When cash is used for all or a portion of the transaction, the statement of cash flows shows how much was paid in cash for newly acquired property, plant, and equipment.The cash inflows and outflows for the time period covered by the statement are displayed in the cash flow statement (i.e., cash paid for newly acquired fixed assets).
What exactly is a cash flow statement?By monitoring an organization's cash flow, a cash flow statement is a crucial tool for managing finances.This report is one of the three crucial ones that determine a company's performance, together with the income statement and the balance sheet. Cash on delivery refers to a buyer making payment after receiving the goods or services.On the other hand, cash in advance refers to payment paid before the delivery of the products or services, as in an online credit transaction. The net amount of cash and cash equivalents coming into and going out of a business is referred to as cash flow.Money spent and money received reflect inflows and outflows, respectively. In contrast to the income statement, the cash flow statement records cash purchases more directly.In actuality, precise cash outflow events are completely absent from the revenue statement. A company's strength, profitability, and long-term outlook can all be determined using a cash flow statement.The CFS can assist in figuring out whether a business has enough liquidity or cash to cover its costs.A CFS can be used by a business to forecast future cash flow, which is beneficial for budgeting purposes. Cash receipts or increases can be thought of as sources of cash, and cash expenditures or declines can be thought of as uses of cash.To learn more about cash flow statement refer
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small firms generally have relatively high loadings (high betas) on the smb (small minus big) factor. a. explain why this is not surprising. b. now suppose two unrelated small firms merge. each will be operated as an independent unit of the merged company. would you expect the stock market behavior of the merged firm to differ from that of a portfolio of the two previously independent firms? c. how does the merger affect market capitalization? d. what is the prediction of the fama-french model for the risk premium on the merged firm compared to the weighted average of the two component companies? e. do we see here a problem in applying the ff model?
In a Fama-French regression, a positive SMB coefficient is frequently read as indicating a portfolio that is skewed toward small-cap companies.
We exhibit a relatively sizable portfolio with an overall positive SMB coefficient.
Why is little less than big significant?
According to the Fama/French stock pricing model, small businesses outperform big businesses over the long run (SMB). Another component of the model that states that value equities typically beat growth firms is high minus low (HML).
SMB beta: What does it mean?
The size effect known as Small Minus Big (SMB) is based on a company's market capitalization. The historic advantage of small-cap enterprises over large-cap companies is measured by SMB. SMB may be recognized, and linear regression can be used to calculate its beta coefficient ().
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You need to write a check for $167. 50 from your checking account, which has a balance of $1,725. 25. What percent of your balance will remain?.
Percentage of the balance which will be remained is 90.29%
It is given that the balance is $1725.25
Check amount which has to written is $167.50.
Thus, the remaining balance after getting deducted will be $1725.25 - $167.5 = $1557.75
Percentage of the balance = (Remaining balance ÷ Total amount )×100
= ($1557.75 ÷ $1725.25) ×100
= (0.9029) ×100
= 90.29%
Thus, Percentage of the balance is 90.29%
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superbrite is a brand of toothpaste. in its earlier campaign, superbrite was advertised as an effective whitening toothpaste. however, due to declining sales, its parent company has decided to rethink its marketing strategy. in its new campaign, superbrite is still portrayed as whitening toothpaste, but it also features a research study where other familiar brands in the market fail to make the grade. in this campaign, superbrite has tried to reposition multiple choice its application. the target market. the competition. its price. its attributes.
In this campaign, superbrite has tried to reposition, in this campaign, superbrite has tried to reposition the competition. Option C
This is further explained below.
What is the competition?Generally, A rivalry may be defined as a situation in which two or more parties struggle for a single objective that cannot be shared. In this scenario, the success of one party results in the failure of another.
Entities as diverse as biology, persons, economic and social organizations, and others may engage in competitive interactions with one another.
In conclusion, Within the context of this strategy, not only has Superbrite attempted to reposition itself, but they have also attempted to reposition its rivals. Alternative C
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if a large proportion of customers in a total market have similar product needs and the company has the resources to develop a marketing mix to satisfy them, which targeting strategy would be effective?
A homogeneous market is one in which a significant part of consumers have comparable wants for a given good. Hence, Option C is correct.
What is the meaning of want?An item that is sought is referred to as a want in economics. Everyone is considered to have infinite needs but finite resources. The foundation of economics is the idea that we have access to a finite number of resources. As a result, people are limited in what they may obtain and must search for the least expensive options.
whether the company has the means to create a marketing mix that will satisfy a sizable number of the market's customers who have similar product wants. It would be wise to use homogeneous targeting.
Therefore, Option C is correct.
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The complete Question has been attached in text form:
If a large proportion of customers in a total market have similar product needs and the company has the resources to develop a marketing mix to satisfy them, which targeting strategy would be effective?
a) undifferentiated
b) heterogeneous
c) homogenous
d) differentiated
e) concentrated
six years ago the templeton company issued 22-year bonds with a 13% annual coupon rate at their $1,000 par value. the bonds had an 8% call premium, with 5 years of call protection. today templeton called the bonds. compute the realized rate of return for an investor who purchased the bonds when they were issued and held them until they were called. round your answer to two decimal places.
The realized rate of return for an investor who purchased the bonds when they were issued and held them until they were called is 13.94%
Investors prefer callable bonds over regular bonds (other than callable bonds) because they have a greater premium to pay if they are called and a marginally higher interest rate.
Face or Par Value of Bond (F) = $1,000
Call premium (CP) = 8% of $1,000 = $80
Price at which bond is called (P) = F + CP = $1,000 + $80 = $1,080
Coupon Rate = 13% ---- (A)
Number of compounding periods per year = 1 ----- (B)
Interest per period (PMT) = 1000 * (A/B) = 1000 * (0.13 / 1) = 1000 * 0.13 = 130
Bond price (PV) = 1000
Number of years to sell = 6 ---- (C)
Number of compounding periods till sale (NPER) = (B * C) = 1 * 6 = 6
The bond yield to call
= RATE(NPER, PMT,-PV, FV)×1
= RATE(6,130,-1000,1080)×1
Therefore, bond yield to call = 13.94%
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10.on a warm summer day, kimberly tells her brother to put on a suit. kimberly's brother knows to put on a swimsuit instead of a business suit because of
Kimberly's brother knows to put on a swimsuit instead of a business suit because of context.
What is the context?Context refers to the circumstances that make up an event, business, or idea so that it can be fully understood and appreciated in relation to it.Context means a set of words or events.If you're upset about what your partner called your worst enemy, remind her that the context of those comments is her opposite day.It comes from the Latin word for how something is done.Context tells the recipient the importance to give something, what assumptions to make (or not) to make about what is being conveyed, and most importantly, to give meaning to the message.Contextual communication is defined as the two-way transfer of business between two parties in which both parties are aware of the relational, environmental, and cultural context of the exchange.Simply put, this means that all involved entities know what the business is about.To learn more about context from the given link :
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independent review and appraisal a.origination of initial entry into accounting system b.accounting and cash collection is properly separated c.one department should check on another d.blank checks are locked at all times when not in use e.specific authority is given by management for the performance of activities
The practice of independent review and appraisal is mostly related to when "one department is required to check on another".
What is an independent review and appraisal?In accounting, an independent appraisal of activity within an organisation for review of accounting, financial and other business practices is also called as an internal audit. This audit, as a financial practice is done to check the internal control systems, accounting systems as well as to check for any frauds and errors in the financial statements in advance.
In conclusion, an internal audit serves as an independent appraisal function created within an organization to examine or evaluate its activities as a service to the organization.
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a company had net sales of $21,000 and accounts receivable of $2,520 for the current period. its days' sales uncollected equals: (use 365 days a year.) multiple choice 8.0 days. 58.9 days. 43.8 days. 7.4 days. 45.2 days.
A business reported $21,000 in net sales and $2,520 in accounts receivable for the current quarter. 43.81 days are left in its unsold sales days.
How is the inventory turnover ratio determined?By multiplying the inventory days ratio by 365 and flipping the ratio, you may find the inventory turnover ratio. Inventory turnover ratio in this case is 1 / (73/365), which equals 5. This implies that the business can sell and replenish its inventory five times per year.
Below is a calculation of the days sales were not collected.
However, we must first determine the inventory turnover ratio, which is
Inventory turnover ratio = Sales ÷ Accounts receivable
= $21,000 ÷ $2,520
= 8.33 times
Now Days sales uncollected is
= 365 ÷ Inventory turnover ratio
= 365 ÷ 8.33
= 43.81 days
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5 purchases 180 units at $56 14 sale 120 units 21 purchases 90 units at $58 30 sale 84 units assuming that a perpetual inventory system is used, what is ending inventory (rounded) under the average-cost method for july?
Ending inventory (rounded) under the average cost method is $5,500 for July.
The average cost approach calculates the cost of inventory items by dividing the total cost of goods purchased or produced over a given time by the total number of items purchased or produced. The average cost strategy is also known as the weighted average method.
Units Unit cost Total cost
Beginning inventory 30 60 1800
July 5 Purchases 180 56 10080
Total 210 11880
Average cost per unit for July 14 sale 56.5714 = 11880/210
Units remaining after July 14 sale 90 = 210 - 120
Units Unit cost Total cost
Units remaining after July 14 sale 90 56.5714 5091.43
July 21 Purchases 90 58 5220.00
Total 180 10311.43
Average cost per unit for July 30 sale 57.2857 = 10311.43/180
Units remaining after July 30 sale 96
Ending inventory (rounded) 5500 = 96 × 57.2857
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any place where, or any mechanism by which, buyers and sellers interact to trade goods, services, or resources is a(n) . (enter one word in the blank)
In order to facilitate the exchange or transaction of goods and services, a market is a location where buyers and sellers can meet.
An organization or mechanism that brings together buyers and sellers is a market. Efficiency and the capacity to produce more goods and services are aided by capital goods and technology.
What is the process by which buyers and sellers freely exchange goods and services?
Bartering is the non-monetary exchange of goods and services between two or more parties. It is the oldest method of trade. Based on comparable price estimates and goods, individuals and businesses trade goods and services.
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kendall's company has bought office stationery and business cards from the same printing company for five years. kendall's company recently moved into a bigger office down the street. she called the printing company to order new stationery with the updated address. this is an example of a(n)
This is an example of a Modified Rebuy
Modified Rebuy is a situation in which an individual or an organization rebuys the goods but just makes a few certain changes that are modified in the buying process. These changes can be related to many elements while purchasing it can either be the supplier or some specific elements of previous orders that need changes.
When Kendall's company bought stationary and business cards from the same company and then moved to a bigger office she updated the address of the office which is a change while making the purchase.
Hence, this type of purchasing is an example of Modified Rebuy.
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You can insert only one footnote and one endnote per page
Question 2 options:
True
False
It is a true statement that you can insert only one footnote and one endnote per page.
What do we call a footnote / endnote?On a typical page, this refers to the note printed at the bottom of a page that gives an extra information about something that has been written on that page. It is usually singular and tells about an event, subject or detail that is not important.
We can insert a footnote per page by clicking on the Options button at the top of the header, go to Footer Format and make sure that the footer applies to only this section. Now the footer will be only on that one page.
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ghost riders company has an eps of $1.50 that is expected to grow at 7 percent per year. if the pe ratio is 17.65 times, what is the projected stock price in 5 years? multiple choice $38.43 $34.70 $39.73 $37.13 $32.78
The projected stock price of Ghost riders company in 5 years is $37.13.
Define projected stock price.A projected stock price or price target is an estimate of a security's future price made by an analyst, and it is the level at which the analyst thinks a stock is reasonably valued. It is well known that the stock market is erratic, dynamic, and nonlinear.
Because of several (macro and micro) variables, including politics, international economic conditions, unforeseen occurrences, a company's financial performance, and others, it is very difficult to anticipate stock prices accurately.
Ghost riders company has an eps of $1.50 that is expected to grow at 7% per year.
EPS = $1.50
PE Ratio = 17.65 times
growth rate, g = 7%
EPS5 = EPS * (1 + g)^5
EPS5 = $1.50 × 1.07^5
EPS5= $2.103
Price in 5 years = EPS5 × PE Ratio
Price in 5 years = $2.103 × 17.65
Price in 5 years = $37.13
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value catering uses two measures of activity, jobs and meals, in the cost formulas in its budgets and performance reports. the cost formula for catering supplies is $700 per month plus $85 per job plus $13 per meal. a typical job involves serving a number of meals to guests at a corporate function or at a host's home. the company expected its activity in june to be 26 jobs and 150 meals, but the actual activity was 22 jobs and 147 meals. the actual cost for catering supplies in june was $4,420. the catering supplies in the planning budget for june would be closest to:
A spending plan based on income and costs is called a budget. In other words, it's a projection of your income and expenses for a specific time frame, like a month or a year. (Or, if you're keeping track of the money coming in and going out of your home as a whole, that's a family budget.)
Explain about the Budget?A budget is described as a plan or estimate of how much money will be required to cover living expenses or to be spent for a certain goal.
Answer:
$4821 would be the proper response.
Explanation:
Monthly cost of $700 for catering supplies
$98 for each job Activity
A $13 lunch.
Activities to be anticipated OR the budget for catering items would be:
Job activity anticipated is 26
Meals anticipated = 150
Therefore, the costs related to them are as follows:
Cost of Job Activity Expected = 26 * 85
= 2210
Meal Cost Predicted = 147 * 13
= 1911
Now, the total cost of the catering items in the September planning budget would be:
Catering supplies plus anticipated costs for job activities and meals
= 700 + 2210+ 1911
= $4821
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the 30-year, 5.5 percent bonds issued by modern kitchens pay interest semiannually, mature in four years, and have a $1,000 face value. currently, the bonds sell for $1,020.66. what is the yield to maturity?
Based on the face value of the bond, the yield to maturity, and the term of the bond, the yield to maturity can be found to be 4.92%.
How to find the yield to maturity?The yield to maturity shows the rate of the return that the investors purchasing the bond demand from it. If this rate is lower than the coupon rate, then the selling price of the bond would be higher than the face value.
The formula for the yield to maturity is:
= (Annual coupon + ( Face value - Current market value) / Term till bond maturity) / (Face value + Current market value) / 2)
Coupon payment is:
= 5.5% x 1,000
= $55
Solving for the yield to maturity gives:
= (55 + ( 1,000 - 1,020.66 ) / 4 ) / ( 2,020.66 / 2)
= 4.92%
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edwin owns a smartphone with a digital assistant that recognizes words and phrases and provides appropriate answers to his questions. what technology does the smartphone use to make the assistant respond to edwin?
The technology used by the smartphone to make the assistant respond to edwin is synthesized speech.
Write a short note on speech generating devices.SGDs, or speech-generating devices, are electronic augmentative and alternative communication (AAC) systems designed to complement or substitute speech or writing for people with severe speech impairments, allowing them to verbally communicate. SGDs are also referred to as voice output communication aids. SGDs are significant because they enable individuals to participate actively in communication interactions, which is vital for those who have limited verbal communication options. Although recently utilized for kids with anticipated speech difficulties, they are most beneficial for people with ALS (amyotrophic lateral sclerosis).
SGDs offer a variety of input and display options for users with different skill levels. Only a subset of the available symbols are shown at any given time because certain SGDs have multiple pages of symbols to accommodate numerous utterances.
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for 2020, lydia had adjusted gross income of $60,000 and made the following charitable contributions: cash contribution to her synagogue: $ 1,500 tuition to a private school paid directly to her niece: $ 1,200 contribution to the salvation army: $ 350 cash contribution to a man begging on a freeway off ramp: $ 150 what is the maximum amount that she can deduct as a charitable contribution for 2020?
The maximum amount that she can deduct as a charitable contribution for 2020 is $1850.
1500 was given in cash to her synagogue.
350 has been donated to the Salvation Army.
Total = 1500 + 350
= $1850
A donation or gift made to or for the benefit of an approved organisation is referred to as a charitable contribution. It is given voluntarily and without expecting or receiving anything of comparable worth. reputable organisations.
You must keep a record of any contributions made in cash, check, or other forms of money (regardless of the amount), such as a bank record or a written letter from the qualified organisation specifying the organization's name, the donation's amount, and the date.
Under Section 80G of the Income Tax Act, donations made to specific relief funds and charity organisations may be deducted from income. However, section 80G does not permit deductions for all donations. Only contributions made to specified funds are tax-deductible.
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a specified interval of income to which a specific and unique marginal tax rate is applied is called a. an average tax rate. b. a tax bracket. c. a tax rate. d. a tax base.
The correct answer is Option B.
Your filing status and taxable income determine your tax bracket.
What is marginal tax rate ?The marginal tax rate is the amount of extra tax paid for every additional dollar of income earned. The average tax rate is calculated by dividing total tax paid by total income earned. A marginal tax rate of 10% means that 10 cents of every additional dollar earned is taxed.For each associated bracket, the marginal tax rate formula isMarginal Tax Rate = Tax Paid/ Taxable Income.
The US Progressive marginal tax system has seven tax brackets. Each has a taxable income range with corresponding marginal tax rates. It also establishes the worth of a particular deduction for a taxpayer.To learn more about marginal tax rate refer to :
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giuseppa works for a company that distributes shares of stock to all the employees by placing the stock in a trust. her company has a(n) ownership plan.multiple choice question.401kgainsharingemployee stockprofit sharing
Giuseppa works for a company that distributes shares of stock to all employees by placing the stock in a trust, her company has an employee stock ownership plan.
What is an employee stock ownership plan?An employee stock ownership plan is described as a sort of benefit plan for employees. In this format, the employees of a company receive an ownership interest in the form of stocks that are shared with the employees. It is important to mention that the sharing of the stocks with the employee is a sort of remuneration system. The stocks of the company in such a scenario perform in a better way.
In this scenario, Giuseppa works for a company that shares the stocks with all the employees. The employees are remunerated through the stocks and employees become the shareholders of the company.
It can be concluded that Giuseppa works for a company that distributes shares of stock to all employees by placing the stock in a trust, her company has an employee stock ownership plan.
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true or false: when obtaining an understanding of the control environment, it is important that auditors focus on the substance of controls, rather than their form
It is specifically expected of auditors to comprehend controls that deal with "significant" risks.
Risks of material misstatement that, in the auditor's professional judgment, necessitate special audit consideration are identified and evaluated for these.
Because management controls may be established appropriate policies and procedures but not acted upon, the auditor should focus on the substance of management policies, procedures, and related actions controls rather than their form.
While getting a comprehension of controls pertinent to the review the examiner is expected to?The auditor should follow procedures to acquire sufficient knowledge about the design of the relevant controls pertaining to each of the five internal control components and determine whether they have been put into operation in order to gain an understanding of controls that are relevant to audit planning.
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in 2018, montpelier inc. issued a $100 par value preferred stock that pays a 9 percent annual dividend. due to changes in the overall economy and in the company's financial condition, investors are now requiring a 10 percent return. what price would you be willing to pay for a share of the preferred if you receive your first dividend one year from now?
$90 would you be willing to pay for a share of the preferred if you receive your first dividend one year from now.
Dividend =Par value preferred stock × Annual dividend percentage
Dividend=$100 par value ×9%
Dividend=$9
Price = Dividend ÷ Return percentage
price = $9÷10%
Price = $90
What is dividend and how its work?
A dividend is a portion of a company's profits that is given as either stock or cash to shareholders; it is often paid on a quarterly basis as a gift to investors. The declaration of a company's intention to pay a dividend on a specific date is as good as a promise, unlike the share price, which might fluctuate from day to day.
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when nestle or mcdonald's modify their packaging to use more recyclable material, they are responding to . multiple choice question. consumer safety and security issues environmental concerns investor concerns government pressures
Nestle and McDonald's are changed their packaging to utilize more recyclable materials in response to environmental concerns.
What are environmental concerns?Environmental concerns are the consequences of human activity on the biophysical environment, the majority of which are negative and cause environmental damage. The activity of conserving the natural environment on an individual, corporate, or governmental level for the benefit of both the environment and humanity is known as environmental protection. Environmentalism is a social and environmental movement that tackles environmental challenges via legislative advocacy, education, and action.
Climate change, pollution, environmental degradation, and resource depletion are examples of major current environmental challenges. The conservation movement advocates for the preservation of endangered animals as well as the preservation of ecologically vital natural regions, genetically modified foods, and global warming.
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The complete question is:
"When nestle or McDonald's modify their packaging to use more recyclable material, they are responding to...
a. investor concerns
b. consumer safety and security issues
c. government pressures
d. environmental concerns"
the toso company uses the retail inventory method. the following information is available for the year ended december 31, 2024: costretail inventory 1/1/2024$ 390,000$ 650,000 net purchases for the year1,402,0001,835,000 net markups 75,000 net markdowns 45,000 net sales 1,845,000 applying the conventional retail inventory method, toso's inventory at december 31, 2024, is estimated at:
A sort of inventory estimating approach is the retail inventory method. The retailer employs this technique to calculate both the cost of terminating inventory and the cost of products sold. The retailer keeps track of the products they sell and buy at retail prices.
b. $469,000 . Retail ending inventory: $670,000 Beginning inventory costs $650,000, followed by net purchases of $1,835,000, net markups of $75,000, net markdowns of $45,000, and net sales of $1,845,000.
70% cost ratio (Beginning inventory of $390,000 + net purchases of $1,402,000) $650,000 in initial inventory plus $1,835,000 in net acquisitions plus $75,000 in net markups equals [$650,000]. ending stock at cost: $70,000 multiplied by 70%
Therefore, the merchant can use this inventory approach to calculate the net profit or loss from transactions that were made during the period.
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When the marketing concept is used to make all business decisions, how many functions does marketing serve?.
Promotion, selling, product/service management, marketing information management, pricing, financing, and distribution are the seven essential elements of marketing.You may more effectively focus your efforts and develop plans to support your organization if you are aware of the fundamental components of marketing.
What are the 7 main functions of marketing?Product, pricing, place, and promotion make up the four Ps.They serve as an illustration of a "marketing mix," or the collection of tools and techniques utilized by marketers to accomplish their marketing goals.E initially formally conceived of the 4 Ps in 1960. The marketing idea is the use of marketing data to concentrate on consumer needs and wants in order to design marketing strategies that not only meet customer needs but also achieve organizational goals. The benefit of marketing for your company is that it engages consumers and helps them decide whether to purchase your goods or services.A marketing strategy, which is a component of your business plan, also aids in generating and maintaining demand, relevance, reputation, competitiveness, etc. Production, product, selling, marketing, and society are the top five marketing concepts.Companies apply these five ideas to their product, price, distribution, and marketing strategies. When a business determines the needs of the customer and then creates the products, services, or concepts that will meet those needs (by adhering to the "correct" principle), it is utilizing the marketing concept.The marketing philosophy is focused on providing value in order to satisfy clients, whether they are businesses or consumers.To learn more about marketing functions refer
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a major state university in the south recently raised tuition by 12%. an economics professor at this university asked his students, due to the increase in tuition, how many of you will transfer to another university? one student out of about 300 said that he or she would transfer. based on this information, the price elasticity of demand for education at this university is:
One student in every 300 said he or she would transfer. Based on this data, the price elasticity of demand for education at this university is: highly inelastic.
What is price elasticity?The price elasticity of demand for a good is a measurement of how sensitive the quantity demanded is to its price. When the price of a good rises, the quantity demanded falls for almost all of them, but it falls more for some than others. The price elasticity of demand measures the change in consumption of a product in response to a change in its price. It is expressed mathematically as follows: Price Demand Elasticity = Percentage Change in Quantity Demanded × Percentage Change in Price Price Elasticity is measured. The elasticity of demand refers to the responsiveness of demand to changes in demand determinants. There are three types of demand elasticity, namely
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the following lots of a particular commodity were available for sale during the year: beginning inventory 10 units at $55 first purchase 25 units at $65 second purchase 30 units at $68 third purchase 15 units at $70 the firm uses the periodic system and there are 25 units of the commodity on hand at the end of the year. what is the amount of the inventory at the end of the year using the lifo method?
At the end of the year, there is $1,645 in inventory. Using the average cost approach, the value of the inventory was determined.
The average cost method is what?
The average cost technique of inventory valuation is used to determine the worth of inventories based on those costs. Calculating the average cost is done as follows:
Given:
Average cost = Total cost /Number of units
10 pieces for $55 are in the initial inventory.
Initial investment is 25 units at $65
Purchase number two is 30 units for $68.
The third acquisition is 15 units for $70.
25 units of the commodity are currently in stock.
The attachment calculates the total cost and inventory amount.
We'll figure out the typical price.
This is how the average price will be determined:
Cost on average $5,265 80
Cost on average is $65.8125.
As a result, the closing inventory value will be:
Inventory closing = 25 x $65.8125
Inventory closing = $1,645.31
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tasty tangerine is currently selling 50,000 boxes for $25 per box. variable cost per box is $17 and fixed costs total $260,000. a plan is being considered to spend $60,000 on advertising and reduce the selling price by $2 per box. management believes this plan will increase sales volume by 24,000 boxes. if management's predictions are correct, making these changes will cause net income for the year to blank . multiple choice question. increase by $44,000 increase by $132,000 decrease by $104,000 decrease by $16,000
The income will reduce by $16000
Fixed cost = $260000
Variable cost per box = $17
Total cost for 50000 boxes = 260000 + 17*50000 = 260000 + 850000 = $1110000
Selling price per box = $25
Total revenue from selling 50000 boxes = 50000*25 = $1250000
Profit before advertisement expenditure is incurred = $1250000 - $1110000
= $140000
Expected expense on advertising by tasty tangerine= $60000
The variable cost for 74000 boxes = 74000*17 = 1258000
Total cost after advertising expense = $1258000 + 60000 + 260000 = $1578000
Selling price after $2 reduction = $23
The volume of sales after 24000 boxes increment = 74000 boxes
Total revenue post increment = 74000*23 = $1702000
Net income = $1702000 - $1578000 = $ 124000
Decrease = $140000-$124000 = $16000
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as a project manager, you make considerations when building a team. you decide how many people need to be on the team, what expertise each member will need to complete their tasks, and if they have a personal incentive to work on the project. what else should you consider when building a team?
You should consider team member availability also when building a team.
Building of a team for work is important as a good team will help you expand your work whereas a bad team can make your business go corrupt.
In the above scenario, the project manager has looked upon good aspects to hire a team. However, he should also take into consideration the team members' availability. The proper working times of a team need to be taken into account in order for productivity.
A schedule can be made of the team member's availability and work can proceed on the project accordingly.
Although a part of your question is missing, this might be the correct question:
As a project manager, you make considerations when building a team. you decide how many people need to be on the team, what expertise each member will need to complete their tasks, and if they have a personal incentive to work on the project. what else should you consider when building a team?
-team member availability
-team size
-necessary skill of management
-team member motivation
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how much money must you deposit now at 6% interest compounded quarterly in order to be able to withdraw $3000 at the end of each quarter year for two years? should you deposit more than or less than 24000 now?
To be able to take $3000 at the conclusion of each quarter year for two years, you must deposit money today at 6% interest compounded quarterly. Amount to Deposit is 22794 at this time.
QUARTER YEAR refers to the three-month period in each calendar year that ends on March 31, June 30, September 30, or December 31. (or such part thereof as the case may be for the initial and final Quarter Year periods under this Agreement). Companies can pay quarterly dividends by dividing the fiscal year into quarters, which can give shareholders a consistent flow of cash.
On a company's financial calendar, a quarter is a three-month period that serves as the foundation for recurring financial reports and dividend payments. One-fourth of a year is referred to as a quarter.
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Lillian applies for a job as the chief financial officer (cfo) of delco corporationlillian is excited about the opportunity and feels that she has a pretty good chance of getting the positionjust to make surelillian decides to explore the backgrounds of the decision-makers at delco if lillian knows their interests, she thinks that might increase her chances of making a good impression in the final interview. the decision- makers who will decide whether or not lillian gets the cfo position at delco corporation include:
Lillian applies for a job as the chief financial officer (CFO) of Delco corporationlillian is excited about the opportunity and feels that she has a pretty good chance of getting the position just to make sure the decision-makers who will decide whether or not Lillian gets the CFO position at Delco corporation include. The correct option is D.
What does a CFO do on a daily basis?Building financial models, evaluating and generating financial accounts, and reconciling income and expenses are among the everyday responsibilities of a Chief Financial Officer (CFO).
The CFO is in charge of the company's financial activity. Their responsibilities include watching cash flow, identifying strengths and weaknesses in order to recommend corrective action plans when necessary, and preparing accurate predictions to allow management to make educated decisions about future investments or cuts.
Thus, the ideal option is D.
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