in setting up a kanban control system and you need to determine the number of kanban card sets needed. if the expected demand during lead time is 59 per hour, the safety stock is 14% of the demand during lead time, the container size is 6, and the lead time to replenish an order is 3 hours, what number of kanban card sets is needed?

Answers

Answer 1

33 kanban card sets are needed if the expected demand during lead time is 59 per hour.

Kanban is a lean manufacturing technique that uses a signaling system to trigger production and replenishment of inventory based on actual demand, with the goal of reducing waste, improving efficiency, and minimizing inventory levels.

To determine the number of kanban card sets needed, we can use the following formula:

Number of kanban card sets = (Expected demand during lead time + Safety stock) x Lead time / Container size

Plugging in the given values, we get:

Number of kanban card sets = (59 + 0.14 x 59) x 3 / 6 = 32.77

Rounding up to the nearest whole number, we need 33 kanban card sets.

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Related Questions

toms’ csr strategy centers on its ""one for one"" pledge where toms is committed to donating a pair of shoes to a child in need for every retail pair sold.

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The TOMS' CSR strategy is centered on its "One for One" pledge. This means that for every retail pair of shoes sold, the company donates a pair of shoes to a child in need.

The "One for One" pledge is at the heart of TOMS' mission to improve lives and promote social responsibility. Through this pledge, TOMS has been able to make a positive impact on the lives of millions of children around the world. This strategy has also helped TOMS to build a strong brand reputation as a socially responsible company. Explanation: TOMS' CSR strategy is based on the "One for One" pledge, which is a unique and innovative way of giving back to society. By committing to donate a pair of shoes for every retail pair sold, TOMS is able to create a sustainable and impactful CSR program that aligns with its core values and mission.

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TOMS demonstrates its commitment to social responsibility by implementing the "One for One" pledge as part of its core business model. This strategy aims to have a positive impact on the lives of underprivileged children by providing them with essential footwear.

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powers company reported net sales of $1,220,000, average accounts receivable, net of $76,500, and net income of $51,875. the accounts receivable turnover ratio is:

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The accounts receivable turnover ratio can be calculated by dividing the net sales by the average accounts receivable. So, the turnover ratio for Powers Company would be:

Accounts Receivable Turnover Ratio = Net Sales / Average Accounts Receivable

Accounts Receivable Turnover Ratio = $1,220,000 / $76,500

Accounts Receivable Turnover Ratio = 15.97

Therefore, the accounts receivable turnover ratio for Powers Company is 15.97. This means that the company collects its accounts receivable almost 16 times a year on average. To calculate the accounts receivable turnover ratio for Powers Company, you'll need to divide net sales by the average accounts receivable. With net sales of $1,220,000 and average accounts receivable of $76,500, the formula is: Accounts Receivable Turnover Ratio = Net Sales / Average Accounts Receivable Accounts Receivable

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a bank loaned out $23,000, part of it at the rate of 4% annual interest, and the rest at 11% annual interest. the total interest earned for both loans was $1,795.00. how much was loaned at each rate?

Answers

The bank loaned out $10,500 at 4% annual interest and $12,500 at 11% annual interest.

To solve this problem, we can use a system of equations. Let x be the amount loaned at 4% and y be the amount loaned at 11%. We know that:

x + y = 23,000 (the total amount loaned)
0.04x + 0.11y = 1,795.00 (the total interest earned)

To solve for x and y, we can use the first equation to solve for one of the variables in terms of the other:
x = 23,000 - y

Substituting this into the second equation, we get:
0.04(23,000 - y) + 0.11y = 1,795.00

Expanding and simplifying, we get:

920 - 0.04y + 0.11y = 1,795.00
0.07y = 875.00
y = 12,500

So the amount loaned at 11% was $12,500. To find the amount loaned at 4%, we can substitute y = 12,500 into the first equation:

x + 12,500 = 23,000
x = 10,500

So the amount loaned at 4% was $10,500.

Therefore, the bank loaned out $10,500 at 4% annual interest and $12,500 at 11% annual interest.

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compared with younger adults, middle-aged workers are more likely to

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Comparison of younger adults, middle-aged workers are more likely to have higher levels of job experience and expertise in their fields, as well as stronger networks and connections within their industries. This can give them an advantage in terms of job stability and career advancement opportunities.

However, middle-aged workers may also be more susceptible to stress and burnout due to increased responsibilities and family obligations, as well as concerns about job security and retirement savings. They may also face ageism and discrimination in the workplace, which can hinder their career progression and opportunities for professional development. Overall, while middle-aged workers may have certain advantages in the workforce, they also face unique challenges that younger adults may not experience.


Compared with younger adults, middle-aged workers are more likely to have accumulated greater work experience, possess more advanced skills, and exhibit increased job stability.
Step 1: Understand the terms
- Younger adults: Individuals in their late teens to early thirties
- Middle-aged workers: Individuals roughly between the ages of 40 and 65
Step 2: Compare work experience
- Middle-aged workers have had more time in the workforce, which allows them to accumulate greater work experience compared to younger adults.
Step 3: Compare skills
- Due to their longer work experience, middle-aged workers are more likely to have developed advanced skills in their respective fields, making them valuable assets to employers.
Step 4: Compare job stability
- Middle-aged workers typically exhibit increased job stability as they have likely settled into their careers and established a solid professional network.

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thanks to computers, the international flow of money has become

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Thanks to computers, the international flow of money has become more efficient, faster, and accessible.

Computers have revolutionized the way financial transactions are conducted globally. Here are some key ways in which computers have impacted the international flow of money:

Speed and Efficiency: Computers enable rapid processing and execution of financial transactions. With the use of electronic payment systems, such as wire transfers, online banking, and electronic fund transfers (EFTs), money can be transferred across borders quickly and efficiently.

Accessibility: Computers and the internet have made financial markets and services more accessible to a broader range of individuals and businesses. Online banking, trading platforms, and digital payment systems have allowed people from different parts of the world to engage in cross-border transactions, access international markets, and manage their finances conveniently.

Global Connectivity: Computers have enhanced connectivity among financial institutions, allowing for seamless communication and coordination of financial activities across borders. This connectivity facilitates the movement of money between different countries and enables real-time access to international markets, exchange rates, and financial information.

Risk Management and Compliance: Computers and advanced software systems have improved risk management and compliance measures in international finance. Automated systems can monitor transactions, detect suspicious activities, and ensure compliance with anti-money laundering (AML) and know-your-customer (KYC) regulations. This helps prevent fraud, money laundering, and other illicit financial activities in the global financial system.

Overall, computers have greatly improved the efficiency, accessibility, and transparency of the international flow of money, making global financial transactions more seamless and enabling economic integration on a global scale.

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The supply curve in the market is shifted farther to the right than is optimal or efficient if
A) There are external; benefits not accounted for by the market
B) There are external costs not accounted for by the market
C) This is a public good market

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The supply curve in the market is shifted farther to the right than is optimal or efficient if there are external costs not accounted for by the market.

External costs refer to the costs imposed on third parties or society as a whole due to the production or consumption of a good or service. When these costs are not taken into account by the market, the supply curve may shift farther to the right than what is efficient or optimal.

Option A, which mentions external benefits not accounted for by the market, would actually shift the demand curve to the right, as external benefits refer to positive effects experienced by third parties. Option C, which mentions a public good market, does not necessarily imply a rightward shift of the supply curve.

In the case of external costs, the market fails to include the full social cost of production or consumption. This means that the supply curve reflects only the private costs borne by producers, while neglecting the additional costs imposed on others in society. As a result, the supply curve is shifted farther to the right than what would be considered efficient or optimal.

To address this market failure, interventions such as taxes, regulations, or the creation of property rights can be implemented to internalize the external costs and align the market outcomes with social efficiency.

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Suppose a firm's total cost curve is T=152+8+45. Use calculus to find the output level that minimizes average total cost. Round your answer to three decimal places.

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To find the output level that minimizes the average total cost, we need to first find the average total cost (ATC) function.

ATC = T/Q

where T is the total cost function and Q is the output level.

Substituting T = 152 + 8Q + 45/Q into the above equation, we get:

ATC = (152/Q) + 8 + (45/Q^2)

To find the minimum of this function, we need to take the derivative with respect to Q and set it equal to zero:

d(ATC)/dQ = -152/Q^2 + 45/Q^3 = 0

Solving for Q, we get:

Q = (152/45)^(1/2) ≈ 3.024

Therefore, the output level that minimizes the average total cost is approximately 3.024 units.

1. Calculate the Average Total Cost (ATC) by dividing the total cost (T) by the quantity (Q): ATC = T / Q = (152 + 8Q + 45Q^2) / Q
2. Simplify the ATC equation: ATC = 152/Q + 8 + 45Q
3. Find the derivative of ATC with respect to Q, which is d(ATC)/dQ: -152/Q^2 + 0 + 45
4. Set d(ATC)/dQ equal to 0 to find the critical points: -152/Q^2 + 45 = 0
5. Solve for Q: Q^2 = 152/45, Q = √(152/45), Q ≈ 1.767 (rounded to three decimal places)

So, the output level that minimizes the average total cost is approximately Q = 1.767 units.

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which statement best represents the impact of technology advancements for service and manufacturing industries.

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The statement that best represents the impact of technology advancements on service and manufacturing industries is: "Technology advancements have significantly increased efficiency, productivity, and competitiveness in both service and manufacturing industries, while also creating new opportunities and challenges related to workforce skills and sustainability."

In the manufacturing sector, advancements in automation, robotics, and computer-aided design (CAD) have streamlined production processes, improved precision, and reduced human errors. These improvements have led to higher-quality products, faster production times, and lower operational costs.

In the service industry, technological advancements such as the Internet, cloud computing, and artificial intelligence (AI) have revolutionized the way services are delivered and accessed. Online platforms and apps enable businesses to reach a larger customer base and provide personalized experiences, while AI-powered tools help in data analysis, decision-making, and customer service.

However, these advancements also present challenges for both sectors. Workforce skills need to be constantly updated to keep pace with rapidly evolving technologies, and concerns about job displacement due to automation and AI have emerged. Additionally, increased dependence on technology raises questions about sustainability and environmental impact, pushing industries to seek greener solutions and adopt circular economy principles.

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whether or not new starbucks now stores should be opened in countries across the world, not just in china.

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The decision of whether or not new Starbucks stores should be opened in countries across the world, not just in China, depends on various factors such as market demand, cultural differences, economic conditions, competition, and potential profitability. This decision would require thorough market research and analysis to assess the feasibility and potential success of expanding into different countries.

Expanding Starbucks stores to countries across the world, not just in China, requires careful consideration and evaluation. In the small explanation, it is important to understand that the decision would depend on several factors that would determine the potential success and viability of new stores in different countries.

In the full detail explanation, one would need to analyze the market demand for Starbucks products in each country, considering factors such as the popularity of coffee consumption, local tastes and preferences, and the potential customer base. Cultural differences and local traditions related to coffee consumption should also be taken into account.

Economic conditions and the purchasing power of consumers in each country are significant considerations. Assessing the level of competition, both from established coffee chains and local businesses, is crucial to determine the market potential and the ability to differentiate Starbucks offerings.

Additionally, evaluating the legal and regulatory environment, as well as any potential political or social challenges, is important for international expansion. Lastly, conducting a thorough financial analysis to estimate costs, potential revenues, and profitability would provide insight into the financial feasibility of opening new stores in different countries.

Overall, the decision to open new Starbucks stores in countries worldwide requires a comprehensive evaluation of market demand, cultural factors, economic conditions, competition, and potential profitability. Conducting proper market research and analysis is crucial to make informed decisions about expanding into new markets.

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Break-even analysis ___
is useful to know how much changes in volume affect cost and profit.
short-term profitability.
does not include depreciation expense as a fixed cost when calculating the degree of financial leverage.
All of the options are true.

Answers

Break-even analysis is useful for understanding how changes in volume impact costs and profit, as well as for assessing short-term profitability.

Additionally, break-even analysis does not include depreciation expense as a fixed cost when calculating the degree of financial leverage. Break-even analysis is a valuable tool for businesses to evaluate the relationship between sales volume, costs, and profit. It helps determine the point at which total revenue equals total costs, resulting in zero profit or loss. By understanding the break-even point, a business can assess how changes in volume affect costs and profitability. This analysis allows businesses to make informed decisions regarding pricing, production levels, and cost control measures.

In addition, break-even analysis primarily focuses on short-term profitability. It helps businesses identify the minimum level of sales needed to cover all fixed and variable costs and start generating profit. By comparing actual sales and costs to the break-even point, a business can determine its short-term financial performance and assess its ability to cover expenses and generate profit.

Lastly, when calculating the degree of financial leverage, break-even analysis does not include depreciation expense as a fixed cost. This is because depreciation is a non-cash expense that represents the allocation of the cost of an asset over its useful life, and it does not directly affect the cash flow of a business. Therefore, when assessing financial leverage, depreciation expense is typically excluded from fixed costs to provide a more accurate measure of the company's leverage ratio.

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the main difficulty of a barter system is finding

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The main difficulty of a barter system is finding a "double coincidence of wants."

This term refers to the challenge of finding two parties who both have something the other wants, and are willing to exchange their goods or services for it. In a barter system, transactions can only occur if both parties have items that the other desires, which makes it more complicated compared to a monetary system.

For example, let's say that Alice has apples and wants bananas, while Bob has bananas and wants oranges. In this scenario, there is no double coincidence of wants between Alice and Bob, making it difficult for them to trade their goods directly. They would need to find a third party, perhaps someone with oranges who wants apples, to facilitate the exchange.

Moreover, the barter system lacks a standard unit of account, which makes it challenging to determine the value of goods and services. This absence of a common measure leads to issues with divisibility, as some goods cannot be easily divided into smaller portions to facilitate a fair trade.

Another issue with barter systems is the lack of a store of value. In a barter economy, it is difficult to save wealth for future use, as goods and services may perish or become obsolete over time. This can hinder long-term planning and economic development.

In conclusion, the primary challenge of a barter system is the double coincidence of wants, which makes transactions more complex and time-consuming compared to monetary systems. Additionally, the lack of a standard unit of account and store of value make it difficult to determine the worth of items and save wealth for future use.

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why is it the client's decision to record adjustments to the financial statements?

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The client's decision to record adjustments to the financial statements is essential to uphold client confidentiality, respect their ownership of financial information, and leverage their detailed knowledge of their business operations for accurate reporting.

The client's decision to record adjustments to the financial statements is primarily based on the principle of client confidentiality and ownership of financial information. As service providers, accountants and auditors are bound by professional ethics to maintain client confidentiality and treat financial information as privileged and confidential.

The client is the owner of the financial statements and has the right to determine the content and presentation of those statements within the framework of accounting standards and regulations. By giving the client the authority to record adjustments, it ensures that they have control over the financial information that represents their organization.

Moreover, the client is responsible for the day-to-day operations and activities of their business and possesses the most detailed knowledge about their financial transactions and events. They are in the best position to understand the nature and impact of these events and determine the appropriate adjustments required for accurate financial reporting.

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the act of setting prices below cost to eliminate rivals

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The act of setting prices below cost to eliminate rivals is commonly referred to as predatory pricing. Predatory pricing occurs when a company intentionally sells its products or services at a price lower than the cost of production or below the market price in order to drive competitors out of the market.

By engaging in predatory pricing, the company aims to establish a dominant market position and eventually raise prices once competitors have been eliminated.

Predatory pricing is generally considered anti-competitive and is often subject to legal scrutiny in many jurisdictions. It is viewed as harmful to competition because it can create barriers to entry for new firms and limit consumer choice in the long run.

Laws and regulations, such as antitrust laws, are in place in many countries to prevent predatory pricing practices and promote fair competition.

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Which word best describes the
of buying a money order?
process
A. Cumbersome
B. Effortless
C. Uncomplicated

Answers

The word that best describes buying a money order is Option D. Uncomplicated.

A money order is a financial instrument that allows individuals to securely send or receive payments. The process of purchasing a money order is quite straightforward and does not involve cumbersome steps or significant effort.

To buy a money order, you simply visit a location that offers the service, such as a post office, bank, or grocery store. You then provide the necessary information, including the recipient's name and the desired amount, and pay for the money order using cash, a debit card, or another form of accepted payment. After that, you receive the money order, which can be sent to the recipient either by mail or in person.

In comparison to other methods of sending money, purchasing a money order is generally less complicated and offers increased security, since it is backed by the issuing institution. The recipient can then cash or deposit the money order at their convenience, ensuring they receive the funds without delays or potential issues associated with personal checks.

Overall, obtaining a money order is a simple, secure, and efficient way to send or receive payments, making it an uncomplicated option for those who prefer not to deal with more complex financial transactions. Therefore, the correct option is D.

The question was incomplete, Find the full content below:

Which word best describes buying a money order?

A. process

B. Cumbersome

C. Effortless

D. Uncomplicated

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investors generally don't like risk. Therefore, a typical investor
Select one:
a. will only take on the least risk possible
b. will not be induced to take on any risk
c. will only accept a zero return if the risk is zero
d. will only take on additional risk if he expects to be compensated in the form of additional return

Answers

The correct answer is d. Investors generally don't like risk but they are willing to take on additional risk if they expect to be compensated in the form of additional return. This is known as the risk-return tradeoff.

Investors weigh the potential returns against the potential risks before making an investment decision. If the potential return is high, investors may be willing to take on higher risk. However, if the potential return is low, investors may only be willing to take on low risk or even zero risk. It's important to note that every investor is different and has their own risk tolerance. Some investors may be more willing to take on risk than others. Ultimately, it's up to the investor to determine how much risk they are willing to take on in order to achieve their investment goals. Investors are typically risk-averse, meaning they prefer to minimize the potential for losses. However, they also understand that higher returns often come with higher risks. As a result, a typical investor is willing to take on additional risk, but only if they expect to be compensated with an increased return on their investment. This trade-off between risk and return is a fundamental concept in finance and guides investors' decision-making processes. By carefully analyzing and balancing potential risks and rewards, investors can make informed choices that align with their personal financial goals and risk tolerance.

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Assume that CAPM does not hold and securities may earn abnormal returns. Suppose security A has a lower alpha than security B, which statement below is true?
Security A must be below the SML.
Security A has lower total risk than security B.
Security A has a lower total return than security B.
Security A has a lower abnormal return than security B.
Security A has a lower expected return than security B.

Answers

If CAPM does not hold and securities can earn abnormal returns, and security A has a lower alpha than security B, then the statement that is true is: Security A has a lower abnormal return than security B.

Alpha is a measure of the abnormal return earned by security beyond what would be predicted by the CAPM. If the CAPM does not hold and securities can earn abnormal returns, then the SML may not accurately represent the relationship between a security's risk and expected return.

If security A has a lower alpha than security B, it means that security A is not earning as much of an abnormal return as security B. Therefore, security B is expected to have a higher total return than security A, which includes both the expected return and the abnormal return.

However, it is important to note that alpha is not a measure of total risk. Therefore, it cannot be concluded that security A has a lower total risk than security B based on their respective alphas.

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all of the following will cause the reported growth rate in a country to change except a) population changes. b) changes in the number of poor people in the country. c) a shift of the production possibilities curve. d) changes in productivity.

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The reported growth rate in a country is typically measured by the (B) percentage change in its Gross Domestic Product (GDP) over a period of time, such as a year or a quarter.

GDP is the total value of all goods and services produced within a country's borders during a specified period.

Therefore, any changes that affect the quantity or value of goods and services produced within a country will impact its reported growth rate.
Out of the options provided, population changes, changes in the number of poor people in the country, and changes in productivity can all directly impact the quantity of goods and services produced within a country and, thus, its reported growth rate.

For example, if a country experiences a population boom, it may see an increase in the number of goods and services demanded, which could lead to increased production and a higher reported growth rate.

Similarly, if a country experiences a surge in productivity due to technological advancements or better training for workers, it may be able to produce more goods and services with the same amount of resources, leading to a higher reported growth rate.

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ratio company has not yet decided on the required rate of return to use in its capital budgeting. this lack of information will prevent ratio company from calculating a project's:

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The lack of information regarding the required rate of return will prevent Ratio Company from calculating a project's:

Net Present Value (NPV): The NPV calculation involves discounting the project's cash flows at the required rate of return. Without knowing the required rate of return, it is not possible to determine the present value of the cash flows and thus calculate the NPV.

Internal Rate of Return (IRR): The IRR is the discount rate at which the project's NPV becomes zero. Without the required rate of return, it is not possible to calculate the IRR and determine the project's profitability.

Profitability Index (PI): The PI is the ratio of the present value of cash inflows to the present value of cash outflows. It helps assess the project's profitability relative to its initial investment. Without the required rate of return, it is not possible to calculate the PI accurately.

Payback Period: The payback period indicates the time required to recover the initial investment through the project's cash inflows. Without the required rate of return, it may be challenging to determine the payback period accurately.

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Strategic leadership includes all of the following except:
a. creating the vision for the firm
b. developing strategies
c. empowering individuals throughout the organization to execute strategies
d. oversight of the performance appraisal process

Answers

Strategic leadership is a management approach that focuses on setting direction, making critical decisions, and guiding an organization towards its objectives. While it involves various aspects, oversight of the performance appraisal process is not a core element of strategic leadership.

Creating the vision for the firm is a fundamental aspect of strategic leadership, as leaders need to envision the future and set clear, ambitious goals for the organization. This vision serves as a guiding force for the company's actions and direction. Developing strategies is another key aspect of strategic leadership. This includes formulating plans, policies, and actions that align with the organization's goals and vision. Leaders need to think critically and analytically to create effective strategies that drive progress and success.

Empowering individuals throughout the organization to execute strategies is also an essential component of strategic leadership. Leaders must foster a culture of responsibility, creativity, and innovation by giving employees the resources, support, and authority to implement strategic plans. This empowerment not only leads to better execution of strategies but also encourages ownership and commitment to the organization's vision and goals.

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What is one tactic that management professionals, including management accountants, can use to help offset the fraud triangle risk of opportunity for fraudulent entries occurring? Installing an ethics hotline and online portal will directly help reduce the risk of unethical opportunities within the organization. Mandating a corporate code of ethics be put into place at the organization, and that employees be mandated to agree to this policy, will lower the opportunity for fraud. One tactic that can be used is the implementation of a mandatory vacation policy, which allows other employees to check and verify the work of others. Installing a mandatory ethics training program, for both frontline and back office employees, is one tactic to be used to reduce opportunities for fraud.

Answers

One tactic that management professionals, including management accountants, can use to help offset the fraud triangle's risk of opportunity for fraudulent entries occurring is to implement a mandatory vacation policy.

By mandating that employees take a certain amount of time off each year, other employees have the opportunity to check and verify the work of their colleagues. This can help reduce the risk of fraudulent entries going undetected. Additionally, installing an ethics hotline and online portal, mandating a corporate code of ethics, and implementing a mandatory ethics training program are other effective tactics to reduce opportunities for fraud. These strategies help establish a culture of ethical behavior within the organization and increase accountability among employees.

One tactic that management professionals, including management accountants, can use to help offset the fraud triangle's risk of opportunity for fraudulent entries occurring is implementing a mandatory vacation policy. This policy allows other employees to check and verify the work of others, reducing the opportunity for fraud. Additionally, installing an ethics hotline, online portal, corporate code of ethics, and mandatory ethics training program can further help lower the risk of unethical opportunities within the organization.

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Select all that apply
Which of the following are financially driven reasons for outsourcing.
a. Turn fixed costs into variable costs.
b. Improve return on assets by reducing inventory and selling unnecessary assets.
c. Shorten cycle time.
d. Reduce costs through a lower cost structure.
e. Gain access to new markets, particularly in developing countries.
f. Increase product and service value by improving response to customer needs.
g. Generate cash by selling low-return entities.

Answers

The following are financially driven reasons for outsourcing are: Turn fixed costs into variable costs, Improve return on assets by reducing inventory and selling unnecessary assets, Reduce costs through a lower cost structure, Generate cash by selling low-return entities. The correct options are a, b, d and g.

There are several financially driven reasons for outsourcing, including:

a. Turning fixed costs into variable costs: This is a common reason for outsourcing, as it allows businesses to pay for services as they need them, rather than maintaining a fixed cost structure that may not always align with demand.

b. Improving return on assets by reducing inventory and selling unnecessary assets: Outsourcing can help businesses streamline their operations, which can lead to a reduction in inventory and the sale of unnecessary assets. This can improve return on assets, as the business is able to generate more revenue with fewer resources.

d. Reducing costs through a lower cost structure: One of the primary reasons businesses outsource is to take advantage of lower labor costs in other countries. This can lead to a lower cost structure overall, which can improve profitability.

g. Generating cash by selling low-return entities: Outsourcing can also be a way for businesses to generate cash by selling off low-return entities. This can allow them to focus on their core competencies and invest in areas that are more likely to generate a higher return on investment.

In summary, outsourcing can provide several financial benefits to businesses, including the ability to turn fixed costs into variable costs, improve return on assets, reduce costs through a lower cost structure, and generate cash by selling low-return entities.

Thus, The correct options are a, b, d and g.

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Consider a market served by a pure monopolist. Demand in this market is given by P=300-3q. The monopolist
has a total cost function given by C=45+ 60 q+q2.
1) What is the profit-maximizing price and quantity for the monopolist? What are the consumer surplus,
producer surplus, total surplus, and deadweight loss in this market?
Suppose now that the monopolist’s total cost function isC=45+ 60 q.
2) What is the profit-maximizing price and quantity for the monopolist? What are the consumer surplus,
producer surplus, total surplus, and deadweight loss in this market?
3) I have a patent on the product I sell. Give an example of a scenario in which my patent is not a barrier to
the entry of potential competitors.
4) Give an example of an industry that may be a natural monopoly. Why is it a natural monopoly?

Answers

An industry that is a natural monopoly is an industry in which a single firm can produce the entire output at a lower cost than two or more firms can.

1) For the monopolist, the profit-maximizing price and quantity is obtained by maximizing the profit function, which is given by: π(q)=TR(q)−TC(q)The monopolist’s total revenue is obtained by multiplying the price by the quantity sold, and is given by: TR(q)=P(q)q=(300−3q)q=300q−3q2The monopolist’s total cost is given by:

TC(q)=45+60q+q2

Now, the profit function is given by:

π(q)=(300−3q)q−(45+60q+q2)=−q2+180q−45

The first-order condition for the maximization of the profit function is:

dπ/dq=−2q+180=0⟹q∗=90

The second-order condition is:

d2π/dq2=−2<0Hence, q∗=90 is the profit-maximizing quantity.

The price that the monopolist should charge is the price that is consistent with a demand of 90 units.

The demand function is:

P(q)=300−3q⇒P(q∗)=300−3×90=30

Therefore, the profit-maximizing price and quantity are (P∗,q∗)=(30,90).

The consumer surplus is given by the area under the demand curve and above the equilibrium price, up to the quantity that the monopolist sells.

It can be computed as follows:

CS=∫090(300−3q−30)dq=∫090270−3qdq=[270q−(3/2)q2]090=4050−12150=−8100

The producer surplus is given by the difference between the total revenue and the total variable cost, and can be computed as follows:

PS=TR−TVC=300q−3q2−60q−q2=240q−4q2=240×90−4×902=16200

The total surplus is the sum of the consumer and producer surpluses:

TS=CS+PS=−8100+16200=8100

The deadweight loss is given by the triangle that is formed by the difference between the price charged and the marginal cost, and can be computed as follows:

DWL=12×(P−MC)×(Qd−Qs)=12×(30−60)×(180−90)=−2475

The deadweight loss is negative because this is a case of a pure monopoly.

2) When the monopolist’s total cost function is C=45+60q, the profit-maximizing quantity is obtained as before, by equating the marginal cost to the marginal revenue:

dπ/dq=300−6q−60=0⟹q∗=40

The second-order condition is:

d2π/dq2=−6<0Therefore, q∗=40 is the profit-maximizing quantity.

The price that the monopolist should charge is the price that is consistent with a demand of 40 units.

The demand function is: P(q)=300−3q⇒P(q∗)=300−3×40=180

Therefore, the profit-maximizing price and quantity are (P∗,q∗)=(180,40).

The consumer surplus can be computed as follows:

CS=∫040(300−3q−180)dq=∫040120−3qdq=[120q−32q2]040=4800−5120=−320

The producer surplus can be computed as follows:

PS=TR−TVC=180q−3q2−60q=120q−3q2=120×40−3×402=2400

The total surplus is the sum of the consumer and producer surpluses:

TS=CS+PS=−320+2400=2080

The deadweight loss can be computed as follows:

DWL=12×(P−MC)×(Qd−Qs)=12×(180−60)×(40−30)=900

Since the monopolist’s marginal cost is constant, the deadweight loss is smaller than in the previous case, and is equal to 900.

3) A scenario in which a patent is not a barrier to entry occurs when the technology that underlies the patented product becomes obsolete or is replaced by a new technology that is not covered by the patent. For example, consider a patent that covers the production of incandescent light bulbs. If a new technology, such as LED light bulbs, becomes widely available and more efficient than incandescent light bulbs, the patent on incandescent light bulbs will not prevent competitors from entering the market.

4) One example is the provision of utility services, such as electricity or water. The cost of producing these services is dominated by the cost of building the infrastructure needed to deliver the services to customers. Once the infrastructure is in place, the cost of providing the service to an additional customer is relatively low. As a result, a single firm can supply the entire market at a lower cost than two or more firms could.

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list six reasons why a bank may dishonor a check.

Answers

A bank may dishonor a check for several reasons, including: Insufficient Funds: The account holder does not have enough money in their account to cover the amount of the check.

Stop Payment Order: The account holder requests the bank to stop payment on a specific check. Post-Dated Check: The check is dated for a future date, and the bank is not authorized to cash or deposit it until that date has passed.

Alterations or Forgery: The check has been altered, forged, or contains suspicious signatures, making it invalid or fraudulent. Frozen or Closed Account: The account associated with the check has been frozen or closed, rendering the check invalid.

Invalid or Incomplete Information: The check contains errors, such as missing signature, incorrect account number, or illegible writing, making it impossible to process.

It's important to note that specific rules and policies may vary between banks and jurisdictions, and additional reasons for dishonoring a check may exist based on local regulations and circumstances.

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The balance of payments is equal to
A.
the current account minus the financial account.
B.
the current account divided by the financial account.
C.
the current account plus the financial account.
D.
the current account times the financial account.

Answers

The balance of payments is equal to the current account plus the financial account.

The balance of payments is a record of all economic transactions between the residents of a country and the rest of the world over a specific period. It consists of two main components: the current account and the financial account. The current account includes transactions related to trade in goods and services, income flows (such as wages, interest, and dividends), and unilateral transfers (such as foreign aid or remittances). The current account represents the net income received from abroad and the net value of goods and services exported or imported. The financial account captures transactions related to capital flows, including foreign direct investment, portfolio investment, and changes in reserve assets. It reflects changes in ownership of financial assets and liabilities between residents and non-residents.

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F the economy booms, Meyer&Co. Stock will have a return of 23. 9 percent. If the economy goes into a recession, the stock will have a loss of 12. 4 percent. The probability of a boom is 72 percent while the probability of a recession is 28 percent. What is the standard deviation of the returns on the stock? Options: 13. 88% 12. 72% 16. 30% 14. 95% 9. 40%

Answers

The probability of a boom is 72 percent while the probability of a recession is 28 percent. 7.48%, is the standard deviation of the returns on the stock. Thus, option (a) is correct.

To compute the standard deviation of the returns on Marco. stock, we must use the formula: Standard deviation = square root of variance.

The expected return of the stock is (0.72 × 0.239) + (0.28 × (-0.124)) = 13.668%.

The variance of the stock is (0.72 ×  [tex](0.239 - 0.13668)^2[/tex]+ (0.28 ×  [tex](-0.124 - 0.13668)^2)[/tex] = 0.0056.

The standard deviation of the returns on the stock is the square root of 7.48% (approximately).

As a result, the significance of the standard deviation of the returns on the stock are the aforementioned. Therefore, option (a) is correct.

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An investor seeking relatively low default risk investments combined with some type of favorable tax treatment and inflation protection should consider which of the following?(1) Insured municipal bonds. (2) TIPS. (3) Zero coupon Treasury bonds. (4) Series I savings bonds. (5) Series HH savings bonds.
a. 1, 2 and 3.
b. 1, 2 and 4.
c. 2 and 4.
d. 2, 4 and 5.

Answers

An investor should consider insured municipal bonds, TIPS, and Series I savings bonds for their low default risk, favorable tax treatment, and inflation protection (option b).

An investor seeking relatively low default risk investments combined with some type of favorable tax treatment and inflation protection should consider options such as insured municipal bonds, TIPS, and Series I savings bonds. Insured municipal bonds provide a lower default risk due to their backing by insurance companies, while also offering tax-exempt income. TIPS protect against inflation by adjusting their principal value based on changes in the Consumer Price Index.

Series I savings bonds also offer inflation protection and can be tax-deferred until redemption. Zero coupon Treasury bonds do not offer any tax benefits and may have a higher default risk than the aforementioned options. Series HH savings bonds are no longer available for purchase and may not be the best option for current investors. Therefore, the answer to the question would be option B.

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each of the following is required for successful collaboration, except: group of answer choices appropriate collaboration technology. decentralized structure. breadth of collaboration. open culture. strong hierarchy.

Answers

The term that is not required for successful collaboration is "strong hierarchy."

Each of the following is required for successful collaboration, except for a strong hierarchy.

A successful collaboration typically involves appropriate collaboration technology, a decentralized structure, a breadth of collaboration, and an open culture.

These elements help ensure that everyone in the group can effectively communicate, contribute, and work together towards a common goal.

On the other hand, a strong hierarchy can impede collaboration by creating barriers and limiting the flow of ideas.

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Company XYZ’s annual turns are 12.5, its Cost of Goods Sold (COGS) is $50 Billion, and its gross margin is 33.33%. Recall, gross margin = (Revenue – COGS) / Revenue. What is the average inventory it holds in $ Billion? Assume one year is 50 weeks and one week is 7 days.

Answers

To calculate the average inventory, we need to use the inventory turnover ratio formula: Annual Turns = Cost of Goods Sold / Average Inventory.

We know that the annual turns of Company XYZ is 12.5, and the COGS is $50 billion. Thus, we can calculate the average inventory as:

Average Inventory = Cost of Goods Sold / Annual Turns
Average Inventory = $50 billion / 12.5
Average Inventory = $4 billion

Therefore, the average inventory that Company XYZ holds is $4 billion.

Note: Since we know that one year is 50 weeks and one week is 7 days, we can assume that the company's inventory turnover ratio is based on a 50-week period.

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Smith paid the following unreimbursed medical expenses:
Dentist and eye doctor fees
$ 5,000
Contact lenses
500
Facial cosmetic surgery to improve Smith’s personal appearance (surgery is unrelated to personal injury or congenital deformity)
10,000
Premium on disability insurance policy to pay him if he is injured and unable to work
2,000
What is the total amount of Smith’s tax-deductible medical expenses before the adjusted gross income limitation?
A.$5,500
B.$17,500
C.$15,500
D.$7,500

Answers

The total amount of Smith's tax-deductible medical expenses before the adjusted gross income limitation is C. $15,500.

Dentist and eye doctor fees of $5,000 and contact lenses of $500 are considered qualified medical expenses that can be tax-deductible. However, facial cosmetic surgery for personal appearance enhancement is not considered a qualified medical expense for tax deduction purposes.

The premium on a disability insurance policy is also not considered a qualified medical expense. However, it may be tax-deductible as a business expense if Smith is self-employed or as an itemized deduction if he is an employee.

Therefore, the total amount of Smith's tax-deductible medical expenses before the adjusted gross income limitation is $5,000 + $500 = $5,500.
To determine Smith's tax-deductible medical expenses before the adjusted gross income limitation, we need to consider only those expenses that are qualified for tax deductions.

1. Dentist and eye doctor fees: $5,000 - These are qualified medical expenses.
2. Contact lenses: $500 - These are also considered qualified medical expenses.
3. Facial cosmetic surgery: $10,000 - This expense is not qualified for tax deductions since it's unrelated to personal injury or congenital deformity.
4. Premium on disability insurance policy: $2,000 - This expense is also not tax-deductible.

Now, add the qualified medical expenses:
$5,000 (Dentist and eye doctor fees) + $500 (Contact lenses) = $5,500

Therefore, the total amount of Smith's tax-deductible medical expenses before the adjusted gross income limitation is $5,500. Your answer is A. $5,500.

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The auditors may conclude that depreciation charges are insufficient by noting:
a. Insured values greatly in excess of book values
b. Large amounts of fully depreciated assets
c. Continuous trade-ins of relatively new assets
d. Excessive recurring losses on assets retired

Answers

The correct option is b.  Large amounts of fully depreciated assets. The auditors may conclude that depreciation charges are insufficient by noting:

Depreciation is the methodical distribution of an asset's depreciable value over the course of its useful life. The cost of an asset, or another quantity replaced for expenses, less its residual value, is its depreciable amount.

If a company has a large amount of fully depreciated assets, it may indicate that the assets are still in use but are not being charged for depreciation, leading to an understatement of expenses and an overstatement of income. The auditors would need to investigate whether the assets are still in use and whether their carrying value is accurate. If the carrying value is not accurate, the auditors may need to adjust the financial statements to reflect the correct value and charge additional depreciation to expense.

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The correct option is b.  Large amounts of fully depreciated assets. The auditors may conclude that depreciation charges are insufficient by noting:

Depreciation is the methodical distribution of an asset's depreciable value over the course of its useful life. The cost of an asset, or another quantity replaced for expenses, less its residual value, is its depreciable amount.

If a company has a large amount of fully depreciated assets, it may indicate that the assets are still in use but are not being charged for depreciation, leading to an understatement of expenses and an overstatement of income. The auditors would need to investigate whether the assets are still in use and whether their carrying value is accurate. If the carrying value is not accurate, the auditors may need to adjust the financial statements to reflect the correct value and charge additional depreciation to expense.

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