The owner of a large machine shop has just finished its financial analysis from the prior fiscal year. Following is an excerpt from the final report: Net revenue $ 375,000 Cost of goods sold 322,000 Value of production materials on hand 42,500 Value of work-in-process inventory 37,000 Value of finished goods on hand 12,500 a. Compute the inventory turnover ratio (ITR). (Round your answer to 1 decimal place.) Inventory turnover ratio per year b. Compute the weeks of supply (WS). (Do not round intermediate calculations. Round your answer to 1 decimal place.) Weeks of supply

Answers

Answer 1

Answer:

The firm turnover: is 8.1

while the weeks of supply are 6.19

Explanation:

[tex]\frac{COGS}{Average Inventory} = $Inventory Turnover[/tex]

​where:

[tex]$$Average Inventory=(Beginning Inventory + Ending Inventory)/2[/tex]

37,000 + 42,500 = 79,500 / 2 = 39,750

Inventory TO 322,000 / 39,750 = 8,100

cost of good sold: 322,000 / 52 = 6,192 inventory sold per week

inventory at hand 42,500

42,500 / 6,192 = 6,86

Answer 2
Final answer:

To calculate the inventory turnover ratio, the average inventory and COGS is used, and for weeks of supply, the ITR is converted using the number of weeks in a year.

Explanation:

To compute the inventory turnover ratio (ITR), we must first determine the cost of goods sold (COGS) and the average inventory for the period. The value of starting inventory plus the value of ending inventory, divided by 2, gives us the average inventory. In this scenario, the average inventory is calculated as the sum of the value of production materials on hand, the value of work-in-process inventory, and the value of finished goods on hand, all divided by 2. The ITR is then found by dividing the COGS by the average inventory.

For the weeks of supply (WS), we convert the ITR into how many weeks' worth of inventory is present on average by dividing the number of weeks in a year, which is 52, by the ITR.


Related Questions

Derk owns 250 shares of stock in Rose Corporation. The remaining 750 shares of Rose are owned as follows: 150 by Derk’s daughter, 200 by Derk’s aunt, and 400 by a partnership in which Derk has an 80% interest. Determine the number of shares Derk owns (directly and indirectly) in Rose Corporation.

Answers

Answer:

720 shares

Explanation:

Given that,

Derk owns = 250 shares of stock in Rose Corporation

750 shares of Rose are owned as follows:

Derk’s daughter owns = 150

Derk’s aunt = 200

Shares in the partnership holding:

= 400 shares × Interest

= 400 shares × 80%

= 320 shares

Therefore,

Number of shares Derk owns in Rose Corporation:

= Own shares + Daughter's shares + Shares in the partnership holding

= 250 + 150 + 320

= 720

Owners of business firms are the only people who need accounting information. Group of answer choices False True

Answers

Answer:

False

Explanation:

There are basically two users who are needed the accounting information

1. External users: The internal users are the users who are outside the business entity. It comprises of suppliers, customers, government agencies, investors, financial institution, etc

2. Internal users: The internal users are the users who are inside the business entity. It comprises of owners, employees, managers. etc

Therefore, all the kind of users are needed the accounting information

You sold short 200 shares of common stock at $60 per share. The initial margin is 60%. Your initial investment was
A) $4,800
B) $12,000
C) $5,600
D) 7200 or 7300

Answers

Answer:

D) 7200 or 7300

Explanation:

Initial Margin Rate = 60%

No. of Shares sold = 200

Price of Shares = $60

Amount of Sale = 200 x $60 = $12,000

Initial Investment = Amount of Sale x Initial Margin

Initial Investment = $12,000 x 60%

Initial Investment = $7,200

So the correct option is D) 7200 or 7300 as Initial margin is the minimum amount as a security required to trade in the market. An investor required 60% of the deal to deposit as Initial margin.

Final answer:

The question is about the calculations involved in stock trading. Given the data provided, the initial investment for selling short 200 shares at $60 per share with a margin of 60% would be $7,200.

Explanation:

The subject of this question is related to finance, specifically stock trading. The term common stock refers to shares in a company that provide the holder with voting rights in company decisions, while initial margin refers to the percentage of the total cost of an investment that must be covered by cash or collateral when using borrowed funds to purchase the investment. If you sold short 200 shares at $60 per share, the total value of the trade would be $12,000 (200 shares * $60). Given the initial margin of 60%, your

investment

would be 60% of $12,000, which equals $7,200. Therefore, the correct answer would be D) $7,200.

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Based on your understanding of growing annuities, is the statement below true or false? While analyzing a growing annuity, you need to express the interest rate, the future value, and the payment in real and not nominal terms.a. Trueb. False

Answers

Answer:

The correct answer is letter "B": False.

Explanation:

Annuities are payments made after certain equally distributed periods. A growing annuity or an increasing annuity is an annuity in which payment grows at a particular constant rate. Growing annuities can be calculated at Present Value or Future value -not necessarily both.

Final answer:

The statement is false. When analyzing a growing annuity, it's not always required to express the interest rate, the future value, and the payment in real terms. It depends on the specifics of the analysis being conducted and the type of growth.

Explanation:

The statement that while analyzing a growing annuity, you need to express the interest rate, the future value, and the payment in real and not nominal terms is considered false. In financial concepts, it is not always required to express these variables in real terms. It would depend on the specifics of the analysis being conducted and the type of the growth being considered. Nominal terms include the impact of inflation whereas real terms are adjusted to remove the effects of inflation. For a growing annuity where each payment is assumed to grow at a constant rate, calculations may involve both real and nominal terms depending on the scenario.

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Categorize each statements as a component of Gross Domestic Product (GDP): consumption, investment, government, or net exports. If it is not included in GDP, leave it unplaced. Consumption Investment Goverment Net exports Answer Bank

Answers

Answer:

'Government Expenditure' not 'Government' is a component of GD[

Explanation:

GDP is the total value of goods & services produced in an economy during an year.

As per Expenditure method :

It is calculated as 'expenditure' done by all sectors of economy as "one person expenditure is other person income". 4 sectors are : households , firms, government ,rest of the world. Their respective demand expenditures are : Private Final Consumption Expenditure , Government Final Consumption Expenditure, Investment (Gross domestic Capital Formation) , Net Exports.

Answer:

Government expenditure---> total government spending on goods and services

net exports--->value of exports minus the value of imports

investment-->investment spending by business on new capital goods

consumption-->the amount households spend on consumer goods and services

Explanation:

Edmentum agreed with me.  ;)

According to an integrated marketing communications planning model, which of the following activities is best associated with the step "integrate and implement marketing communications strategies"?

Answers

Answer:

Purchasing the media space as well as time

Explanation:

IMC stands for the Integrated Marketing Communication, is the plan or an approach that accomplish the goals of the campaign of the marketing, through the well coordinated use of the different methods of the promotional, which are intended to reinforce with each other.

The activity which best states or linked with the step of implement and integrate the strategies of the marketing communications, is to buy the media space as well as time in order to promote the product or service.

Final answer:

Integrating and implementing marketing communications strategies involves using various communication channels cohesively to create a synergistic marketing campaign that effectively reaches and resonates with the target audience, considering factors like medium effectiveness and audience engagement.

Explanation:

The step "integrate and implement marketing communications strategies" in an integrated marketing communications planning model involves combining various communications channels and tactics to ensure a coherent and synergistic approach to a campaign. This step ensures that all modes of communication—whether social media, textual or non-textual media like images and videos—are effectively used to convey the campaign's message. The integration looks at the effectiveness of combining these modes and assesses how well they reach and resonate with the intended audience.

It considers the appropriateness of the chosen media to support the argument or objective of a marketing campaign. For instance, a campaign promoting healthy eating might utilize songs, flyers, and social media to create a cohesive message that encourages healthy dietary choices. Each piece of the campaign must work together seamlessly to inform, persuade, or remind the target audience about the campaign’s key messages and goals.

The approach takes into account the insights from research, current best practices, and how to build upon or differentiate from existing efforts. It is the comprehensive execution of the campaign, ensuring the strategy is implemented across the selected channels to effectively communicate and engage with the audience.

Productivity can be improved​ by: A. decreasing outputs while holding inputs steady. B. increasing inputs while holding outputs steady. C. decreasing inputs while holding outputs steady. D. increasing inputs and outputs in the same proportion. E. None of the above.

Answers

Answer and Explanation:

C. decreasing inputs while holding outputs steady

Final answer:

Productivity can be improved by decreasing inputs while holding outputs steady.

Explanation:

The correct answer to the question is option C: decreasing inputs while holding outputs steady.

Productivity can be improved by decreasing inputs while holding outputs steady. This means finding ways to produce the same or better outputs with fewer resources, such as reducing waste, streamlining processes, or implementing more efficient technologies.

For example, a manufacturing company may invest in new machines or equipment that require less energy or manpower to produce the same number of products. By reducing the inputs required, they can improve their productivity without affecting the outputs.

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Klingon Widgets, Inc., purchased new cloaking machinery three years ago for $4.4 million. The machinery can be sold to the Romulans today for $6.6 million. Klingon’s current balance sheet shows net fixed assets of $3.2 million, current liabilities of $750,000, and net working capital of $134,000. If all the current accounts were liquidated today, the company would receive $865,000 cash. a. What is the book value of Klingon’s total assets today? (Do not round intermediate calculations and enter your answer in dollars, not millions of dollars, rounded to the nearest whole number, e.g., 1,234,567.) b. What is the sum of the market value of NWC and the market value of fixed assets? (Do not round intermediate calculations and enter your answer in dollars, not millions of dollars, rounded to the nearest whole number, e.g., 1,234,567.)

Answers

Final answer:

The book value of Klingon's total assets today is $3,334,000. The sum of the market value of net working capital and fixed assets is $7,465,000.

Explanation:

Let's begin by addressing part a of the student's question.

The book value of Klingon’s total assets today is the sum of its net fixed assets and its net working capital (NWC). This is given by the following calculation:

Book Value of Total Assets = Net Fixed Assets + Net Working Capital

Book Value of Total Assets = $3,200,000 (from net fixed assets) + $134,000 (from net working capital) = $3,334,000.

Now, let's continue with part b of the question.

The sum of the market value of NWC and the market value of fixed assets can be calculated by adding the market value of the fixed assets (what they can be sold for today) and the cash that would be received if all current accounts were liquidated (which is effectively the market value of NWC). This is given by:

Sum of Market Values = Market Value of Fixed Assets + Market Value of NWC

Sum of Market Values = $6,600,000 (market value of machinery) + $865,000 (cash on liquidation of current accounts) = $7,465,000.

The screening process involves . A. choosing a setting to have group B. deciding how to publicize C. choosing a co-leader D. interviewing potential group members

Answers

Answer:

The correct answer is D

Explanation:

Screening process is the procedure which is used to evaluate the applicant qualifications for the job and the potential job fit for the position to which the person applied for. It involves or a variety of the elements like the skills grounded assessments, pre employment testing and interviewing candidate.

Under this process, the applicant profile is evaluated in order to check the eligibility of the applicant for the job. So, it involves interviewing the potential group members.

The screening process in group formation includes selecting potential leaders, making key decisions, and maintaining group member behavior, with leaders emerging based on communicative behaviors and contributions.

The screening process for group formation involves various stages, including choosing leaders, making decisions, and controlling the behaviors of group members. A group leader may be formally designated or may emerge naturally during early group meetings. When interviewing potential group members, it's important to recruit people who are culturally sensitive and have good social skills to ensure participants feel at ease.

During the first stage of leadership emergence, communicative behaviors are key in determining who will continue to be considered for a leadership role. This stage involves a level of formality and guarded interaction as participants navigate the early dynamics of group formation. Ultimately, the goal is to establish group boundaries, define roles, and set the direction for task accomplishment.

Portfolio income included all of the following EXCEPT:

a. Royalties not derived in the ordinary course of the trade or business
b. Dividends from accumulated earnings and profits of an S corporation
c. Guaranteed payments received by a partner
d. Interest

Answers

Answer:

Guaranteed payments received by a partner

Explanation:

Guaranteed payments from a partner is considered as passive income.

Portfolio income is income from various investments including shares, mutual funds, annuity, and shares. Such as interest, dividends, royalties, capital gains from stock sales.

The other types of income are earned income and passive income.

Portfolio income includes many types of income but one income it does not include is c. Guaranteed payments received by a partner.

Portfolio income:

Includes income that one earns from investments in companies they do not actively participate in. Includes royalties, dividends, and interest payments.

Guaranteed payments to partners are income that are derived from a person actively involved in a company and so will not be considered to be portfolio income.

In conclusion, option c is correct.

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How long will it take for the dollar's purchasing power to be 3/4ths of what it is now, if the general inflation rate is expected to continue at 5%?

Answers

To figure out when the dollar's purchasing power will be 3/4 of its current value with a 5% inflation rate, use the exponential decay formula. It will take approximately 5.8 years for the purchasing power to decrease to three-fourths at this inflation rate.

The question concerns how long it will take for the dollar's purchasing power to decrease to three-fourths of its current value with an ongoing inflation rate of 5%. This is a mathematical problem involving exponential decay of purchasing power over time.

To determine when the purchasing power will be 3/4ths of its current value, you can use the formula for exponential decay of purchasing power: P(t) = P0*(1 - r)^t, where P(t) is the purchasing power at time t, P0 is the initial purchasing power, r is the inflation rate, and t is time in years.

To find t, you set P(t)/P0 equal to 3/4ths and solve the equation for t when r is 0.05 (5%). The calculation will yield t ≈ 5.792, meaning it will take approximately 5.8 years for the value of the dollar to decline to three-fourths its current value at a 5% inflation rate.

The process that helps ensure a business message is both effective and efficient is known as which of the​ following? A. Journalistic approach B. ​Three-step writing process C. Discovery techniques D. Business writing E. ​Four-step writing process

Answers

Answer:

​The correct answer is letter "B": Three-step writing process.

Explanation:

The ​Three-step writing process is a business writing approach that allows departments within a company to transmit valuable information and reports clearly. Just like the name of the approach says, it has three parts: pre-writing, composing, and post-writing.

Which of the following will result in the recognition of gross income?

a.Gail’s employer allows her to set aside $4,000 from her wages to cover the cost of daycare for Gail’s four-year-old daughter. Gail’s daycare costs are $4,300 for the year.

b.Hannah purchases a new sofa from her employer, Sofas-R-Us, for $1,200. The cost of the sofa to the furniture store is $1,100 and the sofa normally sells for $1,700.

c.Jayden’s employer purchases her commuting pass for the subway at a cost of $225 per month.

d.Havana is a lawyer. The law firm she works for pays for her subscription to Lawyer’s Weekly, a trade magazine for attorneys.

e.None of the above will result in recognition of gross income.

Answers

It's definitely E because none of the above mentioned anything of gross income,which is total annual income

The recognition of gross income is typically applied when an individual gains additional wealth. In the given options, only Jayden's commuting pass by the employer, as a non-cash benefit, will generally be recognized as gross income.

The recognition of gross income depends on whether there's an accrual of financial benefits that are quantifiable in an individual's wealth. In the cases mentioned:

A) Gail's employer only enabled her to set money aside and did not provide extra financial benefits, so this will not result in the recognition of gross income.

B) The discount Hannah receives due to purchasing a sofa below its selling price does not result in additional wealth that needs to be counted as gross income.

C) Jayden's commuting pass is a non-cash, fringe benefit and is generally taxable. Therefore, it will typically result in the recognition of gross income.

D) Havana's firm covering her subscription costs for a trade magazine is a typical business expense and it generally does not count as gross income.

Therefore, among the options, only Jayden's case (option c) requires the recognition of gross income.

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Compute the present value of $1,500 paid in three years using the following discount rates: 5 percent in the first year, 6 percent in the second year, and 7 percent in the third year. (Do not round intermediate calculations. Round your answer to 2 decimal places.).

Answers

Final answer:

The present value of $1,500 paid in three years with respective discount rates of 5%, 6%, and 7% per year, calculated sequentially, is $1,259.18 when rounded to two decimal places.

Explanation:

To compute the present value of $1,500 paid in three years with varying discount rates for each year, we apply these rates accordingly for each of the three years sequentially.

For the first year at 5%, the formula is: PV1 = FV / (1 + r1), where PV1 is the present value after the first year, FV is the future value, and r1 is the first-year discount rate.

For the second year at 6%, the calculation is based on the first year's present value PV1, and the formula is: PV2 = PV1 / (1 + r2).

For the third year at 7%, the formula is: PV3 = PV2 / (1 + r3). Once we have the present value for the third year PV3, that is the final present value of the $1,500 paid in three years.

We first calculate the present value after one year: $1,500 / (1 + 0.05) = $1,500 / 1.05 = $1,428.57 (Do not round intermediate calculations).

Then, we calculate the present value after two years: $1,428.57 / (1 + 0.06) = $1,428.57 / 1.06 = $1,347.72.

Finally, the present value after three years using a 7% discount rate for the third year: $1,347.72 / (1 + 0.07) = $1,347.72 / 1.07 = $1,259.18. Rounding the final answer to two decimal places, the present value is $1,259.18.

Which of the following terms refers to the process of converting a not-for-profit stock exchange owned by its members to a for-profit organization with publicly-traded stocks that are owned by outside shareholders?

a. Privatization
b. Flotation
c. Consolidation
d. Diversification
e. Demutualization

Answers

Answer and Explanation:

e. Demutualization

Suppose two economists are debating tax reform bill. Both economists agree that the bill would increase the after-tax income of the top 5% of income earners. However, they disagree on whether the bill would improve the tax system. Which of the following is the most plausible reason for why these economists disagree?a) A lack of evidence about the long-run impact of the proposed bill.b) Differences in methodology.c) Different choices about the right simplifications to use in economic analysis.d) Differences in values.

Answers

Answer:

The correct answer is letter "C": Different choices about the right simplifications to use in economic analysis.

Explanation:

Economic Analysis refers to the study of economic situations within a region using different tools for that purpose that will let determine what the possible solutions and consequences of taking decisions of those situations could be. That is why in the case the two economists after analyzing the effects of the tax reform bill decided not to implement it.

Economists may disagree on the merits of a tax reform bill due to differences in values, with some prioritizing economic growth and efficiency, while others focus on equity and redistribution of income.

If two economists are debating a tax reform bill and disagree on whether the bill would improve the tax system, despite agreeing that the bill would increase after-tax income for the top 5% of income earners, the most plausible reason for their disagreement could be differences in values. Economists can have differing perspectives on the outcomes of tax policies based on their inherent values and priorities. Some might prioritize efficiency and the minimization of economic distortions, while others might place more importance on equity and the redistribution of income. Moreover, debates over tax policy often revolve around trade-offs between a more progressive tax system, which levies higher taxes on higher earners, and a regressive tax system, which is uniformly applied, thus affecting high and low earners more equally.

Values come into play significantly when considering the ultimate goals of the tax system, whether to prioritize economic growth or to reduce income inequality. Debates on whether tax cuts stimulate enough investment and economic growth or simply widen the income gap due to minimal 'trickle-down' effect also reflect differing values. Furthermore, divisions can emerge based on whether one believes that the tax system should aim to redistribute resources more equally or should interfere minimally with individual economic decisions.

The Terrence Co. manufactures two products, Baubles and Trinkets. The following are projections for the coming year: Baubles Trinkets 16,000 units 8,000 units Sales $16,000 $16,000 Costs: Fixed$3,600 $11,520 Variable 6,400 10,000 3,200 14,720 Income before taxes $6,000 $1,280 How many Baubles will be sold at the break-even point, assuming that the facilities are jointly used with the sales mix remaining constant

Answers

Answer:

Bauble to be sold for break even = 5484

Explanation:

Sales Mixture = 16000 : 8000 =  2:1                  2            :         1  

                                                                             Bauble         Trinkets  

Selling Price P.u (16/16) : (16/8)                         =       1                    2

Variable Cost  (6400/16000) : ( 11520/16000)  =     (0.4)              (0.72)

Contribution margin Per unit (Sp-Vc)                =      0.6                1.28      

Com-posit Cm 2 baubles 1 trinkets                   = 0.6*2+1.28*1 =   2.48  

Fix Cost Total  =  3200+3600 = 6800

Break-Even units =  6800/2.48 = 2741

Baubles 2742*2  = 5484*0.6 = 3290.4

Trinkets 2742*1   = 2742*1.28 = 3509.7

Final answer:

The Terrence Co. must sell 6000 units of Baubles to reach their break-even point assuming the sales mix remains constant. This was calculated using the information given about fixed costs, variable costs and selling price for this product.

Explanation:

In order to find the break-even point for Baubles, you first have to understand how the costs for this product are distributed. Fixed costs for Baubles are $3,600 and variable costs (per unit) are $6,400 / 16,000 = $0.4. The selling price per unit of Baubles is $16,000 / 16,000 = $1.

The contribution margin per unit, which is selling price per unit minus variable cost per unit, is hence $1 - $0.4 = $0.6. Break-even point can be found using the formula: Fixed Costs / Contribution Margin per Unit, which translates to $3,600/$0.6 = 6000 units. Therefore, Terrance Co. needs to sell 6000 Baubles to reach the break-even point, assuming the sales mix remains constant.

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Transanomics Corp recently issued at par value 5-year bonds with a par value of $500,000, dated January 1, 2015 and bearing an interest at an annual rate of 10% payable quarterly on March 31, June 30, September 30 and December 31st. The initial journal entry made by Transanomics Corp. was:

Answers

Answer:

Issued Bond was the liabilities for Transanomics Corp. It receives cash against the issuance of bonds.

Initial Journal Entry by Transanomics Corp.

                                         Dr.                    Cr.

January 1, 2015

Cash                            $500,000

Note Payable                                        $500,000

Which of the following statements is true of a trial​ balance?A.A trial balance has the same format as a balance sheet.B.A trial balance presents data in debit and credit format.C.A trial balance is prepared after the balance sheet.D.A trial balance shows the total amounts of assets and​ liabilities, but not equity

Answers

Answer:

A trial balance presents data in debit and credit format.

Explanation:

There are two sections in the trial balance, called columns of debits and columns of credits. The total columns of debit and credit should always correlate or matched. The debit columns report assets and expenditures side while revenues stockholder equity, and the liability side are reported in the credit column.

A manuscript is sent to a typing firm consisting of typists A, B and C. If it is typed by A, then the number of errors made is a Poisson random variable with mean 2.6; if typed by B then the number of errors made is a Poisson random variable with mean 3; and if typed by C then it is a Poisson random variable with mean 3.4. Let X denote the number of errors in the manuscript. Assume that each typist is equally likely to do the work. (a) Find E(X) (b) Find Var(X)

Answers

Answer:

(a) E(X) = 3

(b) Var(X) = 12.1067

Explanation:

(a) E[X]

E[X]T = E[X]T=A + E[X]T=B + E[X]T=C

         = (2.6 + 3 + 3.4)/3

         = 2.6 (1/3) + 3(1/3) + 3.4(1/3)

         = 2.6/3 + 1 + 3.4/3

         = 3

(b) Var (X) = E[X²]−(E[X])²

Recall that if Y ∼ Pois(λ), then E[Y 2] = λ+λ2. This implies that

E[X²] = [(2.6 + 2.6²) + (3 + 3²) + (3.4 + 3.4²)]/3

         = (9.36 + 12 + 14.96)/3

         = 36.32/3

         = 12.1067

Var(X) = E[X²]−(E[X])²

          = 12 - 3²

          = 12.1067 - 9

          = 3.1067

Final answer:

Given the potential typists with their different error rates, the expected number of errors, E(X), and the Variance of X, Var(X), where both E(X) and Var(X) are 3.

Explanation:

The expected number E(X) of errors in a manuscript typed by typists A, B, and C, who have different error rates based on Poisson distribution, can be found by averaging the mean values. Given that typist A, B, and C produce errors with a mean of 2.6, 3, and 3.4 errors per manuscript respectively and that each typist is equally likely to do the work, we calculate:

E(X) = (2.6+3+3.4)/3 = 9/3 = 3

For the Variance of X, Var(X), since the variance of a Poisson random variable is equal to its mean and each typist is equally likely to type, we can calculate the variance similarly to the expectation using the mean of the three:

Var(X) = (2.6+3+3.4)/3 = 9/3 = 3

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Run-of-the-Mills provides your marketing firm with the following data: When the price of guppy gummies decreases by 5%, the quantity of raskels sold increases by 4% and the quantity of kipples sold decreases by 6%. Your job is to use the cross-price elasticity between guppy gummies and the other goods to determine which goods your marketing firm should advertise together.

Answers

Answer:

the firm should advertise complementary goods together; Gummies and Raskels.

Explanation:

First the question is to determine based on cross - price elasticity which goods are better to advertise together

Complementary Goods

This represents goods where the cross elasticity of demand is negative. The meaning the increase in demand of goods A is as a result of the decrease in the price of goods B.

Substitute Goods

This represents goods where the cross elasticity of demand is positive. This means that the decrease in the demand for product A is linked to the decrease in the price of product B

Cross Elasticity of Gummies and Raskels

= percentage change in quantity demanded of Raskels/ % change in the price of gummies

= 4%/-5% (since it is a decrease)

= -0.8

Gummies and Raskels are complementary goods as they show negative cross elasticity.

Cross Elasticity of Gummies and Kipples

= percentage change in quantity demanded of Raskels/ % change in the price of gummies

= -6 %/-5% (both are decreases)

Gummies and Kipples are substitute goods.

Therefore, the firm should advertise complementary goods together; Gummies and Raskels.

Final answer:

Raskels and guppy gummies are substitutes, while kipples and guppy gummies are complements. From a marketing perspective, complementary goods should be advertised together – in this case, guppy gummies and kipples.

Explanation:

The cross-price elasticity of demand measures the responsiveness of the quantity demanded for a good to a change in the price of another good. It is a measure of substitution effect. Because the quantity of raskels sold increases when the price of guppy gummies decreases, raskels and guppy gummies are substitute goods. Conversely, because the quantity of kipples sold decreases when the price of guppy gummies decreases, kipples and guppy gummies are complementary goods.

From a marketing point of view, you should advertise complementary goods together. In this case, you should advertise guppy gummies and kipples together. Advertising substitute goods together can cannibalize sales because an increase in sales of one might lead to a decrease in sales of the other.

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Segmentation and targeting influence a company’s resource allocation, potentially affecting strategic decisions in all of the following areas except:

A.) price
B.) advertising
C.) mission formulation
D.) customer management
E.) sales force

Answers

Answer:

The correct answer is letter "C": mission formulation.

Explanation:

Segmentation and targeting is the process by which companies classify their existing and potential customers by sex, age, race, and income. This is done to analyze specific consumers' preferences and behavior so the firm can provide them with a good or service they are likely to consume.

Segmentation implies analyzing pricing, salesforce, advertising, and customer management but mission formulation is a step that the firm takes before starting segmenting its market.

Segmentation and targeting impact strategic decisions in price, advertising, customer management, and sales force but not mission formulation, which defines a company's core purpose and values.

The question asks which area is not affected by segmentation and targeting in the context of a company's strategic decisions. Options given are price, advertising, mission formulation, customer management, and sales force. While segmentation and targeting directly influence decisions related to price, advertising, customer management, and sales force by determining how resources are allocated towards different market segments, mission formulation stands out as mostly unrelated. The company's mission is generally broad and foundational, defining its purpose, core values, and over-arching goals, which are not typically altered based on segmentation and targeting strategies. Hence, the correct answer is C) mission formulation.

The market supply of cigarettes is shown in the table below.

Supply of Cigarettes
Quantity of Cigarettes Supplied (packs)
Price (dollars) Pre-Tax Post-Tax
$1.00 100
1.50 150
2.00 200
2.50 250
3.00 300
Imagine that, in order to discourage people from smoking, the government decides to place an excise tax on every pack of cigarettes sold directly affecting suppliers. As a result of the tax, the supply of cigarettes decreases by 150 packs of cigarettes at each price.

Graph the pre-tax market supply curve and graph the after-tax market supply curve.

2. Managers at a local home improvement store see that new home sales in their area have increased. They order more refrigerators for their store. They likely do this because they assume that:

a. new homes and refrigerators are complements

b. new homes and refrigerators are substitutes

c. refrigerators are inferior goods

d. refrigerators are normal goods

Answers

The answer & explanation for this question is given in the attachment below.

Choose the correct statement regarding the structure of the plasma membrane. Multiple Choice
a. The membrane is composed of water-soluble molecules, to allow movement of water between the fluid compartments.
b. Carbohydrates in the plasma membrane can serve as a source of immediate energy for the cell.
c. The hydrophobic center of the plasma membrane will restrict the movement of fat-soluble substances through the membrane.
d. The movement of proteins in the plasma membrane allows for cellular adaptations to the extracellular environment.

Answers

Answer:D

Explanation:

The movement of protein in the plasma membrane allows for cellular adaptation to the extracellular environment

What is true about the structure of the plasma membrane is that the movement of proteins in the plasma membrane allows for cellular adaptations to the extracellular environment.

The plasma membrane is also known as cell membrane because its separates the interior of the cell from the outside.

The plasma membrane in the cell helps to regulates the transport of materials entering and exiting the cell.

Hence, it is true that movement of proteins in the plasma membrane allows for cellular adaptations to the extracellular environment.

Therefore, the Option D is correct.

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Suppose the daily change in price of a stock is normally distributed with mean = .20 and standard deviation = .30. What price change is associated with the 25th percentile?

Answers

Answer:

[tex]a=0.2 -0.674*0.3=-0.00235[/tex]

So the value that separates the bottom 25% of data from the top 75% is -0.00235.  

Explanation:

Previous concepts

Normal distribution, is a "probability distribution that is symmetric about the mean, showing that data near the mean are more frequent in occurrence than data far from the mean".

The Z-score is "a numerical measurement used in statistics of a value's relationship to the mean (average) of a group of values, measured in terms of standard deviations from the mean".  

Solution to the problem

Let X the random variable that represent the variable of interest of a population, and for this case we know the distribution for X is given by:

[tex]X \sim N(0.2,0.3)[/tex]  

Where [tex]\mu=0.2[/tex] and [tex]\sigma=0.3[/tex]

For this part we want to find a value a, such that we satisfy this condition:

[tex]P(X>a)=0.75[/tex]   (a)

[tex]P(X<a)=0.25[/tex]   (b)

Both conditions are equivalent on this case. We can use the z score again in order to find the value a.  

As we can see on the figure attached the z value that satisfy the condition with 0.25 of the area on the left and 0.75 of the area on the right it's z=-0.674. On this case P(Z<-0.674)=0.25 and P(z>-0.674)=0.75

If we use condition (b) from previous we have this:

[tex]P(X<a)=P(\frac{X-\mu}{\sigma}<\frac{a-\mu}{\sigma})=0.25[/tex]  

[tex]P(z<\frac{a-\mu}{\sigma})=0.25[/tex]

But we know which value of z satisfy the previous equation so then we can do this:

[tex]z=-0.674<\frac{a-0.2}{0.3}[/tex]

And if we solve for a we got

[tex]a=0.2 -0.674*0.3=-0.00235[/tex]

So the value that separates the bottom 25% of data from the top 75% is -0.00235.  

You own a munitions plant, and you decide that your middle managers are insensitive to employees' needs. You send them all out for two weeks of sensitivity training. You are sensitive to what skill deficiency that they have?a. Interpersonal b. Technical c. Conceptual d. Leadership

Answers

Answer:

Letter a is correct. Interpersonal.

Explanation:

In this question, middle managers have a deficiency in interpersonal skills, as they are not sensitive to the needs of employees.

Sensitivity training is a strategy that can help managers to develop interpersonal skills and abilities, as this is an extremely relevant feature for business.

This ability is related to the ability to communicate and interact with other people. In a managerial position, whose function is to coordinate and supervise employees, interpersonal skills are even more prominent, as the manager's conduct and positioning will influence his subordinates, so that the leader must be the main example of good relationships with others, attention to the needs of employees and clear communication, in order to create a positive organizational climate, where the motivation and satisfaction of employees are taken as a key element in increasing productivity and organizational effectiveness.

The Salty Pawz margins are good, but would Wanda be better off by lowering prices and potentially selling more? Would dropping her price even make a difference, or would she just be giving away her profits? What would be the impact on demand if she reduced her price?

Use the "Supply and Demand" data beginning on page 8 of the Salty Pawz Case Study. The information there illustrates the potential impacts on quantity supplied and quantity demanded at various price points for Salty Pawz products.

Using the charts and data, create a graphical representation of Supply and Demand Curves for the four Salty Pawz products that Wanda sells.
For each product, determine the equilibrium point where Quantity Supplied = Quantity Demanded.

Answers

The demand for goods and services are often influenced by different factors. The answers are explained below.

The effects of lowering prices?

The dropping of her price will make a big difference. Lowering the price of goods or services have an effect on demand. This is because, as the price goes up, the quantity demanded goes down and when the price decreases, quantity demanded will also increases.

On the fact that lowering your prices affects profits. This is a Question of Profit. Note that if the costs of your item is the same, lowering prices to increase sales will also lowers the profit margin that one can make on each unit item that was sold.

But studies has shown that lowering prices will lead to greater sales volumes, which may stand in the gap for the lower profit margin.

Lower or reduction in prices tend to affect or influence demand a great deal as it said to increase the interest in a product leading to an increase in quantity demanded.

From the graph, we see that the increase in price brought quantity demand down will at lower price, quantity demand were more.

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The APT itself does not provide guidance concerning the factors that one might expect to determine risk premiums. How should researchers decide which factors to investigate? Why, for example, is industrial production a reasonable factor to test for a risk premium?

Answers

Answer and Explanation:

The APT components must connect with significant wellsprings of vulnerability, i.e., wellsprings of  vulnerability that are of worry to numerous financial specialists. Analysts ought to research  

Variables that relate with vulnerability in utilization and speculation openings.  Gross domestic product, the swelling rate, and loan fees are among the components that can be normal  to decide hazard premiums. Specifically, mechanical generation (IP) is a decent  marker of changes in the business cycle. Subsequently, IP is a contender for a factor that is  exceptionally associated with vulnerabilities that have to do with speculation and  utilization openings in the economy.

Celine Dion Company issued $600,000 of 10%, 20-year bonds on January 1, 2020, at 102. Interest is payable semiannually on July 1 and January 1. Dion Company uses the straight-line method of amortization for bond premium or discount. Prepare the journal entries to record the following. (If no entry is required, select "No Entry" for the account titles and enter 0 for the amounts. Credit account titles are automatically indented when amount is entered. Do not indent manually.) (a) The issuance of the bonds. (b) The payment of interest and the related amortization on July 1, 2020. (c) The accrual of interest and the related amortization on December 31, 2020.

Answers

Answer:

The Journal entries are as follows:

(a) On January 1, 2020

Cash A/c(6,000 bonds × $102) Dr. $612,000

         To Bonds payable                                  $600,000

         To premium on bonds payable             $12,000

(To record the issuance of the bonds)

Workings:

premium on bonds payable = $612,000 - $600,000

                                               = $12,000

(b) On July 1, 2020

Interest expense A/c                  Dr. $29,700

Premium on bonds payable A/c Dr. $300

        To cash A/c                                            $30,000

(To record the interest expense)

Workings:

Cash = $600,000 × (6/12) × 10%

         = $30,000

Premium on bonds payable = $12,000 ÷ 40 periods

                                               = $300

(c) On December 31, 2020

Interest expense A/c                  Dr. $29,700

Premium on bonds payable A/c Dr. $300

        To Interest payable A/c                            $30,000

(To record the accrual of interest expense)

Final answer:

The journal entries for the issuance of the bonds, payment of interest, and related amortization using the straight-line method involve recording the cash received, interest expense, and adjustments for the bond premium over the bond term.

Explanation:

The student's question involves preparing journal entries for a bond issued at a premium using the straight-line method of amortization. When the Celine Dion Company issued $600,000 of 10%, 20-year bonds on January 1, 2020, at 102, the premium on the bonds was $12,000 ($600,000 &102%). The bonds will pay semiannual interest on July 1 and January 1, which amounts to $30,000 every six months ($600,000 × 10% ÷ 2). For the first six months, the amortization of the bond premium is $300 ($12,000 ÷ 40, because there are 40 six-month periods in 20 years), which will be subtracted from the interest expense.

(a) To record the issuance of the bonds:
Debit Cash               612,000
Credit Bonds Payable           600,000
Credit Premium on Bonds Payable   12,000

(b) To record the payment of interest and related amortization on July 1, 2020:
Debit Interest Expense             29,700
Debit Premium on Bonds Payable   300
Credit Cash                   30,000

(c) To accrue interest and related amortization on December 31, 2020:
Debit Interest Expense             29,700
Debit Premium on Bonds Payable   300
Credit Interest Payable                     30,000

Cosimo Enterprises issues a $260,000, 45-day, 5% note to Dixon Industries for merchandise inventory. Assume a 360-day year. For a compound transaction, if an amount box does not require an entry, leave it blank.
a) Journalize Cosimo Enterprises’ entries to record: the issuance of the note. the payment of the note at maturity.
b) Journalize Dixon Industries’ entries to record: the receipt of the note. the receipt of the payment of the note at maturity.

Answers

Answer:

Cosimo Enterprises

cash 260,000 debit

   note payable    260,000 credit

--to record issuance of the note--

note payable   260,000 debit

interest expense  1,625 debit

            cash                  261,625 credit

--to record honor of the note--

Dixon Industries

note receivables 260,000 debit

                 cash          260,000 credit

--to record reception of a note--

cash       261,625 debit

       note receivable 260,000 credit

        interest reenue      1,625 credit

--to record honor of the note--

Explanation:

principal x rate x time = interest

where time and rate must be express in the same metric.

In this case portion of a 360 year

260,000  x 0.05 x 45/360 = 1,625

At maturity we write-off the note account and reocgnize the interest expense/revenue depending on which side we are.

if we issued the noe, we are doin an interest expense.

If we have the note we receive the cash get interest revenue.

Final answer:

Journal entries for Cosimo Enterprises include the issuance of the note (debit Merchandise Inventory, credit Notes Payable) and payment at maturity (debit Notes Payable and Interest Expense, credit Cash). Dixon Industries' journal entries include the receipt of the note (debit Notes Receivable, credit Merchandise Inventory/Sales) and receipt of payment at maturity (debit Cash, credit Notes Receivable and Interest Revenue).

Explanation:

To address the student's question about journalizing the issuance and payment of a note, we first need to break down the transactions between Cosimo Enterprises and Dixon Industries. Cosimo Enterprises issued a $260,000, 45-day, 5% note to Dixon Industries for merchandise inventory, assuming a 360-day year.

For Cosimo Enterprises:

Issuance of the note:

Debit Merchandise Inventory $260,000

Credit Notes Payable $260,000

Payment of the note at maturity (including interest):

Interest calculation: $260,000 × 5% × (45/360) = $1,625

Debit Notes Payable $260,000

Debit Interest Expense $1,625

Credit Cash $261,625

For Dixon Industries:

Receipt of the note:

Debit Notes Receivable $260,000

Credit Merchandise Inventory/Sales $260,000

Receipt of the payment of the note at maturity (including interest):

Debit Cash $261,625

Credit Notes Receivable $260,000

Credit Interest Revenue $1,625

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