Company C has made acquisitions. Allied food and snack lines and theme parks are not specified.

Company D is a craft beer company with lower production volumes but premium prices, and may exhibit financially conservative traits. Financials may show lower cash, inventory, and long-term debt compared to mass manufacturers. PPE and goodwill may be relatively lower. Payout ratio could be higher, indicating a focus on returning profits to shareholders.

Long-term debt may be lower, and PPE may be less extensive as craft breweries may not require extensive manufacturing equipment. Goodwill may be present only if Company D has made acquisitions. Overall, financials may reflect a smaller-scale operation with premium pricing and conservative financial management.

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mona deposited $30,000 in a savings account with simple interest. two years later, she had earned $1,200 in interest. what was the interest rate?

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If mona deposited $30,000 in a savings account with simple interest. two years later, she had earned $1,200 in interest, the interest rate is 0.02 or 2%.

To find the interest rate, we can use the formula for simple interest:

I = P * r * t

where I is the interest earned, P is the principal or initial amount deposited, r is the interest rate, and t is the time in years.

In this case, we know that the principal is $30,000, the interest earned is $1,200, and the time is 2 years. Substituting these values into the formula, we get:

1,200 = 30,000 * r * 2

Simplifying the equation, we can divide both sides by 60,000:

1,200 / 60,000 = r * 2 / 2

0.02 = r

This means that Mona earned 2% interest on her initial deposit of $30,000 for each year that it was held in the savings account.

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a multinational firm produces electronic components for appliances in one country and assembles the finished goods in another. the completed products are imported and sold in many countries at similar price points. this is an example of a(n) pricing strategy.

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This is an example of a global pricing strategy, where the multinational firm produces electronic components in one country, assembles finished goods in another, and sells them at similar price points in various countries.

In this situation, the international firm's pricing strategy is a worldwide pricing strategy. The company manufactures electronic components in one nation and assembles them into finished products in another. The finished goods are then shipped and sold at comparable prices in a variety of nations.

This approach seeks to achieve pricing consistency across multiple marketplaces while also taking advantage of cost savings from manufacturing components and assembling completed goods in various nations. This strategy assists the company in remaining competitive in worldwide marketplaces and maximising earnings.

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mason is shopping for muffins to eat for breakfast. he wants to find a product that supplies at least 8 g of unsaturated fat/serving. using the label information, would you suggest that mason purchase these muffins? why?

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Yes, Mason should purchase the muffins as they provide 11g of unsaturated fat per serving, which is more than the 8g minimum requirement he is looking for.

Unsaturated fats are considered healthy fats as they can help reduce bad cholesterol levels and lower the risk of heart disease. Therefore, it is important to include them in a healthy diet. By choosing muffins that are high in unsaturated fats, Mason can enjoy a tasty breakfast that is also nutritious. However, it is important to remember that while unsaturated fats are healthy, they are still high in calories, so it is best to consume them in moderation as part of a balanced diet.

Mason should also check the label for other important nutritional information such as the calorie count, sugar content, and fiber content. This will help him make an informed decision about whether the muffins are a healthy option for him.

Additionally, he may want to consider whether the muffins contain any artificial additives or preservatives that could be harmful to his health. Overall, it is important for Mason to carefully evaluate the nutritional value of the muffins before making his purchase to ensure that he is making a healthy choice.

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an investor can design a risk-free portfolio based on two stocks, a and b. the standard deviation of return on stock a is 10 percent, while the standard deviation on stock b is 15 percent. the correlation coefficient between the returns on a and b is -1. what is the percent weight in stock a to get a portfolio with zero risk?

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There is no real solution for w1, meaning there is no weight of stock A that will result in a portfolio with zero risk.

To design a risk-free portfolio, we need to find the weight of stock A that will result in a portfolio with zero risk, meaning the portfolio's standard deviation of return is equal to zero.

The formula for the standard deviation of a two-stock portfolio is:

σp = √(w1^2 * σ1^2 + w2^2 * σ2^2 + 2 * w1 * w2 * ρ * σ1 * σ2)

where:

σp = standard deviation of the portfolio

w1 = weight of stock A

σ1 = standard deviation of stock A

w2 = weight of stock B (1 - w1, since the total weight of the portfolio is 100%)

σ2 = standard deviation of stock B

ρ = correlation coefficient between stock A and stock B

Since we want the portfolio to have zero risk, we can set σp = 0 and solve for w1:

0 = √(w1^2 * 10^2 + (1 - w1)^2 * 15^2 - 2 * w1 * (1 - w1) * -1 * 10 * 15)

Simplifying, we get:

0 = √(100w1^2 + 225 - 450w1 + 225w1^2 + 300w1 - 300w1^2)

0 = √(425w1^2 - 150w1 + 225)

Squaring both sides, we get:

0 = 425w1^2 - 150w1 + 225

This is a quadratic equation, which we can solve for w1 using the quadratic formula:

w1 = (-b ± √(b^2 - 4ac)) / (2a)

where a = 425, b = -150, and c = 225.

Plugging in the values, we get:

w1 = (-(-150) ± √((-150)^2 - 4 * 425 * 225)) / (2 * 425)

w1 = (150 ± √(22500 - 382500)) / 850

w1 = (150 ± √(-360000)) / 850

Since the discriminant (b^2 - 4ac) is negative, the square root of a negative number is not possible in real numbers. Therefore, there is no real solution for w1, meaning there is no weight of stock A that will result in a portfolio with zero risk.

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which of the following is true when designing a data dashboard? one should adhere to the principles of effective data visualization for all components (charts, tables, etc.) of the dashboard but not necessarily for the overall dashboard. one does not need to be concerned with adhering to the principles of effective data visualization for the dashboard or any of its components (charts, tables, etc.). one should adhere to the principles of effective data visualization for the dashboard and each of its components (charts, tables, etc.). one should adhere to the principles of effective data visualization for the overall dashboard but not for any of the components (charts, tables, etc.) of the dashboard.

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The correct answer is "one should adhere to the principles of effective data visualization for the dashboard and each of its components (charts, tables, etc.)".

When designing a data visualization, it is essential to ensure that all components of the dashboard adhere to the principles of effective data visualization. This includes choosing appropriate chart types, using a limited color palette, and labeling axes and data points clearly. The overall dashboard should also follow these principles, with a clear layout and design that effectively communicates the data to the user.

By adhering to these principles, the dashboard will be more effective in communicating insights and trends to the user.

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rolando, a roofer, decides to fix the roof of his neighbor, angela, in exchange for angela providing bookkeeping services for his business. who must report income on their tax return?

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When Roland, a roofer, decides to repair the roof of his neighbor, Angela, in exchange for Angela providing bookkeeping services for his company, Roland must report income on his tax return.

What is the tax?

A tax is a mandatory financial charge or any other type of levy imposed on a taxpayer by a governmental organization to fund government spending and various public expenditures.

A tax may be imposed directly or indirectly, and the amount charged is usually determined based on the value of the product, service, or transaction being taxed, as well as the ability of the taxpayer to pay the tax.

Since Roland's repair services are given in exchange for bookkeeping services, the transaction is regarded as taxable income for Roland, and he must report it on his tax return.

On the other hand, Angela does not have to report the value of the bookkeeping services she offers Roland on her tax return since it is not money.

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