The statement of a company's assets and liabilities that is prepared for the balance sheet. Two perspectives exist: an asset, while the other is the equity share capital and liabilities, resulting in an equal balance.
A Balance Sheet: What Is It?A financial statement that details a company's assets, liabilities, and shareholder equity at a given time is referred to as a balance sheet. The basis for calculating investor returns and assessing a company's capital structure can be found in balance sheets.
In short, the balance sheet is a financial statement that shows what a company owns and owes and how much shareholders have invested. When performing fundamental analysis or calculating financial ratios, balance sheets can be combined with other significant financial statements.
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Now that we have covered market structures and the role of the government, I want you to write a 200-300 word response explaining about what the government could have done differently in at least two of the following crises. What could they have done differently and how could they have either averted or lessened the fall out of these major economic events in the past century? Make sure each topic is its own paragraph.
The government could have either averted or lessened the fallout of these major economic events in the past century in the following crises if they have taken the following measures-
The Great Depression: During the Great Depression, the federal government could have done more to help stimulate the economy. For example, they could have provided more public works projects to help create jobs and boost incomes. They also could have increased government spending on infrastructure and transportation projects to help stimulate economic growth. They also could have increased government funding for social services that would have helped those who were most affected by the depression.
The Great Recession of 2008: The federal government could have done more to prevent the Great Recession from happening. They could have regulated the housing and financial markets more closely and monitored financial institutions more closely to prevent risky investments. They also could have provided more oversight and regulation to the banking industry, which would have prevented them from taking on so much risk. Additionally, the government could have provided more assistance to those who were most affected by the recession, such as those who lost their jobs or their homes.
The OPEC Embargo of 1983: The federal government could have taken a more active role in dealing with the OPEC embargo. They could have encouraged the development of alternative sources of energy, such as solar and wind power, to reduce the reliance on oil and other forms of non-renewable energy sources. They also could have implemented policies that would have encouraged the conservation of energy and reduced the oil demand.
1987 - Black Monday: The federal government could have done more to prevent the stock market crash of 1987. They could have increased oversight and regulation of the stock market to prevent large and risky investments. Additionally, they could have provided more access to financial education and advice so that individuals would be more informed when making investments.
The Early 80 Recession: During the early's 80s recession, the federal government could have done more to stimulate the economy. They could have provided more public works projects to help create jobs and boost incomes. They also could have increased government spending on infrastructure and transportation projects to help stimulate economic growth. They also could have increased government funding for social services that would have helped those who were most affected by the recession.
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Can someone please double check this for me, thank you.
Answer:
good
Explanation:
a. the amount that Hue is required to include in gross for 2021 is $0 since it's all gifts which is right.
b. Dewy required $100,000 in gross for 2021 since that is when he died.
c. For Louie, the gross in 2021 is $0 because he just start receiving the beneficiaries.
Indigo Corporation wants to transfer cash of $286,000 or property worth $286,000 to one of its shareholders, Brianna, in a redemption transaction that will be treated as a qualifying stock redemption. If Indigo distributes property, the corporation will choose between two assets that are each worth $286,000 and are no longer needed in its business: Property A (basis of $143,000) and Property B (basis of $371,800). a. Compute Indigo's recognized gain or loss if it distributes Property A in redemption of Brianna's shares. The distribution of Property A would result in a realized of $ to Indigo, of which $ is recognized b. Compute Indigo's recognized gain or loss if it distributes Property B in redemption of Brianna's shares. The distribution of Property B would result in a realized of $ to Indigo, of which $ is recognized. c. Compute Indigo's recognized gain or loss if it sells Property B to an unrelated party, then distributes the sale proceeds in redemption of Brianna's shares. A sale of Property B to an unrelated party would result in a realized of $ to Indigo, of which is recognized
a. Compute Indigo's recognized gain or loss if it distributes Property A in redemption of Brianna's shares. The distribution of Property A would result in a realized gain of $143,000 to Indigo, of which $143,000 is recognized as ordinary income.
What is recognized?Recognize is the act of acknowledging and appreciating something or someone. It is the process of acknowledging the importance or value of something or someone. Recognition can be as simple as a smile or verbal acknowledgement, or it can be a more formal process such as a written letter of appreciation, or awarding a medal or certificate.
b. Compute Indigo's recognized gain or loss if it distributes Property B in redemption of Brianna's shares. The distribution of Property B would result in a realized loss of $85,800 to Indigo, of which $85,800 is recognized as an ordinary loss.
c. Compute Indigo's recognized gain or loss if it sells Property B to an unrelated party, then distributes the sale proceeds in redemption of Brianna's shares. A sale of Property B to an unrelated party would result in a realized gain of $286,000 to Indigo, of which $214,200 is recognized as ordinary income.
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Which of the following is currently a main role of the Federal Reserve’s Board of Governors?
A) regulating commercial banks
B) regulating foreign trade
C) controlling monetary policy
D) regulating commercial banks and controlling monetary policy
The current main roles of the Federal Reserve's Board of Governors are regulating commercial banks and controlling monetary policy. Therefore, the correct answer is option D) regulating commercial banks and controlling monetary policy.
What is Federal Reserve's Board of Governors?The main decision-making body of the Federal Reserve System, the nation's central bank, is the Board of Governors of the Federal Reserve, usually referred to as the Federal Reserve Board. Seven people make up the Board of Governors; they are chosen by the President of the United States and confirmed by the Senate. Board members have a 14-year term limit and can only hold the position for one term.
The Board of Governors is in charge of the Federal Reserve System's general management and oversight, which includes establishing monetary policy, monitoring and policing banks and other financial institutions, and preserving financial stability. The Board is essential to the effective and efficient operation of the Federal Reserve System.
The Board of Governors is in charge of determining the country's monetary policy. Making choices here will affect the amount of money in circulation in the economy as well as the rate of interest. The federal funds rate, or interest rate that banks charge one another for overnight loans of reserves, is the Board's main tool for implementing monetary policy. The Board can alter other interest rates in the economy and the degree of economic activity by changing the federal funds rate.
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during 2022, baltic company incurred operating expenses amounting to $190,000, of which $132,000 was paid in cash; the balance will be paid during 2023. which of the following is correct for the 2022 year-end balance sheet?
A)Stockholders' equity decreases $132,000 and assets decrease $132,000.
B)Assets decrease $190,000, liabilities increase $1225,000, and stockholders' equity decreases $190,000.
C)Assets decrease $190,000 and stockholders' equity decreases $190,000.
D)Stockholders' equity decreases $190,000, assets decrease $85,000, and liabilities increase $1325,000.
If during 2022, baltic company incurred operating expenses amounting to $190,000. The correct option is : C) Assets decrease $190,000 and stockholders' equity decreases $190,000.
What is the 2022 year-end balance sheet?The operating expenses incurred by Baltic Company are considered as an expense in the income statement, reducing the company's net income and retained earnings (a component of stockholders' equity).
However, the expenses do not affect the company's assets or liabilities, since they are not related to the acquisition of any assets or the incurrence of any liabilities. The fact that only a portion of the expenses have been paid in cash as of year-end does not affect the balance sheet, as the remaining amount is already recognized as a liability in the accounts payable account.
Therefore, the correct answer is that assets decrease $190,000 and stockholders' equity decreases $190,000.
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Question 5(Multiple Choice Worth 5 points)
(04.01 LC)
If a company pays dividends to stockholders, the dividends -
Oare taxable
Oare not considered income
O cannot be reinvested
O must be cashed out.
If a company pays dividends to stockholders, the dividends cannot be reinvested. The Option C is correct.
What does dividends means to stockholders?A dividend is a payment made by a company to its shareholders that is decided by the board of directors. Dividend payments are frequently made quarterly and can take the form of cash payments or stock reinvestments.
By exercising their voting rights, shareholders must approve dividends. Despite the fact that stock dividends are less common than cash dividends, they are still a possibility. Different exchange-traded funds (ETFs) and mutual funds also distribute dividends.
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Omar found the the dealer's cost of the base price was $16558. 16 and the dealer's options cost was $611. 60. The consumer paid the $475 destination charge. If the percent of the dealer's cost is 92% and the percent of the dealer's options cost is 88%. Find the car's sticker price.
The sticker price of the car is $17,544.76. To find the car's sticker price, we need to add up the dealer's cost, dealer's options cost, and destination charge, and then divide by the percentage of the total cost that is represented by the dealer's cost and options cost.
Let x be the sticker price of the car.
The dealer's cost is 92% of the sticker price, so we can write:
0.92x = 16558.16
Solving for x, we get:
x = 16558.16 / 0.92 = 18007.22
Similarly, the dealer's options cost is 88% of the sticker price, so we can write:
0.88x = 611.60
Solving for x, we get:
x = 611.60 / 0.88 = 695.00
Finally, we add up the dealer's cost, dealer's options cost, and destination charge to get the sticker price:
Sticker price = Dealer's cost + Dealer's options cost + Destination charge
Sticker price = 16558.16 + 611.60 + 475
Sticker price = 17544.76
In conclusion, the sticker price of a car is calculated by adding the dealer's cost of the base price, dealer's options cost, and the destination charge paid by the consumer. To calculate each of these costs, we need to know the percent of the dealer's cost and the percent of the dealer's options cost.
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You want to buy an apartment at the price of 4 million Hong Kong dollars. You will do this with a mortgage from a bank at the annual interest rate 8% for 30 years. What is your annual payment.
pls show cash flow diagram
Answer:
960,000,000
Explanation:
Eastland College is concerned about the rising price of textbooks that students must purchase. To better identify the increase in the price of textbooks, the dean asks you, the Economics Department's star student, to create an index of textbook prices. The average student purchases three English, two math, and four economics textbooks per year. The prices of these books are given in the accompanying table.
English textbook Math textbook Economics textbook 2012 $100 140 160 2013 $110 144 180 2014 $114 148 200
What is the percent change in the price of an English textbook from 2012 to 2014? (Note: Express as a percent rounded to one decimal place, for example, 3.2%.)
10.2%
14.0%
12.4%
The percent change in the price of an English textbook from 2012 to 2014 is 14.0%. Thus, the second option is the correct answer.
What is percentage?A percentage is a number or ratio that represents a fraction of 100 in mathematics. It is one of the methods for representing a dimensionless relationship between two numbers, along with ratios, fractions, and decimals. Percentages are frequently denoted by the symbol "%" following the number.
The price of English textbook in 2012 = $100
The price of English textbook in 2014 = $114
∴ The price of English textbook has increased from $100 to $114 from 2012 to 2014,
The percentage change is:
= (114-100)/100
=14%
Therefore, there have been a 14% change in the price of an English textbook from 2012 to 2014.
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In Canine Ville, the price elasticity of demand for dry dog food is 0.8 the income elasticity of demand for dry dog food is 0.2 and the cross elasticity of demand for dry dog food with respect to canned dog food is 0.6.
In Canine Ville, a package of dry dog food is _ good. In Canine Ville, dry dog food and canned dog food are
a. a normal; complements
b. an inferior; substitutes
c. a normal; substitues
d. an inferior; complements
From the price elasticity, the dry dog food is likely a necessary or normal goods, it also shows the consumer's incomes increase as their demand for dry food also increase.
What are dry dog food and canned dog food in Canine VilleIn Canine Ville, the package of dry dog food is a normal good. Dry dog food and canned dog food are substitutes.
This can be inferred from the given information:
The price elasticity of demand for dry dog food is 0.8, which is less than 1, indicating that dry dog food is a relatively inelastic product, meaning that consumers are not very responsive to changes in price. This suggests that dry dog food is likely a necessary or normal good.The income elasticity of demand for dry dog food is 0.2, which is positive, indicating that dry dog food is a normal good. This means that as consumers' incomes increase, their demand for dry dog food will also increase.The cross elasticity of demand for dry dog food with respect to canned dog food is 0.6, which is positive, indicating that dry dog food and canned dog food are substitutes. This means that if the price of canned dog food were to increase, consumers would likely switch to dry dog food as a substitute, leading to an increase in demand for dry dog food.Learn more on price elasticity here;
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A project costs $20,000, will be depreciated straight-line to zero over its 3-year life, will require a net working capital investment of $5,000 up front, has a tax rate of 34% and a required return of 10%. The fixed assets will be sold for $2,000 at the end of year three. The project generates OCF of $13,000. What is the NPV for this project?
$10,724
$11,033
$12,077
$13,426
The NPV for this project based on the information will be C. $12,077
What is NPV?It should be noted that Net present value (NPV) is used to calculate the current value of a future stream of payments from a company, project, or investment. In this case, to calculate NPV, you need to estimate the timing and amount of future cash flows and pick a discount rate equal to the minimum acceptable rate of return.
The net present value or net present worth applies to a series of cash flows occurring at different times. The present value of a cash flow depends on the interval of time between now and the cash flow. It also depends on the discount rate. NPV accounts for the time value of money. In this case, the value is $12077.
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During 2024, a company sells 25 units of inventory. The company has the following inventory purchase transactions for 2024 : Calculate ending inventory and cost of goods sold for 2024 assuming the company uses the weighted-average cost method. (Round weighted-average unit cost to 4 decimal places. Round your final answers to the nearest dollar amount.)
The cost of goods sold by the company is $56 per unit, and the ending inventory of the company is 5 units.
What is the weighted-average cost method?The Weighted Average Cost method of calculation of inventory uses a weighted average to calculate the amount that goes into the cost of goods sold and inventory. This method divides the cost of goods available for sale by the number of units available for sale.
Weighted average cost per unit = Total cost of Inventory / Total units
Weighted average cost per unit =$1,680 / 30=$56
Weighted average cost per unit = $56 per unit
Total units available for sale = 30 units
Units sold = 25
Ending inventory = 5 units
Under weighted average cost of goods sold and ending inventory is valued based on weighted average cost per unit.
Therefore, The COGS by the company is $56 per unit, and the closing inventory of the company is 5 units.
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However, if Lin pays $400 towards her student loans now, she'll be done repaying her loan sooner and can then invest the full $400. Calculate Lin's investment value at the end of the same 10-year period if she invests $400 per month, starting in the month after her student loans are paid off.
Lin's investment value at the end of the same 10-year period will have an investment value of $68,603.44
How to calculate the future of Lin's investment
Assuming Lin starts investing the $400 per month after she pays off her student loan, she will have 10 years to invest. We can use the future value formula to calculate the investment value:
FV = PV x (1 + r)^n - PMT x ((1 + r)^n - 1) / r
Where:
PV = 0 (since Lin is not starting with any initial investment)
PMT = $400 (monthly investment amount)
r = 0.06/12 = 0.005 (monthly interest rate, assuming 6% annual interest rate)
n = 10 x 12 = 120 (total number of months)
Plugging in these values, we get:
FV = 0 x (1 + 0.005)^120 - 400 x ((1 + 0.005)^120 - 1) / 0.005
= $68,603.44
Therefore, if Lin invests $400 per month starting after her student loans are paid off, she will have an investment value of $68,603.44 at the end of the 10-year period.
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Challenger Pediatrics has the following balances on December 31,2024 , before any adjustment: Accounts Receivable =$116,000. Allowance for Uncollectible Accounts =$1,900 (debit). On December 31,2024 , Challenger estimates uncollectible accounts to be 15% of accounts receivable. Required: 1. Record the adjusting entry for uncollectible accounts on December 31,2024. 2. Determine the amount at which bad debt expense is reported in the income statement and the allowance for uncollectible accounts is reported in the balance sheet. 3. Calculate net accounts receivable reported in the balance sheet.
The net accounts receivable reported in the balance sheet is $99,000.
How to Calculate Accounts in a Balance Sheet?1. The adjusting entry for uncollectible accounts on December 31, 2024 is:
Bad Debt Expense $17,100
Allowance for Uncollectible Accounts $17,100
The Bad Debt Expense is calculated as 15% of Accounts Receivable ($116,000 x 0.15 = $17,400), but since there is already a debit balance of $1,900 in the Allowance for Uncollectible Accounts, we only need to adjust for the difference ($17,400 - $1,900 = $15,500).
2. The amount at which bad debt expense is reported in the income statement is $17,100. The allowance for uncollectible accounts is reported in the balance sheet as $17,000 ($1,900 + $15,100).
3. Net accounts receivable reported in the balance sheet is calculated as Accounts Receivable minus the Allowance for Uncollectible Accounts:
Net Accounts Receivable = Accounts Receivable - Allowance for Uncollectible Accounts
= $116,000 - $17,000
= $99,000
Therefore, the net accounts receivable reported in the balance sheet is $99,000.
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true/false. department b had a beginning inventory balance of 150 units. during the accounting period, the department started an additional 950 units, and 975 units were completed and transfered out. department b had an ending balance of units.
The department B had an ending balance would be 125 units.
What is meant by inventory balance?Inventory Balance denotes the dollar value of the inventory as of the measurement date, based on the standard costs of the seller or one or more of its affiliates as defined above for the purpose of such measurement.
In accounting, inventory is a type of asset. Because firms usually utilize, sell, or replenish it in less than a year, it is represented as a current asset on the balance sheet.
According to the query, the Department of B's ending inventory balance is equal to the starting inventory balance plus the extra units minus the transferred out units.
An initial inventory balance of around 150 units belongs to Department B. The department had 950 units at the beginning of the era, and 975 of those units were finished. hence, the final balance of
Department B = 150 + 950 - 975 = 125 units.
Therefore, the department B had an ending balance be 125 units
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let's consider some differences between providing services and manufacturing goods. select the three statements from the following list that are true. group of answer choices there is less customer contact in service provision than goods manufacture goods manufacture tends to use more labor than service provision it's typically harder to measure productivity in the manufacture of goods than the provision of services outputs from the manufacture of goods tend to be more uniform than those from the provision of services it's typically harder to correct quality problems when providing services than manufacturing goods inputs are more uniform in goods manufacture than in service provision
Goods manufacture tends to use more labor than service provision, Inputs are more uniform in goods manufacture than in service provision statements from the following list are true.
What are differences between providing services and manufacturing goods?
Services are ephemeral, intangible goods that are frequently ideas, concepts, or information. Produce that can be made, stored, and delivered in preparation of future need is referred to as manufactured products. Service cannot be created. The majority of consumers of produced goods have little or no interaction with the producing process. Services are less transferable than products, therefore some businesses focus only on selling used goods. As commodities are physical objects, depending on the terms of the purchase agreement, you can frequently return or exchange them. While it is occasionally possible to request a refund after making a service purchase but before to receiving it, once you have used a service, it cannot be returned.
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Knowledge Check 01 Which of the following statements about the concept of cost allocation as it pertains to equipment are true? (Select all that apply.) Check All That Apply Depreciation is recorded as a period expense in the income statement The cost of an acquisition of equipment is initially recorded as an asset The cost of an acquisition of equipment is allocated to depletion expense over the reporting periods benefited by its use For equipment used in the manufacture of a product depreciation is considered a product cost to be included as part of the cost of Inventory
The following statements are true: The cost acquisition of equipment is recorded as an asset, Depreciation is recorded as a period expense, For equipment used in the manufacturing, depreciation is considered a product cost to be included as part of the inventory cost.
What is the concept of cost allocation?The distribution or assignment of a resource's or an activity's cost to one or more cost objects, such as goods, services, organizations, or projects, is known as cost allocation. The goal of cost allocation is to make decision-making easier and to offer more precise information about the true expenses of each cost object.
For companies that produce goods, cost allocation is crucial since it makes it possible to calculate each product's genuine cost. After that, this data can be utilized to decide on product design, set prices, and assess profitability.
It's crucial to understand that cost assignment and cost allocation are two different concepts. The act of identifying and categorizing costs in accordance with their nature or function is known as cost assignment. On the other hand, cost allocation entails allocating expenses to cost objects in accordance with some sort of logical foundation.
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In a recent presentation by the management of Seas Inc., the presenters conducted a discussion with a pictorial chart on the cumulative units of production of the company and its correlation with the cost per unit of the product. Which of the following charts did the presenters of Seas discuss?
Question 9 options:
The learning curve
The experience curve
The scale curve
The value curve
The poor utility of media research for enhancing education has been the subject of numerous gloomy analyses over the last 10 years.
What does "consumption chain" mean in entrepreneurship?The consumption chain refers to this connection life cycle. A business might find possibilities to position and sell its products in ways that neither it nor its rivals would have anticipated by thinking imaginatively about the full experience a consumer has with a product or service.
What kinds of things serve as points of differentiation?Since they put their customers and employees first, some grocery stores, for instance, have a reputation for being terrific places to work and shop. Customers are aware that even though these stores' products are ubiquitous, doing business with them benefits the community, producers, and workers. They take a business-oriented attitude.
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The CEO is meeting with his top managers to determine how best to compete successfully in the company's market. This group is developing the company's:
A) strategy
B) competitive advantage
C) strengths and weaknesses
D) opportunities and threats
(A) Strategy. As part of creating a company's strategy, the CEO is meeting with his top management to discuss how to compete most successfully in the company's market.
What is the competitive advantage?The company's strategy places a major emphasis on creating a competitive advantage. To distinguish the business from rivals and draw in clients, this entails discovering and utilizing its distinctive assets. The business can establish itself as the leader in its market and succeed over the long term by building a solid competitive edge. Ultimately, the CEO and his top executives must collaborate to develop a thorough and successful strategy that will help the business prosper in its market.
To review the company's strategy for successfully competing in its market, the CEO is meeting with his senior managers. In order to do this, a plan must be created that explains how the business will meet its objectives and overcome market hurdles. A thorough evaluation of the company's existing situation, including its strengths and shortcomings, should serve as the foundation for the strategy, which should also take into account the market's opportunities and dangers.
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Carlos is planning a 1340-mile driving trip. His car gets an average of 32 mpg, and the cost of gas is about $3. 76/gallon. What is the approximate driving cost of the trip?.
Carlos' car gets an average of 32 miles/gallon, so if he wants to travel 1340 miles and if the cost of gas is $3.76, then the answer is:
1340/32 = 41.875 ⇒ 41.875* 3.76 = 157.45$ driving cost.
How are driving expenses calculated?The amount of gallons of gas you'll need for your trip can be calculated by multiplying the mileage of the entire trip by your miles per gallon. Your projected gas expenditure for your road trip will be determined by multiplying that amount by the current gas price.The significance of cost drivers by enhancing the overhead allocation to their products, cost drivers help managers better grasp the underlying costs of their operations. This makes it easier for management to assess the profitability of individual items.
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you manage inventory for your company and use a continuous review inventory system to control reordering items for stock. your company is open for business 300 days per year. one of your most important items experiences demand of 20 units per day, normally distributed with a standard deviation of 3 units per day. you experience a lead time on orders from your supplier of six days with a standard deviation of two days. the unit price, regardless of order size, is $4.75. your ordering cost is $10. your inventory carrying cost is 20 percent. you have established a service level policy of 97.5 percent on this item.
In order to control inventory reordering for the item, your company should use a continuous review inventory system. The equation to use to calculate the order point for this system is:
Order Point = Demand During Lead Time + Safety Stock
To calculate the Demand During Lead Time, we must first calculate the mean demand. This is calculated as:
Mean Demand = (Demand per Day x Number of Days Open) / Number of Days Open = 20 x 300 / 300 = 20 units
To calculate the standard deviation of demand during lead time, we use the equation:
Standard Deviation of Demand During Lead Time = Standard Deviation of Demand per Day x √ Number of Days in Lead Time = 3 x √6 = 9.5
Next, we need to calculate the Safety Stock. This is calculated as:
Safety Stock = Z-Score x Standard Deviation of Demand During Lead Time = 1.96 x 9.5 = 18.92
Finally, we can calculate the Order Point as:
Order Point = Mean Demand + Safety Stock = 20 + 18.92 = 38.92 units
Therefore, the company should order 38.92 units in order to meet their service level policy of 97.5%.
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FILL IN THE BLANK. The AIM planning process for persuasive messages involves analyzing your ______ and creating a ______ that will reduce a person's tendency to resist what you are saying.
The aim planning process for persuasive messages involves analyzing your audience and creating a message that will reduce a person's tendency to resist what you are saying.
What is the importance of the planning process?Planning provides direction for action by stating in advance how work will be completed. Makes sure that goals and objectives are properly delineated so that they can serve as a guide for determining what action to take and in which direction.
The aim Planning Process focuses on three areas: audience analysis, idea development, and message structuring. In short, the planning process should include analyzing your audience's needs, developing sound ideas to meet those needs, and then structuring your message.
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Like many financial decisions, when making a housing decision, you should consider what you give up in time, ___ and money as a result of the decision.
O effortO easierO walk-throughO home default
Answer:
effort
Explanation:
TRUE OR FALSE although messages may have a primary and a secondary audience, the writer needs to profile only the primary audience to determine the best presentation of the message.
Despite the possibility of a primary and secondary audience for communications, the writer must only profile the core target to decide on the most effective presentation.
What does it mean that it's a possibility?
When you say something has a chance of happening or that it might, you suggest that it could be the case or that it might.
In a nutshell, a chance is anything that unexpectedly happens to you, a potential is something that could be done or gained in the future, and an opportunity denotes that something has a good probability of happening.
An adverb that denotes possibility is "maybe." As a result, it is a synonym for the adverbs probably and possibly. For instance, Susanna said, "Maybe later, you and I can go swimming together down at the holler."
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This improvement was key in both the division of time zones as well as improving sales in such brands as Ivory soap and Quaker Oats.A. the installation of telephone B. poles telegraph lines C. standard gauge for railroads D. invention of the television set
This improvement was key in both the division of time zones as well as improving sales in such brands as Ivory soap and Quaker Oats -- standard gauge for railroads.
Option C is correct.
Which factor was the most significant catalyst for the establishment of standardized time zones initially?Problems with transporting passengers and cargo over the thousands of miles of rail line that covered North America by the 1880s were directly responsible for the need for continental time zones. When humans first started keeping track of time, they set their clocks to follow the sun's local movement.
Why is standard time necessary, and what are the purposes of time zones?The rotation of the Earth led to the formation of time zones. The Earth is illuminated by the sun, but only in part. Time zones maintain logical order and regulate day and night because the sun cannot rise simultaneously in all parts of the world.
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all else being equal, if a company moves down the experience curve faster than its rivals, it should realize a lower cost structure.True
False
The statement that, if a company moves down the experience curve faster than its rivals, it should realize a lower cost structure, is True.
What is the experience curve ?The experience curve is a concept in business strategy that suggests that as a company gains more experience in producing a product or service, its costs should decrease.
This is due to a variety of factors, such as improved efficiency, economies of scale, and better use of technology. As a company moves down the experience curve faster than its rivals, it should be able to realize a lower cost structure, all else being equal.
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Suppose sellers of cologne are required to send $1.50 to the goverment for every bottle of cologne they sell. Further, suppose this tax causes the price paid by buyers of cologne to rise by $0.90 per bottle. Which of the following statements is correct? a. The effective price received by sellers is $0.60 per bottle less than it was before the tax. b. Sixty percent of the burden of the tax falls on sellers, d. This tax causes the demand curve for cologne to shift downward by S1.50 at each quantity of cologne. c. This tax does not change the quantity of cologne bought and sold.
The effective price obtained by vendors is $0.60 per bottle less than it was prior to the tax, (A) thus they actually receive $0.60 less per bottle than they did previously.
What is tax?In order to ensure that taxpayers are paying the proper amount of tax at the proper time and obtaining the proper tax allowances and tax reliefs, tax compliance refers to both policy actions and individual behavior.
A tax is a mandatory financial charge or another sort of levy placed on a taxpayer (an individual or legal entity) by an administrative body to pay for certain public expenditures and administrative costs (regional, local, or national).
The first known taxation was implemented in ancient Egypt between 3000 and 2800 BC.
Failure to make timely payments as well as tax evasion or resistance are examples of breaking the law.
So, in the given situation "sellers actually, get paid $0.60 less per bottle than they did before the tax" would be correct.
Therefore, the effective price obtained by vendors is $0.60 per bottle less than it was prior to the tax, (A) thus they actually receive $0.60 less per bottle than they did previously.
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Which of the following are typical negotiable certificate of deposit (NCD) denominations? Check all that apply.
a. $200,000
b. $500,000
c. $1,000,000
d. $5,000,000
The typical values for negotiable certificate of deposit (NCD) are $1,000,000 and $5,000,000. Thus, the correct answer is C and D.
What is negotiable certificate of deposit?Banks and credit unions issue negotiable certificates of deposit, which are a type of short-term debt. They usually trade at a discount, and when they mature, the investor receives the par value plus interest. They are not redeemable before maturity, but they can be traded.
NCD characteristics include:
A typical NCD denomination is in millions.They trade at a loss.They yield more than T-Bills.Investors are typically financial institutions because the denominations are higher.Therefore, $1,000,000, and $5,000,000 are typical negotiable certificate of deposit.
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daniel, a salesperson, categorizes sean, a customer, as an expressive based on the categories of social styles. in this scenario, the categorization by daniel means that sean is . multiple choice question. low on assertiveness and high on responsiveness high on assertiveness and low on responsiveness high on assertiveness and high on responsiveness low on assertiveness and low on responsiveness
Daniel categorized the customer as high on assertiveness and high on responsiveness based on the categories of social styles.
What are categories of social style?The Social Style model is comprised of four styles. Each style represents a specific pattern of actions that others may observe and agree on when describing one's behavior. This model classifies four distinct personalities: Analytical, Driver, Expressive, and Amiable.
Daniel, a salesperson, classifies Sean, a customer, as an expressive based on social style categories because Sean exhibits high levels of assertiveness and responsiveness.
Therefore, a person is said to be expressive if he/she is high on assertiveness and high on responsiveness.
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Which of the following situations illustrate the problem of the introduction of new goods in the construction of the CPI? Check all that apply.
The introduction of air bags in cars
Greater use of fuel-efficient cars after gasoline prices increase
The invention of cell phones
More scoops of raisins in each package of Raisin Bran
Increased personal computer purchases in response to a decline in their price
increased use of fuel-efficient vehicles as gas prices rise. Due to the lack of comparable products in the past, the development of cell phones serves as an example of the issue with the introduction of new items in the formulation of the CPI.
What is Cell Phone?When the user is travelling within a phone service area, a cell phone is a portable telephone that can make and receive phone calls over a radio wave link. The radio frequency link creates a connection to a mobile phone operator's switching systems, granting access to the public switched telephone network (PSTN). In North America, mobile phones are referred to as cell phones or cellular telephones since modern mobile telecom services use a cellular network design. Digital mobile phones are capable of a wide range of other services in addition to voice calling, including text messaging, multimedia messaging, email, Internet access (via LTE, 5G NR, or Wi-Fi), short-range wireless communications (infrared, Bluetooth), satellite access (navigation, messaging connectivity), business applications, video games, and digital photography.
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