You should make article review report. Read research articles from peer-reviewed journals that have been published within the past decade on the subject of strategic marketing. As simulating top-tier journal article reviewers (or ad hoc editorial board members), colleagues are expected to actively participate in a discussion of the articles and required to select, write, and submit an article review report with a thorough review of the selected journal article, including the opinions of the author’s arguments and research, as well as the article’s relevance to course. The discussion questions may explore major research/practical issues related to corporate social responsibility. Based on the chosen research article, submit journal article review that includes the following:
a. Give a brief summary of the research: purpose, issues/problems, procedures, and conclusions (1.5 to 2 pages);
b. Explain briefly two or three significant/interesting aspects (approaches, theories, methods, findings, implications) of the research (1.5 to 2 pages);

Answers

Answer 1

Article is a piece of writing included with others in a newspaper, magazine, or other print or online publication.

Article Review Report Template:

Title: [Article Title]

Authors: [List of Authors]

Journal: [Name of Journal]

Publication Date: [Publication Date]

a. Summary of the Research:

Purpose: [Briefly explain the research's main objective or purpose]

Issues/Problems: [Identify the key issues or problems addressed in the research]

Procedures: [Describe the research methodology and approach used by the authors]

Conclusions: [Summarize the main findings and conclusions of the research]

b. Significant/Interesting Aspects of the Research:

1. [Aspect 1]:

[Explain the first significant or interesting aspect of the research, such as a unique approach, novel theory, innovative methods, groundbreaking findings, or practical implications.]

[Discuss why you find this aspect significant or interesting and how it contributes to the field of strategic marketing.]

2. [Aspect 2]:

[Explain the second significant or interesting aspect of the research, similar to Aspect 1.]

[Discuss the relevance and potential impact of this aspect on strategic marketing practices or research.]

3. [Aspect 3 - Optional]:

[If applicable, include a third significant or interesting aspect and provide a concise explanation of its importance.]

[Discuss any limitations or potential criticisms related to the aspects mentioned above.]

c. Relevance to the Course:

[Explain how the research article is relevant to the course on strategic marketing and its implications for corporate social responsibility.]

[Discuss how the findings and insights from the research can inform marketing strategies in the context of corporate social responsibility.]

[Summarize your overall opinion on the article's quality, contribution to the field, and its potential implications for future research or marketing practices.]

Remember to properly cite the research article according to the citation style required by your academic institution or the journal's guidelines. Review the specific requirements provided by your instructor or the editorial board for the review process.

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Related Questions

introductory macroeconomic
1. Explain and evaluate the following statements: (a) The invention of money is one of the great achievements of humankind, for without it the enrichment that comes from broadening trade would have be

Answers

The invention of money has been considered to be one of the great achievements of humankind, according to many historians. Without it, the enrichment that comes from broadening trade would have been impossible.

However, this system had its limitations, mainly because it was difficult to find two parties that had exactly what each other needed to make a trade feasible. To overcome this limitation, money was invented to serve as a medium of exchange.

Money has several functions. It serves as a unit of account, which means that it is used to measure the value of goods and services in the market. It is also used as a store of value, which means that it can be saved and used for future transactions. Additionally, money is used as a medium of exchange, meaning that it is used to buy goods and services.

Money has allowed for more efficient trade between people because it allows for more specialization and the exchange of goods on a much larger scale than what was previously possible. This, in turn, has led to greater economic growth, as countries can specialize in producing goods and services that they are most efficient at and then trade with other countries to obtain goods and services that they cannot produce themselves.

In conclusion, the invention of money has greatly impacted human history and has allowed for the enrichment of trade. Without it, the barter system would have been the only means of trade, making it much more difficult to conduct business and grow economies.

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What are the costs to society when well-established firms like
Firebird out source even though they clearly have the capability to
produce the good or service ?

Answers

The outsourcing of production by well-established firms like Firebird, even when they have the capability to produce the good or service themselves, can have various costs to society.

1. Job Loss: When firms outsource production, it often leads to job losses in the home country. This can result in higher unemployment rates and economic instability, affecting the livelihoods of individuals and families.

2. Reduced Income and Tax Revenue: Job losses can lead to reduced income for individuals, which in turn reduces tax revenue for the government. This can impact the funding available for public services, such as healthcare and education.

3. Lower Wages: Outsourcing may also drive down wages in the home country. When firms find cheaper labor overseas, they may choose to pay lower wages to remain competitive. This can create income inequalities and negatively impact the standard of living for workers.

4. Negative Impact on Local Economy: Outsourcing can have a negative impact on the local economy. As jobs move overseas, the demand for goods and services in the home country may decrease. This can affect local businesses and communities, leading to a decline in economic growth.

5. Loss of Intellectual Property: Outsourcing production may involve sharing proprietary information and intellectual property with foreign firms. This can pose a risk of intellectual property theft and loss of competitive advantage for the home country.

6. Dependency on Foreign Suppliers: When firms outsource production, they become dependent on foreign suppliers for their goods or services. This can create vulnerabilities in the supply chain, especially during times of geopolitical tensions or disruptions in global trade.

7. Environmental Impact: Outsourcing production to countries with lax environmental regulations can lead to increased pollution and environmental degradation. This can have long-term consequences for the environment and public health.

It's important to note that the impact of outsourcing can vary depending on the specific circumstances and context. Some argue that outsourcing can also bring benefits, such as cost savings and access to specialized expertise. However, the costs mentioned above highlight some of the potential negative consequences to society when well-established firms outsource despite having the capability to produce the good or service themselves.

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You are considering the purchase of a common stock that just paid a dividend of $1.33 yesterday. You expect this stock tto have a growthh rate of 13.55% for the next four years. The long-run normal growth rate after year 4 is expected to be 4.15%. If you require a 8.75% rate of return, how much would you be willing to pay for this stock?

Answers

You would be willing to pay approximately $33.25 for this stock if you require an 8.75% rate of return. The rate of return is a financial metric that measures the gain or loss on an investment relative to the initial amount invested.


To determine how much you would be willing to pay for the stock, you can use the dividend discount model (DDM). The DDM calculates the present value of all expected future dividends to estimate the intrinsic value of a stock.

The formula for the DDM is as follows:

Intrinsic Value = (Dividend / (Rate of Return - Dividend Growth Rate)) + (Dividend x (1 + Dividend Growth Rate)) / (Rate of Return - Dividend Growth Rate) * (1 - (1 + Dividend Growth Rate)^(n+1) / (1 + Rate of Return)^(n+1))

Given the information provided:

Dividend = $1.33 (the dividend just paid)

Dividend Growth Rate = 13.55% (for the next four years) and 4.15% (long-run normal growth rate)

Rate of Return = 8.75%

n = 4 (the next four years)

Plugging in these values into the formula:

Intrinsic Value = (1.33 / (0.0875 - 0.1355)) + (1.33 x (1 + 0.1355)) / (0.0875 - 0.1355) * (1 - (1 + 0.1355)^(4+1) / (1 + 0.0875)^(4+1))

Calculating this equation:

Intrinsic Value ≈ $33.25

Therefore, you would be willing to pay approximately $33.25 for this stock if you require an 8.75% rate of return.


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Case study: Progress—One Step At a Time, DPS p.
425.
Questions for class discussion:
From case study - Progress—One Step At a Time:
How will it be staffed: initially, short term, and long
term?

Answers

The staffing of the case study, "Progress—One Step At a Time," will require careful planning and adaptation at each stage. It is crucial to consider the specific requirements and objectives of the project when determining the staffing approach, both initially and for the short and long term.

Initially, the staffing may involve a smaller team to kick-start the project. This team can consist of key individuals who have the necessary skills and expertise to plan and execute the initial stages. For example, a project manager, subject matter experts, and a few specialists may be assigned to handle the initial workload. This team will focus on setting up the foundation, defining objectives, and developing a strategy to move forward.

In the short term, as the project progresses, additional staff may be required to manage the growing workload. This could include hiring more experts, technicians, or support staff to handle specific tasks or roles. For instance, if the project involves technology implementation, additional IT personnel may be needed to handle the technical aspects. The short-term staffing should be flexible to accommodate the evolving needs of the project.

For the long term, the staffing approach may involve a more comprehensive and sustainable plan. This could include hiring permanent employees or contracting with external resources, depending on the project's nature and duration. In some cases, the project may require ongoing support or maintenance, which would necessitate the establishment of a dedicated team. The long-term staffing plan should consider factors like skills, experience, and budget constraints to ensure the project's success in the long run.

Overall, the staffing of the case study, "Progress—One Step At a Time," will require careful planning and adaptation at each stage. It is crucial to consider the specific requirements and objectives of the project when determining the staffing approach, both initially and for the short and long term.

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The correct answer is shown. Suppose the expected return on the market portfolio is estimated at 7% and the risk free rate is 1%. According to the CAPM, 1.5% is the risk premium on a portfolio invested 50% in a stock with a beta of 0.5 and 50% in the risk free asset. Read about this X Sorry, your answer is incorrect You wrote × 6 instead of 15. Challenge OK

Answers

The risk premium on the portfolio invested 50% in a stock with a beta of 0.5 and 50% in the risk-free asset is 0.03% or 0.0003.

According to the Capital Asset Pricing Model (CAPM), the expected return on a portfolio can be calculated using the following formula.

Formula is:

Expected Return = Risk-free Rate + Beta × (Market Return - Risk-free Rate)

In this case, the risk-free rate is given as 1%, and the expected return on the market portfolio is estimated at 7%.

Let's calculate the expected return on the portfolio invested 50% in a stock with a beta of 0.5 and 50% in the risk-free asset:

Beta = 0.5

Market Return = 7%

Risk-free Rate = 1%

Expected Return = 1% + 0.5 × (7% - 1%)

Expected Return = 1% + 0.5 × 6%

Expected Return = 1% + 0.03

Expected Return = 1.03%

So, according to the CAPM, the expected return on the portfolio is 1.03%. The risk premium is calculated as the difference between the expected return on the portfolio and the risk-free rate:

Risk Premium = Expected Return - Risk-free Rate

Risk Premium = 1.03% - 1%

Risk Premium = 0.03%

Therefore, the risk premium on the portfolio invested 50% in a stock with a beta of 0.5 and 50% in the risk-free asset is 0.03% or 0.0003.

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Required Information [The following information applies to the questions displayed below.] Information on Kwon Manufacturing's activities for its first month of operations follows: a. Purchased $100,000 of raw materials on credit b. Materials requisitions show the following materials used for the month. Job 281 Job 282 Total direct materials Indirect materials Total materials used $ 48,200 23,608 71,800 8,620 $ 80,420 c. Time tickets show the following labor used for the month. Job 201 Job 282 Total direct labor Indirect labor Total labor used $ 39,280 12,600 51,800 24,280 $ 76,000 d. Applied overhead to Job 201 and to Job 202 using a predetermined overhead rate is 80% of direct materials cost. e. Transferred Job 201 to Finished Goods Inventory. f. (1) Sold Job 201 for $163,760 on credit. (2) Record cost of goods sold for Job 201. g. Incurred the following actual other overhead costs for the month. Depreciation of factory equipment Rent on factory building (payable) Factory utilities (payable) Expired factory insurance Total other factory overhead costs $ 32,000 588 888 3,000 $ 36,300 Prepare a job cost sheet for Job 201 and for Job 202 for the month. Job Number 201 Job Number 202 Materials Labor Overhead Total cost GA $ 0 $ 0 Compute gross profit on the sale of Job 201. Gross Profit Job 201

Answers

Job Number 201 Job Number 202 Materials $48,200 $23,608 Labor $39,280 $12,600 Overhead $38,560 $0 Total cost $126,040 $36,208. The job cost sheet for job number 201 and 202 for the month is presented above.

To compute gross profit on the sale of Job 201, we will subtract the cost of goods sold from the sale price. The cost of goods sold is the total cost incurred on the job. It is calculated as follows:Cost of goods sold for Job

201 = Materials + Labor + Overhead

Cost of goods sold for Job

[tex]201 = $48,200 + $39,280 + $38,560[/tex]

Cost of goods sold for Job 201 = $126,040Therefore, the gross profit on the sale of Job 201 is:Gross Profit Job [tex]201 = Sale Price - Cost of goods sold for Job 201[/tex] [tex]Gross Profit Job 201 = $163,760 - $126,040[/tex][tex]Gross Profit Job 201 = $37,720. Answer: $37,720.[/tex]

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Suppose Joan uses her savings to purchase computer equipment for her new consulting business. Soonafter this, the market interest rate rises. As a result, her
explicit costs rise immediately
accounting profit falls immediately
accounting profit rises immediately
economic profit rises immediately
economic profit falls immediately

Answers

As a result of the market interest rate rise, Joan's explicit costs rise immediately. The impact on her accounting profit and economic profit may vary, depending on the specific circumstances of her business.

When the market interest rate rises, it affects the cost of borrowing and financing for businesses. In Joan's case, if she used her savings to purchase computer equipment, she may not be directly affected by the interest rate increase in terms of borrowing costs. However, the rise in market interest rates can have indirect effects on her business.

The immediate impact of the interest rate rise is on explicit costs, which refer to the actual out-of-pocket expenses incurred in running a business. If Joan has any ongoing financial obligations or loans with variable interest rates, the increase in market interest rates can lead to higher interest payments, thus increasing her explicit costs.

The effect on accounting profit, which is calculated by subtracting explicit costs from revenue, will depend on the magnitude of the interest rate increase and its impact on Joan's overall expenses. If the increase in explicit costs outweighs any changes in revenue, her accounting profit may fall immediately.

On the other hand, the impact on economic profit, which considers both explicit and implicit costs, can vary. Implicit costs include the opportunity cost of using Joan's savings for the business instead of alternative investment opportunities. If the rise in interest rates presents more lucrative investment options, the economic profit of her consulting business may fall immediately as the foregone earnings from alternative investments increase.

Ultimately, the specific outcome for Joan's accounting profit and economic profit will depend on various factors such as the magnitude of the interest rate increase, the overall revenue of her business, and the potential impact on alternative investment opportunities.

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jaden (single) has a traditional ira to which he has made only deductible contributions. at the end of 2022, jaden is 74 years old. jaden's required minimum distribution (rmd) from his ira for 2022 is $9,200. before considering the rmd, jaden's agi is $142,000. jaden does not itemize deductions. required: what is jaden's agi if jaden receives the rmd and donates the $9,200 distribution proceeds to a qualifying charity? what is jaden's agi if jaden directs the ira trustee to transfer the $9,200 distribution directly to a qualifying charity as a qualified charitable donation (qcd)? true or false. based on the information provided, jaden's taxable income is the same whether he makes a qcd or not. explain.

Answers

Jaden's AGI of $120,250 and after AGI would remain $142,000. Making a QCD can result in a lower taxable income for Jaden compared to receiving the distribution and then making a donation.

a. If Jaden receives the RMD(required minimum distribution) of $9,200 and donates the distribution proceeds to a qualifying charity, the donated amount would be deductible as a charitable contribution on Jaden's tax return. Since Jaden does not itemize deductions, the standard deduction applies. For tax year 2022, the standard deduction for a single individual is $12,550. Therefore, Jaden's AGI would decrease by the donated amount ($9,200) plus the standard deduction ($12,550), resulting in an AGI of $142,000 - $9,200 - $12,550 = $120,250.

b. If Jaden directs the IRA trustee to transfer the $9,200 distribution directly to a qualifying charity as a Qualified Charitable Donation (QCD), the distribution amount is excluded from Jaden's taxable income. In this case, the $9,200 would not be included in Jaden's AGI. Therefore, Jaden's AGI would remain $142,000.

c. False. Based on the information provided, Jaden's taxable income is not the same whether he makes a QCD or not. In scenario (a), where Jaden receives the RMD and donates the proceeds, the donated amount is deductible and reduces Jaden's taxable income. However, in scenario (b), where the distribution is made directly as a QCD, the distribution amount is excluded from Jaden's taxable income entirely. Therefore, making a QCD can result in a lower taxable income for Jaden compared to receiving the distribution and then making a donation.

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On January 1, 20X1. Apogee Corp. purchases for $101,700 a machine with an estimated useful life of 3 years and a residual value of $4,500. Apogee uses Sum of the Years Digits Method of depreciation. REQUIREMENT 1: Complete the table below. Be sure to show vour work. WORKSPACE: REQUIREMENT 2: Prepare the adjusting journal entry to record 20X1 depreciation expense.

Answers

The Sum of the Years Digits Method allocates more depreciation expense in the earlier years of an asset's life. The table below shows the depreciation expense for each year. The adjusting journal entry for 20X1 depreciation expense is a debit to Depreciation Expense and a credit to Accumulated Depreciation.


1. To calculate the depreciation expense for each year using the Sum of the Years Digits Method, you need to determine the sum of the digits for the asset's useful life. In this case, the sum of the digits is (3 + 2 + 1) = 6.
2. Divide the number of remaining years of useful life by the sum of the digits to get the depreciation rate for each year. For example, in the first year, the depreciation rate is 3/6 = 0.5.
3. Multiply the depreciation rate by the depreciable cost (cost - residual value) to calculate the depreciation expense for each year. In this case, the depreciable cost is ($101,700 - $4,500) = $97,200. So, the depreciation expense for the first year is $97,200 * 0.5 = $48,600.
4. Repeat the calculation for each year to get the depreciation expense. The table below shows the depreciation expense for each year:
Year 1: $48,600
Year 2: $32,400
Year 3: $16,200

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with a 6 foot rise in sea level, san francisco international airport (sfo) would be inundated by water.

Answers

To find the equivalent resultant force and couple system at points a, b, c, and d, we need to calculate the magnitudes and directions of the forces and moments involved.

At point a:
The force at point a, Fa, is given as 30 N.
The distance from point a to the line of action of Fa, l1, is given as 9 m.

To calculate the resultant force and couple system at point a, we can use the concept of the moment of a force. The moment of a force about a point is the product of the force and the perpendicular distance from the point to the line of action of the force.

The moment of Fa about point a is zero since the force passes through point a.

At point b:
The force at point b, Fb, is given as 15 N.
The distance from point b to the line of action of Fb, l1, is given as 9 m.

To calculate the resultant force and couple system at point b, we again use the concept of the moment of a force. The moment of Fb about point b is zero since the force passes through point b.

At point c:
The force at point c, Fc, is given as 30 N.
The distance from point c to the line of action of Fc, l2, is given as 5 m.

To calculate the resultant force and couple system at point c, we use the concept of the moment of a force. The moment of Fc about point c is given by Fc * l2 * sin(θ). Substituting the values, we get: Moment of Fc = 30 N * 5 m * sin(40°).

At point d:
The force at point d, Fd, is given as 30 N.
The distance from point d to the line of action of Fd, l1, is given as 9 m.

To calculate the resultant force and couple system at point d, we again use the concept of the moment of a force. The moment of Fd about point d is zero since the force passes through point d.

Therefore, at point a, the equivalent resultant force is 30 N and the couple system is zero.
At point b, the equivalent resultant force is 15 N and the couple system is zero.
At point c, the equivalent resultant force is 30 N and the couple system is 150 N*m * sin(40°).
At point d, the equivalent resultant force is 30 N and the couple system is zero.

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________ are organizations created for the purpose of winning elections and governing once in office.

Answers

Political parties are organizations created for the purpose of winning elections and governing once in office.

They serve as vehicles for individuals with similar political ideologies and goals to come together, mobilize supporters, and compete in elections to gain political power. Political parties play a vital role in democratic systems by providing a platform for candidates to campaign, articulate their policies, and seek public support. Once in office, political parties work to implement their agenda, pass legislation, and make decisions that align with their party's principles and objectives. They often have structures, leadership, and mechanisms for internal decision-making, including party conventions, committees, and platforms. Political parties also facilitate the representation of diverse interests and perspectives within the political system. Through their activities, political parties shape the political landscape, influence public opinion, and drive the governance of a country or region.

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Achemical plast is on a mer situated upstream from a fish farm. Pollution from the chemical plant causes dam Higure 1 below the line MNPB represents the dhemical plant's marginal berefit from polluting the iner and the line MEC represents the marginal extemal costs that this pollution imposes on the fish farm, State your answers to questions (i) to (iv) in terms of the areas A,B,C,D,E and F (You can downioad a copy of Figure 1 here) DrcoN 429 Assignment 1 Coase image a) If the ish farm has the property rights to the river, what area represents the minimum total payment the fish facm would be willing to accept to aliow the chemical pian to pollute the river to the efficient level? (is maris) b) If the fish fam has the property righits to the river, what area represents the fish tarm's gain from trading water hights with the chemical plant at the fair bargaining price? [ts marks) c) if the chemical plant has the property right to pollute the river, what area represents the minimum total parment the plant would be willing to accept to reduce water pollution to the efficient level? (15 mariks) d) If the chemical plant has the property right to pollute the rver, what area fepresents the fish farm's gan from trading water rights with the plant at the fair bargaining price? (15 marks) e) II the scenario is attered so that the pollution from the chemical plant is imposing external costs upon several ditferent towns situated downstream (in terms of the clean-up costs incutred in clesning the river water to supply drinking water) rather than just the fish farm do you think that is likely to change the likelihood of a successiul Coassan bargaining solution being achieved? Expiain the reasoning for your answer \{40 marks\} 6:07 •ال 5G \begin{tabular}{|ll|} \hline Zero pollution & Water Pollution \end{tabular}

Answers

a) If the fish farm has the property rights to the river, the minimum total payment it would be willing to accept to allow the chemical plant to pollute the river to the efficient level is area B.

b) If the fish farm has the property rights to the river, the fish farm's gain from trading water rights with the chemical plant at the fair bargaining price is area A plus B.

c) If the chemical plant has the property right to pollute the river, the minimum total payment the plant would be willing to accept to reduce water pollution to the efficient level is area E.

d) If the chemical plant has the property right to pollute the river, the fish farm's gain from trading water rights with the plant at the fair bargaining price is area C plus D.

e)  It is likely to change the likelihood of a successful Coasean bargaining solution being achieved.

a) The area that represents the minimum total payment the fish farm would be willing to accept to allow the chemical plant to pollute the river to the efficient level is area B. This is because area B represents the marginal external costs that the pollution imposes on the fish farm. The fish farm would be willing to accept a payment that would compensate it for these costs.

b) The area that represents the fish farm's gain from trading water rights with the chemical plant at the fair bargaining price is the area between the marginal external costs (MEC) and the marginal benefit of pollution (MNPB). This area is A plus B.

c) The area that represents the minimum total payment the chemical plant would be willing to accept to reduce water pollution to the efficient level is area E. This is because area E represents the marginal benefit of pollution to the chemical plant. The plant would be willing to accept a payment that would compensate it for the loss of this benefit.

d) The area that represents the fish farm's gain from trading water rights with the chemical plant at the fair bargaining price is the area between the marginal benefit of pollution (MNPB) and the marginal external costs (MEC). This area is C plus D.

e) Yes, I think that is likely to change the likelihood of a successful Coasean bargaining solution being achieved. This is because the presence of multiple downstream towns would increase the number of parties involved in the bargaining process. This would make it more difficult for the parties to reach an agreement, as they would all have different interests.

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A coffee bean futures contract is quoted 95 cents per lb. The
contract is for 37,500lbs. What is the value of teh contract?
Answer in dollar, not in cents
Please show formulas and steps

Answers

The value of the coffee bean futures contract is $35,625.  The commodity in question can be anything ranging from wheat, coffee, sugar, oil, and so on.

A coffee bean futures contract is quoted 95 cents per lb.

The contract is for 37,500 lbs.

The given details are as follows:

Price quoted per lb = 95 cents

Contract size = 37,500 lbs

We need to determine the value of the contract.

The value of the contract is the product of price per lb and the number of lbs of coffee beans in the contract.

Value of the contract = Price per lb x Number of lbs of coffee beans in the contract

Value of the contract = 95 cents x 37,500 lbs

= $35,625

(1 dollar = 100 cents)

A futures contract is a standardized legal agreement between two parties to buy or sell a commodity at a predetermined future date and price.

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Company W is a high-end electronics retail store and Company A is a mid-to-low-end electronics retail store. Company W has a competitive advantage through differentiation and Company A has a competitive advantage through cost leadership. Both companies having a competitive advantage in the electronics retail industry indicate that

a.
following a different generic business strategy within the same industry can lead to a competitive advantage for more than one organization.

Answers


Having a competitive advantage in the electronics retail industry indicates that following a different generic business strategy within the same industry can lead to a competitive advantage for more than one organization. In this case, Company W differentiates itself by offering high-end electronics, while Company A focuses on cost leadership by offering mid-to-low-end electronics at affordable prices.

Explanation:
1. Competitive Advantage: Both companies have found unique ways to outperform their competitors and attract customers. Company W's competitive advantage lies in differentiation, where it offers high-quality and premium electronics to cater to the needs of discerning customers who value luxury and advanced features. On the other hand, Company A's competitive advantage lies in cost leadership, as it focuses on providing affordable electronics to price-sensitive customers.
2. Differentiation: Company W stands out by offering a unique product range, exceptional customer service, and a luxurious shopping experience. By targeting a specific segment of customers willing to pay a premium for high-end electronics, they are able to command higher prices and achieve higher profit margins.
3. Cost Leadership: Company A, on the other hand, focuses on cost reduction and operational efficiency to offer competitive prices on mid-to-low-end electronics. By streamlining their supply chain, negotiating favorable deals with suppliers, and optimizing their operations, they are able to offer affordable prices that attract price-conscious customers.
In conclusion, both Company W and Company A have managed to establish a competitive advantage in the electronics retail industry by following different generic business strategies. This indicates that multiple organizations can achieve a competitive advantage within the same industry by adopting unique approaches that align with their target customers' preferences and needs.

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Following a different generic business strategy within the same industry can indeed lead to a competitive advantage for more than one organization. In this case, Company W and Company A, both operating in the electronics retail industry, have achieved competitive advantages through different approaches.

Company W differentiates itself by offering high-end electronics products, targeting a specific segment of the market that values premium features and quality. By doing so, they are able to command higher prices and attract customers who are willing to pay a premium for their products. This differentiation strategy sets them apart from competitors and gives them a competitive advantage.

On the other hand, Company A focuses on cost leadership as its competitive advantage. They cater to the mid-to-low-end market segment by offering electronics products at lower prices compared to their competitors. By efficiently managing their costs and passing on the savings to customers, Company A is able to attract price-sensitive consumers who prioritize affordability. This cost leadership strategy allows them to stay competitive and gain market share.

The fact that both Company W and Company A have been able to achieve competitive advantages in the electronics retail industry shows that different business strategies can lead to success in the same industry. This highlights the importance of understanding the target market, customer preferences, and finding a strategy that aligns with those factors.

Overall, the key takeaway is that there is no one-size-fits-all approach to gaining a competitive advantage. Organizations can pursue different strategies within the same industry and still succeed by meeting the specific needs and demands of their target customers. This highlights the importance of understanding the market and tailoring the business strategy accordingly.

To summarize, the presence of Company W and Company A, with their distinct competitive advantages in the electronics retail industry, demonstrates that following different generic business strategies within the same industry can indeed lead to a competitive advantage for more than one organization.

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in a given year for a population of 100 rhinos, 25 new rhinos are born, 5 emigrate, 0 immigrate, and 15 die. what is the per capita growth rate?

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In  a given year for a population of 100 rhinos, 25 new rhinos are born, 5 emigrate, 0 immigrate, and 15 die. The per capita growth rate for the given year is 5%.

To calculate the per capita growth rate, we need to determine the net change in the population divided by the initial population size.

Net change in population = (Births + Immigration) - (Deaths + Emigration)

Given the information provided:

Births = 25

Emigration = 5

Immigration = 0

Deaths = 15

Initial population size = 100

Net change in population = (25 + 0) - (15 + 5) = 5

Per capita growth rate = Net change in population / Initial population size

= 5 / 100

= 0.05 or 5%

Therefore, the per capita growth rate for the given year is 5%.

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Carlsville Company began operations in the current year and had no prior stock investments. The following transactions are from its short-term stock investments with insignificant influence. Prepare journal entries to record these transactions. On December 31, prepare the adjusting entry to record the fair value adjustment for the portfolio of stock investments.
July 22 Purchased 1,600 shares of Hunt Corporation at $20 per share.
September 5 Received a $2 cash dividend for each share of Hunt Corporation.
September 27 Purchased 3,500 shares of HCA at $24 per share.
October 3 Sold 1,600 shares of Hunt at $15 per share.
October 30 Purchased 1,300 shares of Black & Decker at $48 per share.
December 17 Received a $3 cash dividend for each share of Black & Decker.
December 31 Fair value of the short-term stock investments is $151,000.

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Date | Account Titles | Debit ($) | Credit ($)

---- | -------------- | --------- | ----------

July 22 | Short-Term Stock Investments | 32,000 |

     | Cash | 32,000 |

September 5 | Cash | 3,200 |

     | Dividend Income | 3,200 |

September 27 | Short-Term Stock Investments | 84,000 |

     | Cash | 84,000 |

October 3 | Cash | 24,000 |

     | Short-Term Stock Investments | 24,000 |

October 30 | Short-Term Stock Investments | 62,400 |

     | Cash | 62,400 |

December 17 | Cash | 3,900 |

     | Dividend Income | 3,900 |

December 31 | Unrealized Gain/Loss on Short-Term Stock Investments | 7,400 |

     | Short-Term Stock Investments | 7,400 |

1. On July 22, the company purchased 1,600 shares of Hunt Corporation at $20 per share. To record this transaction, we debit the Short-Term Stock Investments account for $32,000 and credit the Cash account for the same amount.

2. On September 5, the company received a $2 cash dividend for each share of Hunt Corporation. This results in a total dividend of $3,200 ($2 x 1,600). We debit the Cash account for $3,200 and credit the Dividend Income account for the same amount.

3. On September 27, the company purchased 3,500 shares of HCA at $24 per share. To record this transaction, we debit the Short-Term Stock Investments account for $84,000 and credit the Cash account for the same amount.

4. On October 3, the company sold 1,600 shares of Hunt at $15 per share. The cost of these shares was $20 per share, resulting in a loss. We debit the Cash account for $24,000 (1,600 shares x $15) and credit the Short-Term Stock Investments account for $32,000 (1,600 shares x $20).

5. On October 30, the company purchased 1,300 shares of Black & Decker at $48 per share. To record this transaction, we debit the Short-Term Stock Investments account for $62,400 and credit the Cash account for the same amount.

6. On December 17, the company received a $3 cash dividend for each share of Black & Decker. This results in a total dividend of $3,900 ($3 x 1,300). We debit the Cash account for $3,900 and credit the Dividend Income account for the same amount.

7. On December 31, the fair value of the short-term stock investments is $151,000. To record the fair value adjustment, we debit the Unrealized Gain/Loss on Short-Term Stock Investments account for $7,400 ([$151,000 - (1,300 shares x $48)] - [$32,000 + $84,000]). We also credit the Short-Term Stock Investments account for the same amount.

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Five Measures of Salvency or Profitability The balance sheet for Quigh The. at the end of the current fiscal year indicated the follewing: 5101,395 . The common stock was seling for \( \$ 24 \) per sh

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To evaluate the solvency and profitability of Quigh The, we can consider five key financial measures based on the information provided:

Total Assets: The balance sheet indicates that Quigh The has $101,395 in total assets. This measure represents the total value of the company's resources and can provide an indication of its solvency and ability to cover its liabilities.

Common Stock Price: The common stock of Quigh The is selling for $24 per share. This measure reflects the market value of the company's equity and can be used to assess investor perception and potential profitability.

Current Ratio: To assess solvency, we can calculate the current ratio by dividing current assets by current liabilities. Unfortunately, the information regarding current assets and current liabilities is not provided, so we cannot determine this ratio.

Return on Assets (ROA): ROA is a profitability measure that shows the company's ability to generate profit from its assets. It is calculated by dividing net income by total assets. However, net income is not provided, so we cannot calculate ROA.

Earnings per Share (EPS): EPS measures the profitability on a per-share basis. It is calculated by dividing net income by the number of common shares outstanding. Unfortunately, the net income and the number of common shares outstanding are not given, so we cannot calculate EPS.

Without additional information, it is not possible to fully assess the solvency and profitability of Quigh The using these financial measures. It would be beneficial to have access to the net income, current assets, current liabilities, and the number of common shares outstanding to perform a comprehensive analysis.

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At December 1, 2025, a company's Accounts Receivable balance was \( \$ 20500 \). During December, the company had credit sales of \( \$ 54900 \) and collected accounts receivable of \( \$ 43920 \). At

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Accounts receivable are money owed by customers in exchange for goods or services that have been delivered but not yet paid for.

The balance of Accounts Receivable can be found by subtracting the amount of cash that has been received from the total amount that is owed. On December 1, 2025, a company's Accounts Receivable balance was 20,500. During December, the company had credit sales of 54,900 and collected accounts receivable of 43,920.

We can calculate the ending balance of the company's Accounts Receivable account by adding the credit sales and subtracting the cash received. 20,500 (beginning balance) + 54,900 (credit sales) - 43,920 (cash received) = 31,480 (ending balance) at the end of December, the company had an Accounts Receivable balance of 31,480.

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Required information
Social Responsibilities: Stakeholders and Competitive Advantage
This exercise is important because it addresses the need for corporate social responsibility when conducting a stakeholder impact analysis.
The goal of this exercise is to recognize how companies can practice different forms of social responsibility.
Complete the activities that follow.
Move the category of social responsibility listed on the left next to the appropriate example described on the right.
CSR TYPE Corporate Example
Philanthropic Responsibilities ________________ Apple attained the position of the most valuable company in 2012.
Economic Responsibilities _______________ Microsoft has donated over $3B to people who cannot afford to pay for computer technology.
Ethical Responsibilities _______________ GE has more than 1,000 attorneys to assure high integrity and compliance with regulations.
Legal Responsibilities _______________ Starbucks sources coffee from fair trade and responsible growing suppliers.

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Corporate social responsibility (CSR) is a business approach that seeks to promote the well-being of stakeholders, including the environment, the local community, and employees, and is critical to a company's success.

The goal of CSR is to find a balance between maximizing profits and meeting the expectations of stakeholders by doing good. Different types of social responsibility include ethical, legal, economic, and philanthropic responsibility.
Apple, one of the most successful companies globally, has achieved philanthropic responsibilities. Microsoft has demonstrated economic responsibility by donating over $3 billion to people who cannot afford to pay for computer technology. GE's more than 1,000 attorneys assure high integrity and regulatory compliance, demonstrating ethical responsibilities. Starbucks, on the other hand, sources coffee from fair trade and responsible growing suppliers, highlighting legal responsibilities.
Corporate social responsibility is critical in today's business world, where there is a growing emphasis on the environment, employees, and the community. Companies have recognized the need to give back to the community, conserve the environment, and treat employees fairly. CSR can benefit companies in numerous ways, including the attraction of customers, investors, and employees, improving the company's reputation, reducing costs, and increasing profits.
Apple, a multinational technology company, has achieved philanthropic responsibilities by donating money to charity and engaging in sustainable practices. Microsoft has demonstrated economic responsibility by donating to various charitable organizations and people who cannot afford to pay for computer technology. Ethical responsibility is reflected in GE's commitment to regulatory compliance and high integrity, with more than 1,000 attorneys.
Legal responsibility, on the other hand, involves compliance with local, state, and federal laws and regulations and is demonstrated by Starbucks sourcing coffee from fair trade and responsible growing suppliers. The four types of social responsibilities are interrelated and necessary for a company's success.

In conclusion, CSR is critical in promoting a company's success. Companies have recognized the importance of giving back to the community, conserving the environment, and treating employees well. The four types of social responsibility are philanthropic, economic, ethical, and legal. Apple, Microsoft, GE, and Starbucks demonstrate the four types of social responsibilities. By balancing CSR with profit maximization, a company can attract customers, investors, and employees while also improving its reputation, reducing costs, and increasing profits.

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Traditionally a real estate broker is what type of agent for his or her principal?
General agent.
Special agent.
Limited agent.
Designated agent.
All of the above.

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Traditionally, a real estate broker is classified as a special agent for his or her principal. A special agent is an individual who has been authorized by a principal to undertake a single transaction or a limited number of transactions. Special agents have limited authority and can only act within the scope of the authority conferred on them by their principal.

In the context of a real estate transaction, the principal is typically the owner of the property who has engaged the services of the broker to sell, lease, or manage the property. The broker acts as an intermediary between the owner and the prospective buyer or tenant, negotiating the terms of the transaction on behalf of the owner.

The broker is not authorized to make any decisions on behalf of the owner, but rather to act in the owner's best interests. This means that the broker is obligated to disclose any information that could potentially affect the owner's decision to sell or lease the property, such as defects in the property or market conditions that may affect the price.

The role of the broker as a special agent has evolved over time, with some brokers now acting as general agents or designated agents.

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A stock just paid a dividend of $1.58. The dividend is expected to grow at 26.54% for five years and then grow at 4.44% thereafter. The required return on the stock is 12.99%. What is the value of the stock?

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The value of the stock is $32.10.

To calculate the value of the stock, we can use the dividend discount model (DDM) approach. The DDM calculates the present value of all expected future dividends.

Step 1: Calculate the expected dividend in year 6:
To calculate the expected dividend in year 6, we need to apply the growth rate of 4.44% to the dividend paid in year 5.
Dividend in year 6 = Dividend in year 5 * (1 + growth rate)
Dividend in year 6 = $1.58 * (1 + 0.0444) = $1.65 (rounded to two decimal places).

Step 2: Calculate the present value of dividends for the first five years:
We need to calculate the present value of dividends for the first five years, considering the expected growth rate of 26.54%.
Using the formula for the present value of a growing perpetuity:
Present value of dividends = Dividend in year 1 / (required return - growth rate)
Present value of dividends = $1.58 / (0.1299 - 0.2654) = $13.48 (rounded to two decimal places).

Step 3: Calculate the present value of dividends from year 6 onwards:
To calculate the present value of dividends from year 6 onwards, we can use the formula for the present value of a perpetuity:
Present value of dividends = Dividend in year 6 / (required return - growth rate)
Present value of dividends = $1.65 / (0.1299 - 0.0444) = $18.62 (rounded to two decimal places).

Step 4: Calculate the total present value of dividends:
To find the total present value of dividends, we add the present value of dividends for the first five years to the present value of dividends from year 6 onwards:
Total present value of dividends = Present value of dividends for the first five years + Present value of dividends from year 6 onwards
Total present value of dividends = $13.48 + $18.62 = $32.10 (rounded to two decimal places).

Step 5: Calculate the value of the stock:
The value of the stock is equal to the total present value of dividends.
Value of the stock = Total present value of dividends = $32.10 (rounded to two decimal places).

Therefore, the value of the stock is $32.10.

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Carter Company has a return on total assets of 12 percent and a
return on common stockholders' equity of 15 percent. What causes
the difference in the two returns?

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The difference between the return on total assets and the return on common stockholders' equity in Carter Company can be attributed to the company's financial structure and the composition of its capital.

What does it have?

1. Return on Total Assets:

The return on total assets measures the profitability of the company's overall assets, regardless of the source of funding.

It is calculated by dividing the net income by the total assets. In this case, Carter Company has a return on total assets of 12 percent.

2. Return on Common Stockholders' Equity:

The return on common stockholders' equity, on the other hand, specifically focuses on the profitability of the company's equity investment.

It is calculated by dividing the net income available to common stockholders by the average common stockholders' equity.

In this case, Carter Company has a return on common stockholders' equity of 15 percent.

The difference in these two returns can be explained by the following factors:

1. Debt Financing:

If the company has debt financing, such as loans or bonds, the interest expense associated with the debt reduces the net income available to common stockholders.

This can lower the return on common stockholders' equity compared to the return on total assets.

2. Leverage:

The use of debt financing can amplify the return on total assets.

When a company earns a return on its assets higher than the cost of borrowing, the return on total assets can be higher than the return on common stockholders' equity.

This is because the company is generating additional income from the borrowed funds.

3. Equity Contributions:

If the company has issued preferred stock or other equity instruments, the net income available to common stockholders may be reduced as the preferred stockholders receive a portion of the earnings before common stockholders.

This can also contribute to a lower return on common stockholders' equity compared to the return on total assets.

In summary, the difference in the returns is influenced by the company's financial structure, including debt financing, leverage, and the presence of other equity instruments.

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Imperial Jewelers manufactures and sells a gold bracekt for \( \$ 409.00 \). The company's accounting system sxys that the unit product cost for this bracelet is \( \$ 270.00 \) as shown below: The me

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Imperial Jewelers has an accounting system that states the unit product cost for a gold bracelet is $270.00. However, this cost does not include certain variable selling expenses incurred by the company. The variable selling expenses amount to $19.00 per unit and are paid for each bracelet sold. Additionally, the company faces $89,000 in fixed selling expenses per month.

To assess the profitability of the gold bracelet, we can calculate the contribution margin. The contribution margin is derived as follows:

Contribution margin = Selling price per unit - Variable costs per unit - Fixed costs per unit

Contribution margin = $409.00 - ($270.00 + $19.00) - ($89,000/500 units)

Contribution margin = $409.00 - $289.00 - $178.00

Contribution margin = $409.00 - $467.00

Contribution margin = -$58.00

The negative contribution margin indicates that the company is experiencing losses. This means that the total expenses, both fixed and variable, exceed the sales revenue. It is crucial for Imperial Jewelers to carefully analyze its expenses and find ways to reduce costs in order to improve profitability.

By identifying areas for cost reduction and optimizing their selling and production processes, Imperial Jewelers can work towards increasing profits and achieving a positive contribution margin.

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Holding all other factors constant, the most likely effect of strong financial market performance and high demand for bonds on bond yield spreads is that yield spreads will: A) tighten B) not be effected C) widen

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The tightening of bond yield spreads can potentially lead to lower borrowing costs, fostering greater demand for bonds in the future.

Holding all other factors constant, a strong financial market performance and high demand for bonds are likely to result in a tightening of bond yield spreads. This occurs because a strong financial market performance leads to a decline in investor yields while higher bond prices due to high demand result in lower bond yields.

A bond yield spread represents the difference in yields between different bonds with varying maturities, credit ratings, or risk levels. With a strong financial market performance and high demand for bonds, yields decrease, leading to narrower bond yield spreads. This tightening indicates improved market conditions and increased investor confidence.

Moreover, the tightening of bond yield spreads can potentially lead to lower borrowing costs, fostering greater demand for bonds in the future.

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the daily recorder is considering raising its price from 60 cents to 75 cents. which stakeholders should it consider most in making this decision? group of answer choices all stakeholders should be considered equally. all internal stakeholders all external stakeholders its customers

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When considering raising its price from 60 cents to 75 cents, The Daily Recorder should primarily consider its customers as the most important stakeholders in making this decision.

Customers are a vital stakeholder group for any business, including The Daily Recorder. They are directly affected by the price change as it directly impacts their purchasing decisions. By raising the price, the newspaper may risk losing customers if they perceive the new price as too high or no longer providing sufficient value. It is crucial for The Daily Recorder to consider its customers' ability and willingness to pay the increased price and evaluate whether the perceived value of the newspaper justifies the price hike.

While all stakeholders are important, including internal stakeholders such as employees and external stakeholders such as suppliers and the community, the primary focus should be on the customers. The success and sustainability of The Daily Recorder depend on its ability to meet customer needs, retain their loyalty, and maintain a healthy customer base. Therefore, their interests and perspectives should be given the highest priority when making decisions regarding pricing changes.

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0.5 point ) Please calculate the credit risk economic capital for a hypothetical $ 100 million commitment : Loan Information Notional committed amount $ 100 million Amount to be drawn at closing $ 50 million Expected utilization of remaining unused committed amount 60 % Credit rating of borrower 4 ( corresponding to a risk factor 2.5 % ) Maturity 6 years Duration 4.5 years

Answers

The credit risk economic capital for this hypothetical $100 million commitment is approximately $1,511,250. To calculate the credit risk economic capital for a $100 million commitment, we need to consider several factors.

1. Calculate the Expected Loss (EL):
EL = Notional amount * risk factor * (1 - recovery rate)
In this case, the risk factor corresponding to a credit rating of 4 is 2.5% (0.025), and the recovery rate is typically assumed to be 40% (0.40).
EL = $100 million * 0.025 * (1 - 0.40) = $1.5 million

2. Calculate the Unexpected Loss (UL):
UL = EL * Loss Given Default (LGD) * Probability of Default (PD)
Assuming a conservative LGD of 75% (0.75) and a PD based on the borrower's credit rating, we can use historical data or market information to estimate the PD. Let's assume it is 1% (0.01).
UL = $1.5 million * 0.75 * 0.01 = $11,250

3. Calculate the economic capital:
Economic Capital = EL + UL
Economic Capital = $1.5 million + $11,250 = $1,511,250

So, the credit risk economic capital for this hypothetical $100 million commitment is approximately $1,511,250.

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Walmart 2. Analysis of sales, profits, and market share: 3. Analysis of target market(s) 4. Analysis of marketing mix variables 5. Summary of marketing strategy's strengths and weaknesses 6. Implications for strategy development

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Walmart is an American multinational retail corporation that runs chains of discount department stores and warehouse stores across the globe. The company was founded in 1962 by Sam Walton and incorporated on October 31, 1969.

It is the world's largest retailer by revenue, with US$514.405 billion, according to the Fortune Global 500 list in 2019. Walmart has a market share of 11% in the US and ranks number one in the Fortune 500 list.  Analysis of sales, profits, and market share:

Walmart has a massive market share in the US, with 11% of the retail market share. The company's annual revenue is $514.405 billion, with a net income of $14.881 billion.

The net profit margin is 2.89%, indicating that the company is making a profit from its sales. Walmart's sales have been growing steadily, with a compound annual growth rate (CAGR) of 1.9% from 2014-2019.  

Walmart's target market is primarily low and middle-income families. The company has positioned itself as a low-cost retailer that provides quality products at affordable prices.

Walmart has also expanded its target market to include young and tech-savvy customers who prefer to shop online.

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Explain the balassa-samuelson effect and its implications for
PPP

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The Balassa-Samuelson Effect refers to the phenomena in which there is a long-run positive correlation between the price level and productivity between nations. The effects imply that countries with higher productivity levels will have higher relative price levels in non-tradable goods sectors, compared to countries with lower productivity levels.

The Balassa-Samuelson Effect has some implications for PPP (Purchasing Power Parity). This is because it causes the currencies of countries with higher productivity to appreciate compared to the currencies of countries with lower productivity levels. This leads to higher prices for goods that cannot be easily traded across borders (non-tradable goods) in countries with higher productivity.

While tradable goods prices remain relatively constant. Consequently, this leads to differences in inflation rates in different countries, causing deviations from PPP.

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during the last glacial maximum (20k years ago), the coastline of present-day san francisco extended to what are known today as the farallon islands.

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During the last glacial maximum, the coastline of present-day San Francisco extended to what are known today as the Farallon Islands.

The last glacial maximum (LGM) was the last period in the Earth's history when ice sheets were at their maximum extension. The LGM, which began about 20,000 years ago, marked the culmination of the last major ice age, known as the Pleistocene epoch.

At the time of the LGM, the sea level was about 120 meters lower than it is today. This meant that many coastlines around the world were much farther offshore than they are now, and the land that is now covered by water was exposed. The coastline of present-day San Francisco Bay is a good example of how sea level change can affect the geography of a region.

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Assume the following: - The standard price per pound is $2.20. - The standard quantity of pounds allowed per unit of finished goods is 4 pounds. - The actual quantity of materials purchased was 53,000 pounds, whereas the quantity of materials used in production was 50,800 pounds. - The actual purchase price per pound of materials was $2.25. - The company produced 13,000 units of finished goods during the period. What is the materials quantity variance? Multiple Choice $2700 F $2,640F $4,840 F $4.950 F

Answers

The materials quantity variance is $2,640F.

From the given information, the standard quantity of pounds allowed per unit of finished goods is 4 pounds. As the company produced 13,000 units of finished goods during the period, the total quantity of materials that should have been used is 4 × 13,000 = 52,000 pounds.

However, the actual quantity of materials used in production was 50,800 pounds. Therefore, the materials quantity variance is computed as:

(Standard Quantity of Inputs Allowed for Actual Output - Actual Quantity of Inputs Used) × Standard Price per Input unit.

(52,000 pounds - 50,800 pounds) × $2.20

= 1,200 pounds × $2.20

= $2,640F

Thus, the materials quantity variance is $2,640F.

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An image version of a map layer with fixed symbology, but capable of being zoomed into and out of 1. The National Map 2. TIGER data 3. UVA Library 4. National Wetlands Inventory 5. A Web Map Service (WMS) When convergence occurs in the upper atmosphere, it leads to a: O a. A high pressure system at Earth's surface with clear skies O b. A low pressure system at Earth's surface with clouds and rainfall O c. A high pressure system at Earth's surface with clouds and rainfall O d. A low pressure system at Earth's surface with clear skies which parts of the noriceptors result in an action potential when hit Find the terms through degree 4 of the Maclaurin series of f. Use multiplication and substitution as necessary. f(x) = (1+x)^-4/3 (Express numbers in exact form. Use symbolic notation and fractions where needed.) f(x)= An Object Whose Temperature Is 90C Is Placed In A Medium Whose Temperature Is 25C. The Temperature Of The Object Falls To 60C In 10 Minutes. 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Insure you provide insight and explanation regarding your determination of the answer? _________________________ estimates are often created during the beginning of the project and likely to be less accurate than later estimates the electric field on the axis of a uniformly charged ring has magnitude 372 kn/c at a point 5.05 cm from the ring center. at a point 14.6 cm from the ring center the magnitude of the electric field is 162 kn/c. in both cases the electric field points away from the ring. what is the radius of the ring? Cash Budget The Wister Company is planning its cash needs for the second quarter. The company usually has to borrow money during this quarter to support peak sales which occur dufing May. The following information has been assembled to assist in preparing a cash budget for the quarter "Includes $31,000 of depreclation each month. 1. Sales are 20% for cash and 80% on account. 2. Sales on account are collected over a three-month period with 10% collected in the month of sale; 70% collected in the first month following the month of sale, and the remaining 20% collected in the second month following the month of sale. February's sales totaled $275,000, and March's sales totaled $290.000. 3. Inventory purchases are paid for within 15 diys. Therefore, 50% of a month's inventory purchases are paid for in the month of purchase. The remaining 50% is paid in the following month. Accounts payable at March 31 for inventory purchases during March total $130,900. 4. Each month's ending inventory must equal 20% of the cost of the merchandise to be sold in the following month. The merchandise inventory at March 31 is $99.400. 5. Dividends of $38,000 will be declared and paid in April. 6 . Land costing $46,000 will be purchased for cash in May. 7. The cash balance at March 31 is $60,000; the company must maintain a cash balance of at least $40.000 at the end of each month. "Includes $31,000 of depreciation each month. 1. Sales are 20% for cash and 80% on account. 2. Sales on account are collected over a three-month period with 10% collected in the month of sale; 70% collected in the first month following the month of sale, and the remaining 20% collected in the second month following the month of sale. February's sales totaled $275,000, and March's sales totaled $290,000. 3. Inventory purchases are paid for within 15 days. Therefore, 50% of a month's inventory purchases are paid for in the month of purchase. The remaining 50% is paid in the following month. Accounts payable at March 31 for inventory purchases during March total $130,900. 4. Each month's ending inventory must equal 20% of the cost of the merchandise to be sold in the following month. The merchandise inventory at March 31 is $99.400. 5. Dividends of $38,000 will be declared and paid in April. 6. Land costing $46,000 will be purchased for cash in May. 7. The cash balance at March 31 is $60,000; the company must maintain a cash balance of at least $40,000 at the end of each month. Required: 3. Prepare a cash budget for April, May, and June as well as in total for the quarter. 4. Indicate the monthly and quarterly surplus or deficit. What evidence did Alfred Wegener use to support his theory of continental drift?the varying ages and magnetism of rocks along mid-ocean ridges supported sea floor spreadingmatching rock types and mountain ranges in North America, Africa, Europe, and Greenland similarity of glacial gravel deposits between South America, Africa, India, and Australia matching fossil types of non-marine organisms across several countries and continentsthe geographic pattern of earthquakes revealed the locations of plate boundariesthe puzzle-like fit between the east coast of South America and the west coast of Africa (1 point) \( y=(12+x)^{-1 / 2}, \quad a=4 \) Find the Linearization at \( x=a \). \[ L(x)= \] : 1. 5 direct shear test was performed on a drained soil sample of 45mm(L)x XYmm(W)x 20mm(D). The sample width XY was equal to the summation of the numbers within your student ID. The test result is provided below, Test no Normal Force (N) Shear Force (N) 1 77 140 2 120.5 171 3 144 188 4 281 287 5 416 385 a) Plot the graph using Coulomb's failure criteria. b) Find out the cohesion parameter and friction angle for the soil. c) Comment on the type of the soil alanis bedroom is 12 feet wide and 14 feet long. what will it cost to carpet her room if the carpet costs $18 per square yard? Advanced quantum mechanics.In details and clear handwritting please. In studying positioning of inventory in supply chains, which, if any, of the following is most appropriate. A. As order decoupling point moves towards source inventory investment goes down.B. As order decoupling point moves towards the source customer lead time gets longer C. As order decoupling point moves towards the source inventory investment increases. D. As order decoupling point moves towards the source customer lead time is unchanged E. A and B are true