X - COMPANY is working in chocolate industry, the marketing manager executed promotion program for a certain brand of chocolate in December 2020. As a result, the demand for this brand of chocolate was high, whereas the demand for other, comparable chocolate brands was low in same month.
If the X –company plan to make demand forecasting for same brand of chocolate in Dec 2021 in the absence of promotion activity, your recommendation will be:
a.X- company should use the sales data from Dec 2020 to estimate the demand for in Dec 2021.
bX- company should not use the sales data from Dec 2020 to estimate the demand for in Dec 2021.
c.All answers are wrong
d.X- company should use the sales data from Dec 2020, and add 10% as expected increase rate in demand

Answers

Answer 1

If the X –company plan to make demand forecasting for same brand of chocolate in Dec 2021 in the absence of promotion activity, your recommendation will be b. X- company should use the sales data from Dec 2020 to estimate the demand for in Dec 2021.

Demand forecasting is an analytical tool that helps firms forecast how much product they will sell over a given period of time, depending on the business's unique requirements. Demand forecasting also aids in the determination of the amount of inventory that will be required to meet that demand over a given time period. By doing this, businesses may optimize their production schedules, avoid stock shortages or overstocking, and optimize their cash flow. You should not use the sales data from December 2020 to forecast demand for December 2021 because it would not represent the brand's actual demand without promotion activity.

Demand in December 2020 was influenced by a promotion program, therefore relying on this data for demand forecasting would be inaccurate. However, by utilizing sales data from December 2020, businesses can generate accurate predictions of future demand, allowing them to optimize production schedules and inventory management. The most appropriate option is "b. X- company should use the sales data from Dec 2020 to estimate the demand for in Dec 2021."

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Related Questions

you are considering two investment opportunities. for investment a there is a 25% chance that you lose $20,000, a 50% chance that you break even, and a 25% chance that you make $80,000. for investment b there is a 30% chance that you lose $50,000, a 50% chance that you break even, and a 20% chance that you make $180,000. based on the expected value of each, which investment should you make?the expected value of investment a is $.the expected value of investment b is $.based on the expected value, you should make

Answers

Based on the expected value of each investment, you should choose investment B as it has a higher expected value of $23,000 compared to investment A with an expected value of $10,000.

The expected value of investment A can be calculated as:

(0.25 x -20000) + (0.5 x 0) + (0.25 x 80000) = 10000

However, it's important to note that this decision should also take into account other factors such as the level of risk and personal preferences.

The expected value of investment B can be calculated as: (0.3 x -50000) + (0.5 x 0) + (0.2 x 180000) = 23000

Investment A has a higher probability, with a 25% chance of losing $20,000, Investment B has a higher potential loss with a 30% chance of losing $50,000.

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The FDIC insure bank deposits in most things up to a maximum of ___.
a. $100,000
b. $250,000
c. $75,000
d. $50,000

Answers

Answer:

b. $250,000.

The Federal Deposit Insurance Corporation (FDIC) is an independent agency of the United States government that provides deposit insurance to depositors in U.S. banks. The FDIC insures deposits in most banks up to a maximum amount of $250,000 per depositor, per insured bank, for each account ownership category. This means that if you have multiple accounts with different ownership categories in the same bank, each category is separately insured up to the maximum limit.

Define Marketing and briefly explain how your definition relates to a product/service of your choice. Make sure you link all the components of the definition specifically toyour example.

Answers

Marketing is the process of promoting, selling, and distributing a product or service to customers, by understanding their needs and preferences, creating awareness, and building relationships.

A marketing strategy is a comprehensive plan that defines marketing objectives and establishes a roadmap for achieving them. The concept of marketing is to identify consumer needs and satisfy them by delivering a product or service that meets those needs. Marketing is a comprehensive set of activities that entails researching, developing, and selling a product or service to consumers. It involves research, communication, and strategy to achieve its goals.

Let's take the example of a new smartphone to demonstrate the components of this definition.

1. Understanding needs and preferences: The smartphone company first needs to identify its target customers, their needs, and preferences. For example, they might discover that their customers want a device with a long battery life, high-quality camera, and fast processor.

2. Creating awareness: Once the smartphone company knows its target audience and their preferences, it will develop marketing campaigns to create awareness about its product. This may include advertisements on TV, online platforms, social media, or billboards, highlighting the features of the smartphone that appeal to its target customers.

3. Building relationships: Marketing is not just about selling a product, but also building long-term relationships with customers. The smartphone company will engage with its customers through social media, email, and customer support services to maintain a positive brand image and receive feedback to improve its products and services.

4. Promoting and selling: The smartphone company will use various promotional strategies to encourage customers to purchase its product. These strategies might include offering discounts, bundling the smartphone with other products, or providing financing options.

5. Distributing the product: Finally, the smartphone company will ensure that its product is available to customers through various channels such as online stores, retail outlets, and mobile carriers.

In summary, marketing encompasses understanding customer needs and preferences, creating awareness about a product or service (in this case, a smartphone), building relationships with customers, promoting and selling the product, and ensuring its availability through proper distribution channels.

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Discuss the electronic recording of infringements atthe roadside as envisaged in terms of the AdministrativeAdjudication of Road Traffic Offences Act 46 of 1998.

Answers

The Administrative Adjudication of Road Traffic Offences Act (AARTO) Act 46 of 1998 is an electronic record of road infringements at the roadside.

This allows for a streamlined and efficient process that ensures that offenders are held accountable for their actions while also promoting road safety.

The Administrative Adjudication of Road Traffic Offences Act (AARTO) Act 46 of 1998 is a South African law that regulates the manner in which road traffic offenses are managed, adjudicated, and punished in South Africa. The law establishes an administrative system for the adjudication of traffic fines, with the ultimate goal of enhancing road safety through more efficient and effective enforcement of traffic laws.

The electronic recording of infringements at the roadside as envisaged in terms of the Administrative Adjudication of Road Traffic Offences Act 46 of 1998 involves the use of electronic devices such as cameras and handheld devices that allow for the capturing of images and data related to traffic infringements. This data is then transmitted to a central database, which is used to manage the adjudication process. The use of electronic recording devices makes it easier to capture evidence of traffic infringements, which is critical for the effective adjudication of traffic offenses. The process also minimizes the chances of disputes and challenges to fines, as all evidence can be presented electronically, reducing the need for lengthy and costly legal proceedings.

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Under a progressive income tax, who would pay the largest proportion of her income in taxes

Answers

Under a progressive income tax system, the individual who would pay the largest proportion of their income in taxes would be the one with the highest income. This is because they are subject to higher tax rates on a larger portion of their income, resulting in a higher overall tax burden relative to their income.

Under a progressive income tax system, individuals with higher incomes pay a larger proportion of their income in taxes. This system is designed to reduce income inequality and redistribute wealth by taxing higher earners at higher rates.

In this system, tax rates are divided into brackets based on income levels. As one's income increases, they move into higher tax brackets and are subject to higher tax rates. Lower-income individuals are taxed at lower rates, while those with higher incomes pay higher rates on the portion of their income that falls into the higher tax brackets.

For example, let's consider three individuals with different incomes: A earns $25,000, B earns $75,000, and C earns $150,000. In a progressive income tax system, A would pay the lowest tax rate, as their income falls into the lowest bracket. B would pay a higher rate on the portion of their income that exceeds the lower bracket's threshold, and C would pay the highest rate on the portion of their income that falls into the top bracket.

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A sold watch to B at a 20% gain and B sold it to C at a loss of 10%. If C bought the watch for Rs. 216, at what price did A purchase it?


Rs. 150


Rs. 276


Rs. 200


Rs. 216

Answers

A purchased the watch for Rs. 200. Option c is Correct.

A fresh deal for 1,000 aircraft was made by the government. Additionally, you should use "purchase" when you require a noun form, as in the sentence: You made a wise purchase when you bought petrol before the price increased. In conclusion, try to use "buy" for straightforward activities and "purchase" for more official transfers of money for things.

Let's assume that the price at which A purchased the watch is x.

A sold the watch to B at a 20% gain, which means B paid 120% of the price A paid:

120% of x = 1.2x

B sold the watch to C at a loss of 10%, which means C paid 90% of the price B paid:

90% of 1.2x = 1.08x = Rs. 216

Solving for x, we get:

x = Rs. 200

Therefore, A purchased the watch for Rs. 200. Option c is Correct.

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Alpha company loaned $5,000 to beta company on october 1, year 1 at 6% interest. on december 31, year 1 alpha company's financial statements will report accrued interest of ______.

Answers

Alpha company loaned $5,000 to beta company on october 1, year 1 at 6% interest. on december 31, year 1 alpha company's financial statements will report accrued interest of $75.

To calculate the accrued interest on Alpha Company's loan to Beta Company, we'll need to use the following formula:

Accrued Interest = Principal x Interest Rate x Time

Here's a step-by-step explanation:

1. Principal: The amount loaned, which is $5,000.
2. Interest Rate: 6% per year, but we need to convert it to a decimal by dividing by 100. So, 6 ÷ 100 = 0.06.
3. Time: The time period for which the interest is being calculated. Since the loan was given on October 1 and we're calculating the interest until December 31, we have a total of 3 months (October, November, and December). We need to express this in terms of years, so we'll divide 3 by 12 (since there are 12 months in a year). So, 3 ÷ 12 = 0.25.

Now, we can plug these values into the formula:
Accrued Interest = $5,000 x 0.06 x 0.25
Accrued Interest = $5,000 x 0.015
Accrued Interest = $75

On December 31, Year 1, Alpha Company's financial statements will report accrued interest of $75.

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stan's balloon rides had net sales of $280,611 and the cost of goods sold
were $110,900. operating expenses were $45,315 and owner's equity is
$423,600. calculate the return on investment. (round to the nearest tenth)
vered
ked out of
o a. 18.8%
flag question
o b. 24.1%
o c. 29.4%
o d. 28.6%

Answers

The closest answer choice for ROI is 29.4%. The correct answer is c.

To calculate the return on investment (ROI), we need to divide the net income by the total investment, and then multiply by 100 to express it as a percentage.

First, we need to calculate the net income. Net sales minus cost of goods sold equals gross profit. Gross profit minus operating expenses equals net income.

Net sales - Cost of goods sold = Gross profit

$280,611 - $110,900 = $169,711

Gross profit - Operating expenses = Net income

$169,711 - $45,315 = $124,396

Now, we need to calculate the total investment. The total investment includes the owner's equity and any other investments made in the business.

Total investment = Owner's equity + Additional investments

$423,600 + Additional investments = Total investment

Unfortunately, we do not have information on any additional investments, so we cannot calculate the exact ROI. However, we can calculate the minimum ROI based on the given information.

Minimum ROI = Net income / Owner's equity

$124,396 / $423,600 = 0.2937

Multiplying by 100 to express as a percentage gives us:

Minimum ROI = 29.4%

Therefore, the closest answer choice is (c) 29.4%. However, it should be noted that this is the minimum ROI, and the actual ROI may be higher if there are additional investments made in the business.

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What do the graphs tell you about bolivia’s labor force? 75% of bolivians work in services about 1/3rd of bolivians work in agriculture few people in bolivia work in services more bolivians work in industry than in services

Answers

The graphs show that agriculture makes up a sizable component of Bolivia's labour force, which is also significantly represented in the services sector.

The graph shows that the services sector employs the largest proportion of Bolivia's labour force. This shows that the service sector is very important to the economy and employment of the nation. According to the graph, agriculture accounts for a sizable share of the labour force in Bolivia. This shows that agriculture is still a crucial industry for the nation's economy and way of life. The graph does not specify the precise percentage of Bolivians employed in the industrial sector. Because of this, we cannot draw the conclusion that industry employs a smaller number of people than services.

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howdy!

the answer is: B. about 1/3rd of bolivians work in agriculture

Mary deposits her paycheck into a checking account every month, and after paying bills, she consistently has $200 remaining each month. she now has $1,800 excess in her checking account. her bank requires $25 minimum to open a regular savings account, $1,000 to open a money market and $2,500 to open a cd. what would be the best option for her?

Answers

Answer:

6,325

Explanation:

I added it all up in got 6,325

vertical collaboration refers to: question 13 options: collaboration that moves up the supply chain. collaboration among carriers and shippers. collaboration with competitors. collaboration among buyers and sellers in the supply chain.

Answers

Vertical collaboration refers to collaboration that moves up the supply chain. Option 1 is correct.

Vertical collaboration involves cooperation among entities in different stages of the supply chain, such as manufacturers, distributors, and retailers. This collaboration aims to improve efficiency, reduce costs, and enhance the overall performance of the supply chain. For example, a manufacturer may collaborate with its suppliers to improve the quality of raw materials or to reduce delivery times.

Similarly, a retailer may collaborate with its distributors to optimize inventory management and reduce out-of-stock situations. Vertical collaboration can also involve the sharing of information and resources, such as transportation and warehousing, among different entities in the supply chain. By working together, entities in the supply chain can better meet customer demand, improve customer satisfaction, and ultimately increase profitability. Hence Option 1 is correct.

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Coronado Industries reported net income of $0. 65 million in 2022. Depreciation for the year was $104,000, accounts receivable decreased $227,500, and accounts payable decreased $182,000. Compute net cash provided by operating activities using the indirect approach. (Show amounts that decrease cash flow with either a - sign e. G. -15,000 or in parenthesis e. G. -15,000. )

Answers

In 2022, Coronado Industries generated a net cash flow of $0.7045 million from its operating activities.

The statement of cash flows is an important financial statement that provides information on how a company generates and uses cash during a specific period. The statement of cash flows is divided into three sections: operating activities, investing activities, and financing activities.

The operating activities section of the statement of cash flows provides information on how cash was generated or used in the normal course of business, which is considered the most important section of the statement of cash flows.

In the given problem, we are asked to calculate net cash provided by operating activities using the indirect approach. The indirect approach adjusts net income for non-cash items, such as depreciation, and changes in current assets and liabilities to arrive at the net cash provided by operating activities.

Net income for the year 2022 is given as $0.65 million. Depreciation for the year is $104,000, which is a non-cash expense and needs to be added back to net income.

Accounts receivable decreased by $227,500, which means that less cash was collected from customers than the previous year, so it is considered a decrease in cash flow and should be added back.

Accounts payable decreased by $182,000, which means that less cash was paid to suppliers than the previous year, so it is considered an increase in cash flow and should be subtracted.

Using the indirect approach, the net cash provided by operating activities can be calculated as follows:

Net income  [tex]$0.65 \text{ million}$[/tex]

Add: Depreciation  [tex]$0.104 \text{ million}$[/tex]

Less: Decrease in accounts receivable  [tex]$(-0.2275 \text{ million})$[/tex]

Add: Decrease in accounts payable  [tex]$0.182 \text{ million}$[/tex]

Net cash provided by operating activities [tex]$= 0.65 + 0.104 - 0.2275 + 0.182 = \$0.7045 \text{ million}$[/tex]

Therefore, Coronado Industries provided $0.7045$ million in net cash from its operating activities during 2022.

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A granary has two options for a conveyor used in the manufacture of grain for transporting, filling, or emptying. One conveyor can be purchased and installed for $75,000 with $2,500 salvage value after 16 years. The other can be purchased and installed for $120,000 with $2,000 salvage value after 16 years. Operation and maintenance for each is expected to be $21,500 and $12,000 per year, respectively. The granary uses MACRS-GDS depreciation, has a marginal tax rate of 40%, and has a MARR of 9% after taxes.


Determine which alternative is less costly, based upon comparison of after-tax annual worth. Show the AW values used to make your decision:


Conveyor 1: $


Conveyor 2: $

Answers

Conveyor 1 is less costly than Conveyer 2 and to determine which alternative is less costly, we need to calculate the after-tax annual worth (AW) of each conveyor.

For Conveyor 1:
- Initial cost = $75,000
- Salvage value after 16 years = $2,500
- Annual O&M cost = $21,500
- MACRS-GDS depreciation = 14.29%, 24.49%, 17.49%, 12.49%, 8.93%, 8.92%, 8.93% for years 1-7, respectively


- Depreciation tax shield = (0.4)(14.29%)(75,000) + (0.4)(24.49%)(75,000) + (0.4)(17.49%)(75,000) + (0.4)(12.49%)(75,000) + (0.4)(8.93%)(75,000) + (0.4)(8.92%)(75,000) + (0.4)(8.93%)(75,000) = $19,495


- After-tax salvage value = (2,500 - 75,000)(0.6) + 75,000 = $43,000
- Present worth of cash flows = -75,000 + 19,495(P/A,9%,7) + 21,500(P/A,9%,16) + 43,000(P/F,9%,16) = $7,992.11
- AW = $7,992.11/[(P/A,9%,16)] = $1,064.25

For Conveyor 2:
- Initial cost = $120,000
- Salvage value after 16 years = $2,000
- Annual O&M cost = $12,000
- MACRS-GDS depreciation = 14.29%, 24.49%, 17.49%, 12.49%, 8.93%, 8.92%, 8.93% for years 1-7, respectively


- Depreciation tax shield = (0.4)(14.29%)(120,000) + (0.4)(24.49%)(120,000) + (0.4)(17.49%)(120,000) + (0.4)(12.49%)(120,000) + (0.4)(8.93%)(120,000) + (0.4)(8.92%)(120,000) + (0.4)(8.93%)(120,000) = $31,194


- After-tax salvage value = (2,000 - 120,000)(0.6) + 120,000 = $74,000
- Present worth of cash flows = -120,000 + 31,194(P/A,9%,7) + 12,000(P/A,9%,16) + 74,000(P/F,9%,16) = $8,640.36
- AW = $8,640.36/[(P/A,9%,16)] = $1,148.52

Therefore, based on the comparison of after-tax annual worth, Conveyor 1 is less costly with an AW of $1,064.25, compared to Conveyor 2 with an AW of $1,148.52.

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Consider an open economy. if aggregate desired saving is greater than aggregate desired investment, then: a. current account balance is positive b. current account balance is negative c. financial account balance is positive d. interest rate is negative

Answers

Consider an open economy. if aggregate desired saving is greater than aggregate desired investment, then financial account balance is positive. The correct option is c.

In an open economy the ratio of aggregate desired saving to aggregate desired investment indicates that the nation is saving more than it is investing. This suggests that there are excess savings in the economy that are not being put to use as investments.

In a market economy surplus savings can be spent on foreign assets or debt repayment. As a result there would be a capital outflow and a corresponding rise in the balance of the financial accounts.

The domestic economy would also experience a slowdown as a result of excessive savings and low investment which would result in lower imports and a surplus in the current account. The correct option is c.

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Employees at a local lumber company had a percentage of the company's profits placed in their retirement plan when the company exceeded their targets for the year. What type of pay plan is this? Select one: a. team reward b. gainsharing c. profit sharing d. stock options

Answers

The type of pay plan that employees at a local lumber company had a percentage of the company's profits placed in their retirement plan when the company exceeded their targets for the year is profit sharing.

What is Profit Sharing? Profit sharing is a compensation program that companies use to distribute a portion of their profits to their workers. The company's employees receive a percentage of the company's earnings in proportion to their earnings. It provides a financial reward to employees for their contributions to the company's success. The goal of profit-sharing is to improve employee morale and provide an incentive for workers to work more effectively. When the company performs well, employees receive a portion of the profits.

In contrast, if the company performs poorly, employees will not receive a profit-sharing bonus. The workers at the local lumber company had a percentage of the company's profits placed in their retirement plan when the company exceeded their targets for the year is called profit sharing.

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Which is true of the process for obtaining an ipaws training and demonstration environment (ipaws lab) certificate? a. it is issued to acknowledge successful use of the ipaws training and demonstration environment b. one can obtain it only after using the ipaws training and demonstration environment (ipaws lab) for the number of hours designated in the state, local or tribal plans, policies, and procedures c. it is required to use the ipaws training and demonstration environment (ipaws lab) d. it is awarded to all who sign a memorandum of agreement (moa) and become a part of a collaborative operating group (cog)

Answers

The true statement regarding the process for obtaining an IPAWS Training and Demonstration Environment (IPAWS Lab) certificate is: that it is required to use the IPAWS Training and Demonstration Environment (IPAWS Lab). The correct option is C.

This certificate ensures that individuals have the necessary knowledge and skills to effectively use the IPAWS Lab. It is not issued to acknowledge successful use, nor is it based on the number of hours designated in state, local, or tribal plans.

Additionally, it is not awarded to all who sign a Memorandum of Agreement (MOA) and become part of a Collaborative Operating Group (COG). The main purpose of the certificate is to ensure proper training and competency in using the IPAWS Lab environment. The correct option is C.

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Complete question:

Which is true of the process for obtaining an ipaws training and demonstration environment (ipaws lab) certificate?

a. it is issued to acknowledge successful use of the ipaws training and demonstration environment

b. one can obtain it only after using the ipaws training and demonstration environment (ipaws lab) for the number of hours designated in the state, local or tribal plans, policies, and procedures

c. it is required to use the ipaws training and demonstration environment (ipaws lab)

d. it is awarded to all who sign a memorandum of agreement (moa) and become a part of a collaborative operating group (cog)

Carla Vista Co. Has these comparative balance sheet data:



CARLA VISTA CO.



Balance Sheets



December 31



2022 2021



Cash $ 16,140 $ 32,280



Accounts receivable (net) 75,320 64,560



Inventory 64,56 53,800



Plant assets (net) 215,200 193,680



$371,220 $344,320



Accounts payable $ 53,800 $ 64,560



Mortgage payable (15%)107,600 107,600



Common stock, $10 par 150,640 129,120



Retained earnings 59,180 43,040



$371,220 $344,320



Additional information for 2022:



1. Net income was $32,500.



2. Sales on account were $392,900. Sales returns and allowances amounted to $27,300.



3. Cost of goods sold was $217,300.



4. Net cash provided by operating activities was $57,200.



5. Capital expenditures were $30,000, and cash dividends were $19,000.



Compute the following ratios at December 31, 2022. (Round current ratio and inventory turnover to 2 decimal places, e. G. 1. 83 and all other answers to 1 decimal place, e. G. 1. 8. Use 365 days for calculation. )



(a) Current ratio



(b) Accounts receivable turnover.



(c) Average collection period.



(d) Inventory turnover.



(e) Days in inventory.



(f) Free cash flow

Answers

The Current ratio is; 2.90, Accounts receivable turnover is 5.23, the Average collection period is 69.79,  Inventory turnover is 3.67, Days in inventory will be 99.46, and the Free cash flow is $8,200.

Current ratio;

Current ratio =Current assets/Current liabilities

Current assets = Cash + Accounts receivable (net) + Inventory = $16,140 + $75,320 + $64,560 = $156,020

Current liabilities = Accounts payable = $53,800

Current ratio = $156,020 / $53,800

= 2.90

Accounts receivable turnover;

Accounts receivable turnover =Net credit sales/Average accounts receivable

Net credit sales =Sales on account - Sales returns and allowances = $392,900 - $27,300 = $365,600

Average accounts receivable = (Beginning accounts receivable + Ending accounts receivable) / 2 = ($64,560 + $75,320) / 2

= $69,940

Accounts receivable turnover = $365,600 / $69,940

= 5.23

Average collection period;

Average collection period =365 days/Accounts receivable turnover

Average collection period = 365 / 5.23

= 69.79

Inventory turnover;

Inventory turnover = Cost of goods sold/Average inventory

Average inventory = (Beginning inventory + Ending inventory) / 2 = ($53,800 + $64,560) / 2

= $59,180

Inventory turnover = $217,300 / $59,180

= 3.67

Days in inventory;

Days in inventory = 365 days/Inventory turnover

Days in inventory = 365 / 3.67 = 99.46

Free cash flow;

Free cash flow =Net cash provided by operating activities-Capital expenditures - Cash dividends

Free cash flow = $57,200 - $30,000 - $19,000

= $8,200

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ou purchased one silver future contract at $2 per ounce. what would be your profit (loss) at maturity if the silver spot price at that time is $3.50 per ounce? assume the contract size is 5,000 ounces and there are no transactions costs.

Answers

If you purchased one silver futures contract at $2 per ounce and the silver spot price at maturity is $3.50 per ounce, your profit would be $7,500.

If you purchased one silver future contract at $2 per ounce, and the silver spot price at maturity is $3.50 per ounce, your profit would be:

Profit per ounce = Spot price - Futures price

Profit per ounce = $3.50 - $2 = $1.50

Profit for 1 contract (5,000 ounces) = Profit per ounce * Contract size

Profit for 1 contract = $1.50 * 5,000 = $7,500

This is calculated by taking the difference between the contract price and the spot price, which is $1.50 per ounce.

Multiply that by the contract size of 5,000 ounces, and you get a profit of $7,500. Futures contracts allow traders to profit from price movements without actually taking physical delivery of the underlying commodity. In this case, you would have made a profit by buying the futures contract at a lower price and selling it at a higher price, without ever having to handle the physical silver.

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which of the following best describes the law of diminishing returns: a. a firm will incur an increase its variable costs when it hires a new employee b. a firm will realize a decline in output when it hires a new employee c. a firm will realize a smaller increase in output when it hires a new employee d. a firm will increase its total costs when it hires a new employee

Answers

A firm will incur an increase its variable costs when it hires a new employee best describes the law of diminishing returns. The right answer is a.

An economic theory known as the law of diminishing returns states that once an optimal level of capacity is achieved, adding more factors of production will really only lead to smaller improvements in output.

The addition of any more of a production element after a certain level of capacity utilization would unavoidably result in lower per-unit incremental returns. In the near run, increased input has the effect of decreasing marginal returns wherein at least one production variable, such as labour or capital, is held constant.

The correct answer is option a.

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in the early 20th century, which of the following is a characteristic of a prepaid group practice?insurance company reimburses beneficiary for out-of-pocket expensesphysician is paid a flat fee per person regardless of services renderedphysicians are employees of the hmophysicians are paid for the specific services they render

Answers

The characteristic of a prepaid group practice in the early 20th century was that physicians were paid a flat fee per person regardless of services rendered. So, correct option is B.

This means that a patient would pay a fixed amount for healthcare services, and the physician would provide all necessary medical care within that fee.

Prepaid group practices were a precursor to health maintenance organizations (HMOs) and were designed to provide affordable healthcare to working-class families who could not afford traditional fee-for-service medical care.

This system was established by the Ross-Loos Medical Group in Los Angeles in the 1920s and became popular in the 1930s and 1940s. In a prepaid group practice, patients paid a fixed fee to a medical group that would provide all necessary medical care, including hospitalization and specialist services.

Physicians were salaried employees of the medical group and were incentivized to keep patients healthy and prevent illness, rather than treating them only when they were sick. This model laid the foundation for the development of managed care organizations like HMOs in the mid-20th century.

So, correct option is B.

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which of the following market structures will have lower prices in the long run than monopoly, ceteris paribus? group of answer choices perfect competition, oligopoly, and monopolistic competition. perfect competition, but not oligopoly or monopolistic competition. perfect competition and oligopoly, but not monopolistic competition. oligopoly and monopolistic competition, but not perfect competition.

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In perfect competition, there are a large number of firms competing in the market, and each firm has no control over the price of the product.

In perfect competition price is determined by the market forces of supply and demand. This means that firms have to compete based on the quality of their product, customer service, and other non-price factors. In oligopoly, there are a small number of firms that dominate the market, and they have some control over the price of the product.

In monopolistic competition, there are many firms competing in the market, but each firm has some control over the price of its product. This is because each firm sells a differentiated product, which means that they have some market power.

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Mr. Hayes plans to pay $100,000 for one of three investment alternatives that have the same risk. The income from investment 1 would be taxed at Mr. Hayes' 25% regular tax rate, the income from investment 2 would be taxed at a 15% preferential rate, and the income from investment 3 is tax-exempt. The investments offer the following before-tax yields. Investment 1: 8. 25% Investment 2: 7. 00% Investment 3: 6. 25% Which investment should Mr. Hayes select

Answers

All three investments have the same risk, Mr. Hayes should select the investment with the highest after-tax yield, which is Investment 1 with an after-tax yield of 6.1875%. Therefore, Mr. Hayes should select Investment 1.

Here are the calculations for each investment option:

Before-tax yield refers to the total amount of income or return earned on an investment before any taxes are paid. It is the rate of return that an investment generates based on its income or capital gains. This is the rate at which an investor is compensated for their investment without taking into account any tax liabilities. Once taxes are taken into account, the after-tax yield is calculated.

Investment 1:

Before-tax yield: 8.25%

After-tax yield: 8.25% * (1 - 0.25) = 6.1875%

Investment 2:

Before-tax yield: 7.00%

After-tax yield: 7.00% * (1 - 0.15) = 5.95%

Investment 3:

Before-tax yield: 6.25%

After-tax yield: 6.25% * (1 - 0) = 6.25%

Given that all three investments have the same risk, Mr. Hayes should select the investment with the highest after-tax yield, which is Investment 1 with an after-tax yield of 6.1875%. Therefore, Mr. Hayes should select Investment 1.

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3 Incorrect Caroline and Gustavo live together. Every Saturday, one of them goes shopping, alternatively. Their purchases are however not identical. At price CHF 5 per kilogram, the average price observed on the market, Caroline buys 500 grams of potatoes and Gustavo 1000 grams. At price CHF 4 per kilogram, Caroline buys 800 grams of potatoes and Gustavo 1200 grams. What is the price elasticity of demand for their average purchases of potatoes, when they cost CHF 4 per kilogram (in absolute value)? Mark 0. 0 out of 1. 0 Flag question Answer: 2 x The correct answer is: 1

Answers

Since the price elasticity of demand for potatoes is greater than 1, we can infer that consumer demand is elastic, meaning that a drop in price will result in a disproportionately large increase in the amount demanded.

The following formula elasticity can be used to determine the percentage change in potatoes quantity requested for each individual: In regards to Caroline:

Initial quantity requested (at CHF 5 per kilogram) equals 500 grams plus 800 grams, or 1300 grams. At CHF 4 per kilogram, the new quantity required is equal to 260 kg (500 grams at CHF 5 per kilogram plus 800 grams at CHF 4 per kilogram). Demand quantity change as a percentage: (260 - 1300)/1300 * 100% = -80.77%

Gustavo's benefit:

Initial quantity requested (at CHF 5 per kilogram) equals 1000 grams plus 1200 grams, or 2200 grams.

New quantity required (at CHF 4 per kilogram) equals 1000 grams at CHF 5 per kilogram plus 1200 grams at CHF 4 per kilogram for a total of 360 kg.

Demand quantity change as a percentage: (360 - 2200)/2200 * 100% = -83.64%

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A process is considered to be minimally capable if itsprocess capability index is:a. Not less than 1.0b. Less than 1.0c. Between -1.0 and +1.0d. Greater than 2.0

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A process is considered to be minimally capable if its process capability index is less than 1.0. Option B is the answer.

The process capability index, also known as CpK, is a statistical measure of the ability of a system to produce output that satisfies customer specifications. It is used to quantify how well a process performs relative to its customer requirements, as well as to compare different processes.

A process capability index of at least 1.0 is considered to be adequate. If the process capability index is less than 1.0, the process is deemed to be minimally capable, which means that it cannot meet customer requirements to the extent that is needed.

Therefore, the correct answer is option B: Less than 1.0.

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you expect that a share of auto parts inc. is paying a dividend of $1.1 in one year and that dividends are growing steadily at a rate of 2.2% per year. what is the value of a share of the firm? assume an interest rate of 8.6%. enter your answer in dollars rounded to 2 decimal places

Answers

The value of a share of Auto Parts Inc. is $18.17.

To calculate the value of a share of Auto Parts Inc., we can use the dividend discount model, which values a stock based on the present value of its future dividends. Using the formula D1 / (r - g), where D1 is the expected dividend in year one, r is the required rate of return or interest rate, and g is the expected growth rate of the dividend, we can calculate the value of the share.

Plugging in the given values, we get:

Value of the share = $1.1 / (0.086 - 0.022) = $18.17 (rounded to 2 decimal places)

Therefore, the value of a share of Auto Parts Inc. is $18.17 under the given assumptions. This means that if the stock is currently trading at a price lower than $18.17, it may be undervalued and could potentially be a good investment opportunity. However, if the stock is trading at a price higher than $18.17, it may be overvalued and could potentially be a risky investment.

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assume you own shares in walmart and that the company currently earns $5.20 per share and pays annual dividend payments that total $3.00 a share each year. calculate the dividend payout for walmart. (enter your answer as a percent rounded to 2 decimal places.)

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If the company currently earns $5.20 per share and pays annual dividend payments that total $3.00 a share each year the dividend payout for walmart is 57.69%

The dividend payout ratio is the proportion of earnings that a company distributes as dividends to its shareholders. It can be calculated as follows:

Dividend payout ratio = Annual dividends per share / Earnings per share

In this case, we are given that Walmart earns $5.20 per share and pays annual dividends of $3.00 per share. Therefore:

Dividend payout ratio = $3.00 / $5.20 = 0.5769 or 57.69%

This means that Walmart distributes 57.69% of its earnings as dividends to its shareholders.

To answer the question, we just need to provide the dividend payout as a percentage rounded to two decimal places, which is 57.69%.

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state the theory concept approach of business structure

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The theory concept approach of business structure refers to the process of selecting and organizing the most suitable organizational structure for a company.

The theory concept approach of business structure involves considering various factors such as the company's goals, size, and industry to determine the most effective way to allocate resources, delegate responsibilities, and facilitate communication. The main steps in this approach are:
1. Identify the company's objectives and strategies: Understand the goals and plans of the business to help determine the appropriate structure.
2. Evaluate the external environment: Analyze the industry, competition, and market trends to identify the optimal structure that allows for flexibility and adaptability.
3. Assess the internal resources: Examine the company's resources, including human capital, financial capabilities, and technological assets, to establish a structure that best utilizes them.
4. Choose the appropriate business structure: Select the most suitable structure, such as functional, divisional, matrix, or network, based on the gathered information.
5. Implement the chosen structure: Integrate the new structure into the company's operations and processes, ensuring that it is properly communicated and understood by all employees.
6. Monitor and adjust the structure as needed: Regularly evaluate the effectiveness of the business structure and make adjustments as necessary to remain competitive and efficient in the market.

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On December 31, 2020, Dow Steel Corporation had 780,000 shares of common stock and 318,000 shares of 10%, noncumulative, nonconvertible preferred stock issued and outstanding. Dow issued a 5% common stock dividend on May 15 and paid cash dividends of $580,000 and $87,000 to common and preferred shareholders, respectively, on December 15, 2021.



On February 28, 2021, Dow sold 68,000 common shares. In keeping with its long-term share repurchase plan, 5,000 shares were retired on July 1. Dow's net income for the year ended December 31, 2021, was $3,000,000. The income tax rate is 25%. Also, as a part of a 2020 agreement for the acquisition of Merrill Cable Company, another 24,000 shares (already adjusted for the stock dividend) are to be issued to former Merrill shareholders on December 31, 2022, if Merrill's 2022 net income is at least $680,000. In 2021, Merrill's net income was $810,000.



As part of an incentive compensation plan, Dow granted incentive stock options to division managers at December 31 of the current and each of the previous two years. Each option permits its holder to buy one share of common stock at an exercise price equal to market value at the date of grant and can be exercised one year from that date. Information concerning the number of options granted and common share prices follows:



Options Granted



Date Granted (adjusted for the stock dividend) Share Price



December 31, 2019 25,000 $ 42



December 31, 2020 20,000 $ 51



December 31, 2021 23,500 $ 50



The market price of the common stock averaged $50 per share during 2021.



On July 12, 2019, Dow issued $1,000,000 of convertible 8% bonds at face value. Each $1,000 bond is convertible into 25 common shares (adjusted for the stock dividend).



Required:



Compute Dow's basic and diluted earnings per share for the year ended December 31, 2021

Answers

To compute Dow's basic and diluted earnings per share for the year ended December 31, 2021, we first need to determine the weighted average number of common shares outstanding during the year.

Weighted Average Shares Outstanding:
Initial shares: 780,000
Stock dividend (5%): 39,000
Shares sold on Feb 28: 68,000
Shares retired on July 1: -5,000

Weighted average shares outstanding: 882,000

Basic Earnings Per Share (EPS):
Net income: $3,000,000
Basic EPS = Net Income / Weighted Average Shares Outstanding
Basic EPS = $3,000,000 / 882,000
Basic EPS = $3.40

Now let's calculate the diluted EPS, considering the convertible bonds and stock options:

Convertible Bonds:
Each $1,000 bond is convertible into 25 common shares.
Total convertible shares: ($1,000,000 / $1,000) * 25 = 25,000 shares
Adjusted net income for conversion: $3,000,000 + ($1,000,000 * 8% * (1 - 0.25)) = $3,060,000

Stock Options:
Only the options granted on December 31, 2021, affect the calculation.
Additional shares for options: 23,500

Total diluted shares outstanding: 882,000 + 25,000 (bonds) + 23,500 (options) = 930,500

Diluted EPS = Adjusted Net Income / Total Diluted Shares Outstanding
Diluted EPS = $3,060,000 / 930,500
Diluted EPS = $3.29

In conclusion, Dow's basic earnings per share for the year ended December 31, 2021, is $3.40, and the diluted earnings per share is $3.29.

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the the mpc, the greater the tax cut needed to induce a specific initial increase in consumption.

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This statement is in reference to the concept of the marginal propensity to consume (MPC), which measures the percentage of an increase in income that is spent on consumption.

As the MPC increases, individuals are more likely to spend a larger proportion of their income on goods and services, rather than saving it.

In terms of tax cuts, if the goal is to induce a specific initial increase in consumption, a greater tax cut would be needed if the MPC is higher. This is because a higher MPC means that more of the additional income from the tax cut will be spent on consumption, rather than being saved or used to pay off debts.

For example, if the MPC is 0.8, meaning that for every $1 increase in income, $0.80 is spent on consumption, then a $100 tax cut would lead to an initial increase in consumption of $80. However, if the MPC is 0.6, meaning that for every $1 increase in income, $0.60 is spent on consumption, then a $100 tax cut would only lead to an initial increase in consumption of $60. Therefore, a greater tax cut would be needed to induce the same initial increase in consumption if the MPC is higher.

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On January 1, 2021, Labtech Circuits borrowed $220,000 from First Bank by issuing a three-year, 9% note, payable on December 31, 2023. Labtech wanted to hedge the risk that general interest rates will decline, causing the fair value of its debt to increase. Therefore, Labtech entered into a three-year interest rate swap agreement on January 1, 2021, and designated the swap as a fair value hedge. The agreement called for the company to receive payment based on an 9% fixed interest rate on a notional amount of $220,000 and to pay interest based on a floating interest rate tied to LIBOR. The contract called for cash settlement of the net interest amount on December 31 of each year.




Floating (LIBOR) settlement rates were 9% at inception and 10%, 8%, and 8% at the end of 2021, 2022, and 2023, respectively. The fair values of the swap are quotes obtained from a derivatives dealer. These quotes and the fair values of the note are as follows:




January 1 December 31



2021 2021 2022 2023



Fair value of interest rate swap 0 $(3,759) $2,935 $0



Fair value of note payable $300,000 $296,241 $302,935 $300,000




Required:



a. Calculate the net cash settlement at the end of 2021, 2022, and 2023.



b. Prepare the journal entries during 2021 to record the issuance of the note, interest, and necessary adjustments for changes in fair value.



c. Prepare the journal entries during 2022 to record interest, net cash interest settlement for the interest rate swap, and necessary adjustments for changes in fair value.



d. Prepare the journal entries during 2023 to record interest, net cash interest settlement for the interest rate swap, necessary adjustments for changes in fair value, and repayment of the debt

Answers

The accounting treatment for the fair value hedge involves calculating the fair value of the note and the fair value of the interest rate swap agreement at the end of each year, and recording the changes in fair value in the income statement.

The fair value of the note is calculated using the present value formula, assuming that market interest rates have declined to 8% at the end of each year. The fair value of the swap is calculated using the formula for the fair value of a swap, which takes into account the notional amount, fixed rate, and floating rate.

Since the swap is a fair value hedge, any gains or losses on the swap will be offset by changes in the fair value of the note. Therefore, the net effect on the income statement will be the change in fair value of the note.

Based on the calculations, the net effect on the income statement for the three-year period is a loss of $3,959.10.

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