Consider the long-run production of shirts. The cost of the indivisible inputs used in the production of shirts is $400 per day. To produce 1 shirt per day, the firm must also spend a total of $5 on other inputs-labor, materials, and other capital. For each additional shirt, the firm incurs the same additional cost of $5. The long-run average cost for: 100 shirts is $

Answers

Answer 1

The long-run average cost for producing 100 shirts is $9.

The indivisible inputs cost is $400 per day, and the additional cost for each shirt is $5. To produce 100 shirts, you would have the following costs:

Indivisible inputs cost: $400
Additional cost per shirt: $5 x 100 shirts = $500

Total cost for producing 100 shirts: $400 + $500 = $900

Now, finding the long run average cost for producing 100 shirts, simply divide the total cost by the number of shirts:

Long-run average cost = Total cost / Number of shirts
Long-run average cost = $900 / 100 shirts
Long-run average cost = $9 per shirt

To learn more about long run: https://brainly.com/question/29240975

#SPJ11


Related Questions

for ten years, had a trio running the company. this team was eric schmidt as ceo, and the two co-founders, larry page and sergey brin. the chapter opens with luxottica, the world's largest eyewear company, being analyzed for a similar structure. the key discussion is around the company's future success vs. potential declines from this structure. why would analysts be skeptical of this type of organizational structure?

Answers

Analysts might be skeptical of a trio running a company for a prolonged period because it can create a bottleneck in decision-making, a lack of diversity in viewpoints, and the potential for power struggles.

This structure can lead to a concentration of power and decision-making in a few individuals' hands, which can stifle innovation and slow down the company's growth.

Additionally, the company's long-term success can be dependent on the trio's ability to work well together, and any conflict or disagreement b/ them can have a significant impact on the company's performance.

The lack of a clear succession plan can also be a concern, as a sudden departure of one or more of the trio can lead to a leadership vacuum and instability.

As a result, analysts may prefer a more distributed organizational structure with a broader range of leaders and decision-makers to minimize risks and maximize growth potential.

To know more about power struggles refer here:

https://brainly.com/question/11409305#

#SPJ11

multiple choice question one of the most effective methods to assess how well a firm is delivering adequate service to consumers is to employ the blank model to evaluate their service provision.

Answers

The most effective method to assess how well a firm is delivering adequate service to consumers is to employ the SERVQUAL model to evaluate their service provision.

The SERVQUAL model is a widely-used framework for measuring service quality. It focuses on five key dimensions: reliability, assurance, tangibles, empathy, and responsiveness.

By analyzing these dimensions, a firm can identify gaps in their service provision and work to improve their overall customer satisfaction. To apply the SERVQUAL model, a company would gather customer feedback through surveys or interviews, compare their performance to customer expectations, and identify areas for improvement.

This comprehensive approach allows firms to better understand their customers' needs and deliver a higher level of service, ultimately leading to increased customer loyalty and business success.

To know more about SERVQUAL model click on below link:

https://brainly.com/question/28807227#

#SPJ11

mojo mining has a bond outstanding that sells for $1,061 and matures in 25 years. the bond pays semiannual coupons and has a coupon rate of 6.1 percent. the par value is $1,000. if the company's tax rate is 21 percent, what is the aftertax cost of debt?

Answers

If the company's tax rate is 21 percent, then the aftertax cost of debt for Mojo Mining is approximately 4.819%.

To calculate the aftertax cost of debt, we need to consider the coupon rate, the tax rate, and the price of the bond.

The semiannual coupon payment can be calculated as follows:

Coupon Payment = Coupon Rate * Par Value / 2

Coupon Payment = 6.1% * $1,000 / 2 = $30.50

The annual coupon payment is $30.50 * 2 = $61.

The aftertax cost of debt is determined by dividing the annual coupon payment by the bond price and subtracting the tax savings:

Aftertax Cost of Debt = (Annual Coupon Payment / Bond Price) * (1 - Tax Rate)

Aftertax Cost of Debt = ($61 / $1,061) * (1 - 0.21)

Aftertax Cost of Debt ≈ 0.0576 * 0.79

Aftertax Cost of Debt ≈ 0.04549 or 4.549%

Hence, the aftertax cost of debt is 4.819% when rounded to the nearest thousandth.

To know more about tax rate, refer here:
https://brainly.com/question/30629449
#SPJ11

in july, roberts purchased computers for his business at a cost of $1,910,000. roberts' net income from the business was $3,675,000. what is roberts' section 179 deduction?

Answers

If Roberts bought computers for his business in July at a total cost of $1,910,000, and his net income from the business amounted to $3,675,000, then Robert's Section 179 deduction is $1,910,000.

The Section 179 deduction is a tax deduction that allows businesses to expense the cost of qualifying assets, such as computers, in the year they are placed in service, rather than depreciating them over several years.

In this case, Roberts purchased computers for his business at a cost of $1,910,000. Since the purchase qualifies as a Section 179 deduction, Roberts can deduct the full cost of $1,910,000 from his net income for the year.

Therefore, Robert's Section 179 deduction is $1,910,000, which means he can subtract this amount from his net income when calculating his taxable income.

To know more about net income, refer here:
https://brainly.com/question/1347024
#SPJ11

A restaurant runs a special promotion on lobster and plans to sell twice as many lobster as usual. When this large order is sent to the distributer the distributer assumes the large size is a trend, not a one-time event. The distributer therefore places an even larger order with the fisherman. This is the result of A local optimization B. the bullwhip effect Clarge Lots D. incentives O E A and B

Answers

The result of the restaurant's special promotion on lobster and the distributor's assumption that it was a trend rather than a one-time event is an example of the bullwhip effect. This occurs when small changes in consumer demand cause significant fluctuations in the orders placed by upstream members of the supply chain.

In this case, the distributor's decision to place an even larger order with the fisherman was based on the assumption that the restaurant's increased demand for lobster would continue, leading to an overestimation of future demand.
This situation highlights the importance of accurate forecasting and communication within the supply chain to avoid the bullwhip effect. The restaurant and distributor could have worked together to ensure that the increase in lobster orders was a one-time event and not a trend. Alternatively, the distributor could have communicated with the fisherman to ensure that they were not overproducing lobster to meet an inaccurate demand forecast.
Overall, the bullwhip effect can have significant negative impacts on the supply chain, including increased inventory costs, inefficiencies, and reduced profitability. It is essential to monitor and manage demand fluctuations to avoid these negative consequences and promote sustainable growth for all members of the supply chain.

to know about bullwhip effect  visit:

https://brainly.com/question/2815747

#SPJ11

explain a minor's power to disaffirm a contract. Provide your
reasoned opinion as to whether the minor's power to disaffirm a
contract is good law.

Answers

A minor has the power to disaffirm a contract, which means they can declare the contract void and unenforceable.

This is because minors are deemed to lack the legal capacity to enter into binding contracts due to their age and lack of experience. The power to disaffirm a contract is designed to protect minors from being taken advantage of by more experienced and savvy parties in business transactions. In order for a minor to disaffirm a contract, they must simply express their intent to do so. This can be done verbally, in writing, or through their actions. Once the minor disaffirms the contract, they are no longer bound by its terms and are not required to fulfill any obligations under it. In my opinion, the minor's power to disaffirm a contract is good law. It is necessary to protect minors from being exploited in business transactions and to ensure that they are not held responsible for agreements they may not fully understand. However, it is important to note that this power also puts the burden on the other party to ensure that they are dealing with a legally capable individual before entering into a contract. Overall, the minor's power to disaffirm a contract strikes a balance between protecting the rights of minors and maintaining the integrity of contracts.

Learn more about contracts here:

https://brainly.com/question/30836245

#SPJ11

The Bank of Savannah has negotiated a swap where it will make fixed payments of 6% in exchange for floating payments equal to LIBOR plus 1%, based on a notional principal of $59 million, at the end of each of the next three years. The Bank of Savannah, however _____________ the ability to terminate the agreement at any point in time, prior to its maturity, in the event that interest rates decrease.

Answers

the bank has the ability to terminate the agreement before its maturity if interest rates decrease. This means that if interest rates decline, the bank can terminate the agreement and avoid making fixed payments of 6% and instead receive the lower floating payment.

The Bank of Savannah has the ability to terminate the agreement at any point in time, prior to its maturity, in the event that interest rates decrease. This means that if interest rates fall, the bank can choose to end the swap agreement before the three-year period is over. This could be beneficial for the bank, as it may find a more favorable swap agreement or other investment opportunities in a lower interest rate environment. The interest rate swap agreement entered into by the Bank of Savannah provides flexibility for the bank, allowing it to make fixed payments and receive floating payments based on a notional principal of $59 million over the next three years. However, the bank also has the option to terminate the agreement prior to its maturity if interest rates decrease, which could potentially benefit the bank in a changing interest rate environment.

to know about agreements visit:

https://brainly.com/question/27962135

#SPJ11

you are the cypersecurity specialist for your company. you are conducting a penetration test to see if anyone is using ftp against company policy. in this lab, your task is to capture ftp packets as follows: use wireshark to capture packets for five seconds. filter for ftp packets. answer the questions.

Answers

I can guide you on capturing FTP packets using Wireshark, steps: Launch Wireshark, select the network interface, start capturing packets, filter for FTP, analyze the captured packets. Ask for further assistance.

I can provide guidance on how to capture FTP packets using Wireshark and answer questions based on theoretical knowledge. Here's a step-by-step guide:

Step 1: Launch Wireshark

Open Wireshark on your computer. If you don't have Wireshark installed, you can download it from the official website (https://www.wireshark.org/) and follow the installation instructions.

Step 2: Select the Appropriate Network Interface

From the list of available network interfaces in Wireshark, select the one connected to the network where the FTP traffic is expected. This could be your Ethernet interface, Wi-Fi adapter, or any other relevant network interface.

Step 3: Start Capturing Packets

Click on the "Start Capture" button in Wireshark to begin capturing packets. Make sure to specify the capture duration to be five seconds, as instructed in your lab.

Step 4: Filter for FTP Packets

To filter for FTP packets, you can use the "ftp" display filter in Wireshark. Enter "ftp" in the filter field or select "ftp" from the protocol list. This will filter the captured packets to only display FTP-related traffic.

Step 5: Analyze Captured Packets

Once the capture duration is complete, you can stop capturing packets in Wireshark. You should now see the captured FTP packets in the Wireshark interface. Analyze the packets to identify any FTP activity and gather information relevant to your penetration test.

Now that you have captured the FTP packets, feel free to ask any specific questions you have regarding FTP or the captured packets, and I'll do my best to assist you.

Learn more about FTP packets: brainly.com/question/14299412

#SPJ11

with dollar shave club, you can sign up online for a subscription of shaving and personal care products to be delivered to your home without a face-to-face meeting with a salesperson. dollar shave club uses a(n) blank marketing channel. multiple choice exclusive distribution wholesale industrial direct to consumer dual distribution

Answers

Dollar Shave Club uses a direct-to-consumer marketing channel. This means that they sell their products directly to consumers without any intermediaries or middlemen.

Customers can easily sign up for a subscription on their website, without the need for a face-to-face meeting with a salesperson. Direct-to-consumer marketing channels have become increasingly popular in recent years, as more and more companies realize the benefits of bypassing traditional retail channels. By selling directly to consumers, companies can cut costs and improve their profit margins, while also building a closer relationship with their customers. Overall, the rise of direct-to-consumer marketing channels is changing the way we shop for everyday products, making it easier and more convenient than ever before.

To learn more about products, visit:

https://brainly.com/question/28985255

#SPJ11

In January, Tongo, Inc., a branding consultant, had the following transactions.
a. Received $18,600 cash for consulting services rendered in January.
b. Issued common stock to investors for $8,500 cash.
c. Purchased $17,500 of equipment, paying 25 percent in cash and owing the rest on a note due in 2 years.
d. Received $11,300 cash for consulting services to be performed in February.
e. Bought $1,850 of supplies on account.
f. Received utility bill for January for $1,870, due February 15.
g. Consulted for customers in January for fees totaling $20,500, due in February.
h. Received $17,600 cash for consulting services rendered in December.
i. Paid $925 toward supplies purchased in (e).
Prepare the journal transaction.

Answers

The journal transactions for Tongo, Inc.'s activities in January. Here are the step-by-step explanations for each transaction:

a. Received $18,600 cash for consulting services rendered in January.
Debit: Cash - $18,600
Credit: Service Revenue - $18,600

b. Issued common stock to investors for $8,500 cash.
Debit: Cash - $8,500
Credit: Common Stock - $8,500

c. Purchased $17,500 of equipment, paying 25 percent in cash and owing the rest on a note due in 2 years.
Debit: Equipment - $17,500
Credit: Cash - $4,375 (25% of $17,500)
Credit: Notes Payable - $13,125 (75% of $17,500)

d. Received $11,300 cash for consulting services to be performed in February.
Debit: Cash - $11,300
Credit: Unearned Revenue - $11,300

e. Bought $1,850 of supplies on account.
Debit: Supplies - $1,850
Credit: Accounts Payable - $1,850

f. Received utility bill for January for $1,870, due February 15.
Debit: Utilities Expense - $1,870
Credit: Accounts Payable - $1,870

g. Consulted for customers in January for fees totaling $20,500, due in February.
Debit: Accounts Receivable - $20,500
Credit: Service Revenue - $20,500

h. Received $17,600 cash for consulting services rendered in December.
Debit: Cash - $17,600
Credit: Accounts Receivable - $17,600

i. Paid $925 toward supplies purchased in (e).
Debit: Accounts Payable - $925
Credit: Cash - $925

These are the journal entries for each transaction that occurred in January for Tongo, Inc. I hope this helps!

To know more about journal entries visit -

brainly.com/question/29316685

#SPJ11

ABC Corporation presented the following information in its 2021 statement of financial position:
Common Stock ($30 par value, 5,000 issued and outstanding) $150,000
Capital paid in excess of par value of common 80,000
Retained Earnings 100,000
Prepare journal entries for each of the following transactions that occurred during the year:
120 shares were purchased to be held as treasury shares at a cost of $50 per share.
90 of the shares held were sold at a price of $75 per share.
The remaining shares in the portfolio were withdrawn (cancelled).

Answers

The journal entries for given transaction are 1. Dr. Treasury Stock $6,000 and Cr. Cash $6,000; 2.Dr. Cash $6,750, Cr. Treasury Stock $4,500, and Cr. Capital paid in excess of par value $2,250; 3. Dr. Treasury Stock $1,500, Dr. Capital paid in excess of par value $750, Cr, Common Stock $900, and Cr. Retained Earnings $1,350.

The journal entries for each transaction are as follows:

1. 120 shares were purchased to be held as treasury shares at a cost of $50 per share.

Journal Entry:

Debit: Treasury Stock ($50 x 120) = $6,000

Credit: Cash ($50 x 120) = $6,000

2. 90 of the shares held were sold at a price of $75 per share.

Journal Entry:

Debit: Cash ($75 x 90) = $6,750

Credit: Treasury Stock ($50 x 90) = $4,500

Credit: Capital paid in excess of par value ($25 x 90) = $2,250

3. The remaining shares in the portfolio were withdrawn (cancelled).

First, let's calculate the remaining shares in the portfolio:

120 shares purchased - 90 shares sold = 30 shares remaining

Next, let's calculate the cost of the remaining shares:

$6,000 (total cost of purchased shares) - $4,500 (total cost of sold shares) = $1,500

Journal Entry:

Debit: Treasury Stock = $1,500

Debit: Capital paid in excess of par value (allocated proportionately) = $750

Credit: Common Stock ($30 par value x 30 shares) = $900

Credit: Retained Earnings (balance) = $1,350

Learn more about Journal entry:

https://brainly.com/question/27900025

#SPJ11

1-1. Read the paper by Gregory Mankiw (Mankiw, N.G. , 2006, The Macroeconomist as Scientist and Engineer, NBER WP #12349 (later published in Journal of Economic Perspective). The paper surveys different schools of thought in macroeconomics and their influence from a vintage point of the pre-Great Recession period. Based on the reading, discuss briefly how the following schools of thought differ: Keynesian and neo-classical synthesis Monetarism New Classical Real Business Cycle Theory New Keynesian New Keynesian Synthesis (or New neo-classical synthesis)

Answers

Based on Gregory Mankiw's paper, "The Macroeconomist as Scientist and Engineer," it is possible to identify the differences between several schools of thought in macroeconomics. Here is a detailed answer to your question:

1. Keynesian and neo-classical synthesis:
The Keynesian school of thought is focused on the role of government intervention in the economy to stabilize fluctuations in aggregate demand. Keynesian economists believe that government spending can stimulate demand and reduce unemployment during a recession.

On the other hand, the neo-classical synthesis emphasizes the role of market forces in achieving economic growth and stability. This school of thought incorporates Keynesian ideas about government intervention but also emphasizes the importance of supply-side policies to encourage growth and improve economic efficiency.
2. Monetarism:
Monetarism is a school of thought that emphasizes the role of monetary policy in stabilizing the economy. According to monetarists, changes in the money supply are the primary driver of changes in economic activity, and the central bank should use monetary policy to stabilize the economy.
3. New Classical Real Business Cycle Theory:
New Classical Real Business Cycle Theory emphasizes the importance of rational expectations and market-clearing mechanisms in explaining fluctuations in economic activity. This school of thought suggests that business cycles are the result of technology shocks or changes in productivity that affect the entire economy.
4. New Keynesian:
New Keynesian economists believe in the importance of government intervention in the economy to stabilize fluctuations in aggregate demand. However, unlike the traditional Keynesian school of thought, New Keynesians incorporate the idea of rational expectations and market-clearing mechanisms into their models.
5. New Keynesian Synthesis (or New Neo-classical Synthesis):
The New Keynesian Synthesis combines elements of Keynesian economics and neo-classical economics. It emphasizes the role of market forces in achieving economic growth and stability, while also acknowledging the potential for government intervention to stabilize the economy during times of economic instability.
In conclusion, the various schools of thought in macroeconomics differ in their approaches to explaining fluctuations in economic activity and the role of government intervention in stabilizing the economy.

Each school of thought has its own unique set of assumptions and ideas about how the economy works, and there is an ongoing debate among economists about which approach is most effective in promoting economic growth and stability.

Learn more about Gregory Mankiw:

brainly.com/question/30410482

#SPJ11

brandon told the manager of his kwik star to always adjust prices to match those charged by casey's across the street. brandon is using a pricing strategy.

Answers

Brandon is using a competitive pricing strategy by adjusting the prices at his Kwik Star to match those charged by Casey's across the street.

This strategy involves setting prices based on the prices charged by competitors in order to stay competitive and attract customers. By keeping his prices in line with Casey's, Brandon is hoping to avoid losing business to his competitor and maintain his market share.

However, it is important to note that this strategy may not always be effective or sustainable in the long term, as other factors such as product quality and customer experience also play a role in consumer purchasing decisions.

To learn more about market share, refer below:

https://brainly.com/question/31235187

#SPJ11

which of the following is money? group of answer choices checkable deposits checks debit cards credit cards e-checks

Answers

From the options given checkable deposits and e-checks can be considered as money.

What is money?

Money is any thing or medium of trade that's acknowledged by individuals for the installment of merchandise and administrations, as well as the reimbursement of credits.

Checkable stores refers to the stores held in a checking account at a bank or other monetary institution. These stores can be effortlessly accessed and utilized to create buys or installments.

E-checks or electronic checks are a computerized form of conventional paper checks. They permit people or businesses to exchange cash electronically from their bank account to another bank account.

Learn more about money from

https://brainly.com/question/28121138

#SPJ1

accumulated other comprehensive income is used to report select answer from the options below only asset gains and losses that accumulate from year to year, but which are not amortized. both asset and liability gains and losses that accumulate from year to year that should be amortized. only liability gains and losses that accumulate from year to year, but which are not amortized. both asset and liability gains and losses that accumulate from year to year, but which are not amortized.

Answers

Accumulated other comprehensive income is used to report both asset and liability gains and losses that accumulate from year to year, but which are not amortized.

These gains and losses are typically associated with items such as foreign currency translation adjustments, unrealized gains and losses on available-for-sale securities, and certain pension adjustments. The amounts reported in accumulated other comprehensive income are not immediately recognized in the income statement, but are instead held in reserve until they are realized or recognized in some other way.

To know more about comprehensive income:

https://brainly.com/question/14814430

#SPJ11

Whitman Enterprises uses a traditional-costing system to estimate quality-control costs for its Dragon product line. Costs are estimated at 40% of direct-labor cost, and direct labor totaled $876,000 for the quarter just ended. Management is contemplating a change to activity-based costing, and has established three cost pools: incoming material inspection, in-process inspection, and final product certification. Number of parts, number of units, and number of orders have been selected as the respective cost drivers. The following data show the pool rates that have been calculated by the company along with the quantity of driver units for the Dragon's: Pool Rate Driver Quantities $8.60 per part 21.6 parts 0.28 per unit 29,600 units
131.00 per order 106 orders Required A. Calculate the quarterly quality-control cost that is allocated to the Dragon product line under Whitman's traditional-costing system B. Calculate the quarterly quality-control cost that is allocated to the Dragon product line if activity-based costing is used. C. Does the traditional approach under- or overcost the product line? By what amount? A. Quality-control cost B. Quality-control cost C. Undercost

Answers

The quarterly quality-control cost allocated to the Dragon product line under Whitman's traditional-costing system can be calculated as 40% of the direct labor cost, which is $876,000 x 40% = $350,400.

The quarterly quality-control cost allocated to the Dragon product line if activity-based costing is used can be calculated as follows:
- Incoming material inspection cost: 21.6 parts x $8.60 per part = $185.76
- In-process inspection cost: 29,600 units x $0.28 per unit = $8,288
- Final product certification cost: 106 orders x $131.00 per order = $13,886
Total quality-control cost = $185.76 + $8,288 + $13,886 = $22,359.76

The traditional approach under costs the product line because it only considers the direct labor cost as the cost driver for quality-control costs. The activity-based costing approach considers more cost drivers and is, therefore, more accurate. The amount by which the traditional approach under costs the product line can be calculated as the difference between the quality-control cost allocated under the two approaches, which is $22,359.76 - $350,400 = -$328,040.24.

To know more about quarterly quality-control cost

https://brainly.com/question/28443775

#SPJ11

A firm with earnings per share of $5 and a price-earnings ratio of 15 will have a share price
of?
A. $20.00
B. $75.00
C. $3.00
D. The market assigns a stock price independent of EPS and the P/E ratio

Answers

A firm with earnings per share of $5 and a price-earnings ratio of 15 will have a share price of $75.

To calculate the share price of a firm with earnings per share of $5 and a price-earnings ratio of 15, we need to use the formula:

Share Price = EPS x P/E Ratio

Substituting the given values, we get:

Share Price = $5 x 15
Share Price = $75

Therefore, the answer is option B, $75.00.

It is important to note that the market assigns a stock price independent of EPS and the P/E ratio. While these ratios provide an idea of the company's earnings and valuation, the actual stock price can be influenced by a variety of factors such as market trends, investor sentiment, and company news. It is crucial for investors to analyze these factors before making any investment decisions.

For more about earnings per share:

https://brainly.com/question/16562972

#SPJ11

2. In what type of organization is the functional manager likely to maintain project budget control? A. Weak matrix B. Balanced matrix C. Strong matrix D. Projectized

Answers

A. Weak Matrix. In a weak matrix organization, the functional manager generally has more authority and control over resources and budget, while the project manager has limited authority.

Weak matrices have been described by project managers as one in which the balance of power is critically tilted in the direction of line or function management.The shortcomings of matrix organizational structures divide loyalty among project teams. A blurry line of accountability.

Difficulty coordinating tasks and functions. Power struggle between project manager and feature manager. Deficiencies in functional organizational structures. This can lead to poor communication and independent silos. Teamwork and coordination are lacking when employees and managers are simply loyal to the team.

To know more about  Weak Matrix visit:

https://brainly.com/question/14521236

#SPJ11

which of the following affect safety stock levels in a fixed-order quantity model? check all that apply.multiple select question.lead time in daysreorder point in unitsstandard deviation of usage during lead timedesired service level

Answers

All the given choices affect safety stock levels in a fixed-order quantity model.

Lead time in days: longer lead times require higher safety stock levels to account for the greater uncertainty and variability in demand during that time.

Reorder point in units: a higher reorder point requires a higher safety stock level, as there is a greater risk of stockouts between the time of the order and the time of receipt.

Standard deviation of usage during lead time: greater variability in demand during lead time necessitates a higher safety stock level to ensure sufficient inventory to meet demand.

Desired service level: higher desired service levels require higher safety stock levels to minimize the risk of stockouts and maintain customer satisfaction.

To know more about quantity model refer here

https://brainly.com/question/7224625

#SPJ11

a) what is the average inventory turnover (quarterly and yearly) for the firm?(b) if you were given the assignment to increase inventory turnover, what would you focus on? why?

Answers

a) Without the specific information about the firm's inventory and cost of goods sold, it is not possible to determine the average inventory turnover for the firm on a quarterly or yearly basis.

b) To increase inventory turnover, I would focus on improving inventory management practices such as reducing lead times, optimizing order quantities, and implementing just-in-time inventory systems.

By reducing the amount of time inventory sits on the shelves and minimizing excess inventory, the firm can increase its inventory turnover ratio. Another strategy could be to evaluate product demand and adjust production accordingly to prevent overstocking.

This would help to increase sales while reducing the amount of inventory held.

For more questions like Amount click the link below:

https://brainly.com/question/13024617

#SPJ11

All of the following items would be found in raw materials inventory for a furniture manufacturer except
A. wood.
B. steel framing.
C. fabric.
D. assembly worker wages.

Answers

The item that would not be found in raw materials inventory for a furniture manufacturer is D. assembly worker wages.

Raw materials inventory typically includes the physical materials and components that are used to make the finished product, such as wood, steel framing, and fabric. Assembly worker wages are a cost associated with the production process, but they are not a physical item that would be stored in inventory.
The correct answer is D. assembly worker wages. All of the following items would be found in raw materials inventory for a furniture manufacturer except assembly worker wages, as these are considered labor costs and not raw materials. Raw materials include wood, steel framing, and fabric, which are used to create the furniture products.

Visit here to learn more about raw materials brainly.com/question/13160417

#SPJ11

The lack of supply chain coordination on various measures of performance has costs associated with it. Which of the following is one of these costs?
A) Quality
B) Reliability
C) Manufacturing
D) Pricing

Answers

The lack of supply chain coordination can have various costs associated with it. One of these costs is quality.

For example, if the supply chain is not properly coordinated, suppliers may not be able to provide the necessary materials or parts on time or at the desired quality level. This can lead to delays in production, resulting in decreased customer satisfaction and higher warranty costs.

Additionally, the lack of coordination can lead to issues with reliability, as suppliers may not be able to provide the necessary materials or parts on time or at the required quality level. This can result in production delays, higher inventory costs, and increased customer dissatisfaction.

Finally, the lack of supply chain coordination can lead to increased manufacturing costs as suppliers are unable to provide the necessary materials or parts on time or at the desired quality level. This can lead to increased production costs, higher customer prices, and decreased customer loyalty. In sum, the lack of supply chain coordination can have significant costs associated with it, including decreased quality, reliability, manufacturing costs, and pricing.

Know more about Manufacturing costs here

https://brainly.com/question/17111259#

#SPJ11

(4 point) 3. Sweet Company recently reported $17.350 of sales. $4,000 of operating costs other than depreciation, and $2.500 of depreciation. It had $4.000 of bonds outstanding that carry a 7%interest rate, and its tax rate was 35%. How much was the firm's earnings before taxes and interest (EBIT)?
A. $10,850
B. $13,720
C. $2,418
D. $7,418
E. None of the above

Answers

The correct answer is B. $13,720. To calculate the earnings before taxes and interest (EBIT), we need to subtract the operating costs,

Depreciation from the sales revenue:

EBIT = Sales - Operating costs - Depreciation
EBIT = $17,350 - $4,000 - $2,500
EBIT = $10,850

Next, we need to add the interest expense to the EBIT:

Interest expense = $4,000 x 7% = $280
EBIT + Interest expense = $10,850 + $280
EBIT + Interest expense = $11,130

Finally, we can calculate the earnings before taxes (EBT) by subtracting the interest expense from the EBIT:

EBT = EBIT - Interest expense
EBT = $11,130 - $280
EBT = $10,850

Lastly, we need to apply the tax rate to calculate the earnings after taxes (EAT):

EAT = EBT x Tax rate
EAT = $10,850 x 35%
EAT = $3,798.50

Therefore, the correct answer is B. $13,720.

Learn more about taxes here:

https://brainly.com/question/12611692

#SPJ11

chuck deposits $\$2000$ into a bank account that compounds monthly at an interest rate of $6\%.$ assuming there are no other transactions, what will the balance be after $4$ years, in dollars?

Answers

The balance in the account after 4 years will be approximately $\$2,718.35$. To calculate the balance after 4 years, we need to use the formula for compound interest: $A = P(1 + r/n)^{nt}$


Where A is the final balance, P is the initial deposit, r is the interest rate (as a decimal), n is the number of times interest is compounded per year, and t is the number of years.


In this case, P = $2000$, r = $0.06$, n = $12$ (since interest is compounded monthly), and t = $4$. Plugging these values into the formula, we get: $A = 2000(1 + 0.06/12)^{(12)(4)} =  $  $\approx  $\$ $2,718.35$


Therefore, the balance in the account after 4 years will be approximately $\$2,718.35$.

To know more about account,refer to the link:

https://brainly.com/question/1356896#

#SPJ11

item 3 nonprofits help assist in government endeavors, but can not be funded by the government. group startstrue or false

Answers

The given  statement "Nonprofits help assist in government endeavors, but cannot be funded by the government" is  true because Nonprofits do indeed often collaborate with governments to address various social, environmental, and economic issues.

However, it is not accurate to say that nonprofits cannot receive government funding. Many nonprofits receive financial support from local, state, and federal government agencies through grants, contracts, or other types of funding mechanisms. These government funds are often vital for nonprofits to provide essential services and achieve their missions. Nevertheless, it is important to note that there may be specific regulations and limitations regarding the use of government funds by nonprofits.

Additionally, nonprofits must maintain a certain level of independence and adhere to specific laws and regulations to retain their tax-exempt status. This includes restrictions on political activities and lobbying efforts. In summary, while nonprofits play a crucial role in supporting government endeavors, they can and often do receive government funding, albeit with certain regulations and restrictions in place.

Know more about government funding here:

https://brainly.com/question/30394725

#SPJ11

Carlos operates a Nightclub. His gross receipts from admissions during the month amounted to P126,700. The foods and drinks being served inside the nightclub are being served by Tiberio, a non-VAT registered taxpayer. During the same month, Tiberio has gross receipts of P32,400 and paid rentals to Carlos amounting to P13,000. How much is the amusement tax payable? 28,638 19.005 O 22,806 25.146

Answers

The amusement tax payable is 28,638. the correct answer is 28,638, which is the closest option provided.

Amusement tax is computed as 10% of gross receipts from admissions.

In this case, Carlos' gross receipts from admissions is P126,700. Amusement tax = 10% of P126,700 = P12,670 In addition, Tiberio paid rentals to Carlos amounting to P13,000.

This amount is subject to 3% percentage tax since Tiberio is a non-VAT registered taxpayer.

Percentage tax = 3% of P13,000 = P390 The total amusement tax payable is the sum of the amusement tax and percentage tax.

Total amusement tax payable = P12,670 + P390 = P13,060

Amusement tax = (Gross receipts from admissions + Gross receipts from non-VAT registered taxpayer - rentals paid) x Amusement tax rate

Amusement tax rate in the Philippines is 18% of the gross receipts.

Substituting the given values, we get:

Amusement tax = (126,700 + 32,400 - 13,000) x 0.18

Amusement tax = 145,100 x 0.18

Amusement tax = 26,118

Therefore, the correct answer is 28,638, which is the closest option provided.

Learn more about amusement here:

https://brainly.com/question/14658065

#SPJ11

T/F the risk-adjusted discount rate for a replacement decision will be less than the rate used by the same firm when considering a new product line.

Answers

True. The risk-adjusted discount rate for a replacement decision is usually lower than the rate used when considering a new product line.

This is because a replacement decision involves less risk compared to introducing a new product line. When replacing an existing asset or product, the company already has some knowledge and experience with the asset or product, whereas introducing a new product line involves uncertainties and unknowns that increase the level of risk. Therefore, the risk-adjusted discount rate used for replacement decisions is typically lower.

To know more about Risk-adjusted discount rate  visit:

https://brainly.com/question/28166035

#SPJ11

A bank has $200 of reserves and $4,000 of deposits. It is just meeting its desired reserves and has no excess reserves. Thus the desired reserve ratio is
A) 10 percent.
B) 20 percent.
C) 25 percent.
D) 5 percent.
E) $200.

Answers

The answer is c) 25%

The desired reserve ratio for this bank is 5 percent (option D)

To determine the desired reserve ratio for a bank with $200 of reserves and $4,000 of deposits, we need to find the percentage of deposits that the bank is required to hold in reserves.
1. First, divide the reserves by the deposits: $200 / $4,000 = 0.05
2. Then, convert this decimal to a percentage: 0.05 * 100 = 5%
Learn more about "reserves" at https://brainly.com/question/25812353

#SPJ11

which of the following statements is most accurate? firms with low pb ratios are value firms and tend to outperform high pb firms. the biggest drawback of using pcf ratio is its inability to address operating efficiency. higher peg ratios imply undervalued stocks. pcf is a preferred relative measure compared to pe.

Answers

Based on the information provided, the most accurate statement is: firms with low PB ratios are value firms and tend to outperform high PB firms.

This is because the PB ratio (price-to-book ratio) compares a company's market value to its book value, which is the value of its assets minus liabilities. A low PB ratio indicates that a company's stock price is undervalued relative to its assets, making it a value investment.

In contrast, a high PB ratio suggests that a company's stock price is overvalued relative to its assets, making it a growth investment. While the other statements may also have some degree of accuracy, they do not have as much empirical support as the statement about PB ratios.

Read more about PB ratio at https://brainly.com/question/28560786

#SPJ11

To encourage inward FDI, it is increasingly common for governments to

offer tax concessions to foreign firms that invest in their countries.

exclude foreign companies from specific industries.

require that local investors own a significant proportion of the equity in a joint venture.

prohibit MNEs from joining a cartel.

impose high custom duties on foreign firms.

Answers

To encourage inward foreign direct investment (FDI), many governments offer tax concessions to foreign firms that invest in their countries. The correct option is offer tax concessions to foreign firms that invest in their countries.

This is done to attract foreign investors by making it more financially attractive for them to do business in the country. By providing tax incentives, foreign companies are able to reduce their costs, which allows them to invest more and generate greater profits. However, it is important to note that offering tax concessions should not be the only strategy used by governments to encourage FDI. Other strategies, such as providing a favorable investment climate, creating a skilled workforce, and improving infrastructure, can also be effective in attracting foreign investors.

On the other hand, governments may also choose to exclude foreign companies from specific industries, require that local investors own a significant proportion of the equity in a joint venture, prohibit multinational enterprises (MNEs) from joining a cartel, or impose high custom duties on foreign firms. These measures are typically used to protect local industries or promote domestic investment.

However, they can also discourage foreign investment and limit the potential benefits that FDI can bring to a country. Therefore, governments need to carefully balance the benefits of FDI against the need to protect local industries and promote domestic investment. The correct option is offer tax concessions to foreign firms that invest in their countries.

For more about foreign direct investment:

https://brainly.com/question/31201991

#SPJ11

Other Questions
Can someone help with this? butane is a common fuel used in cigarette lighters and camping stoves. normally supplied in metal containers under pressure, the fuel exists as a mixture of liquid and gas, so high temperatures may cause the container to explode. at , the vapor pressure of butane is . what is the pressure in the container at ? (). be sure your answer has the correct number of significant figures. In what ways does the Sun affect plants? The maximum electric field just outside a uniformly charged spherical raindrop of radius (r) is (E). Assuming the electric potential is zero infinitely far away, what is the maximum electric potential at the surface of the raindrop? Help asap 20 points please why can a star with a mass like our sun not fuse (produce) further elements beyond carbon and oxygen? g The approach followed by management in choosing which locations to include in its assessment of internal control is a function of:____________ entity-level controlsthe number and size of existing locationsfinancial reporting risks at the locationswhen the locations were previously assessed you are concerned that an attacker can gain access to your web server, make modifications to the system, and alter the log files to hide his or her actions. which of the following actions would best protect the log files? answer use syslog to send log entries to another server. take a hash of the log files. encrypt the log files. configure permissions on the log files to prevent access. 41. Name four Intel processors and four MIPS processors. mccabe corporation is expected to pay the following dividends over the next four years: $11, $7, $6, and $3.50. afterward, the company pledges to maintain a constant 4 percent growth rate in dividends forever. if the required return on the stock is 14 percent, what is the current share price? Company X has variable costs per unit of $20, fixed costs of $300,000, and a break-even point in units of 60,000 units. If the sales price per unit decreases by $2 and the variable cost per unit decreases by $2, what would happen to the break-even point? Multiple Choice Break-even point increases. O Break-even point in dollars decreases. O Break-even point stays the same. Break-even point in dollars decreases and break-even point in units stays the same. How does the dream most affect the speaker? Cite evidence from the poem to support your response.(Her sweet Weight on my Heart a Night by Emily Dickinson) What did Pop Warner do with his years salary, why was this not a good idea? A company has some bottling equipment which cost $10.80 million, has a netbook value of $5.25 million, estimated future cash flows of $3.93 million, and a fair value of $3,33 million. Which of the following correctly describes the recording of the asset impairment loss? a. The loss account is debited for $1.92 million and the asset account is credited for $1.92 million. b. The loss account is debited for $1.32 million and the asset account is credited for $1.32 million. c. The loss account is debited for $7.47 million and the asset account is credited for $7.47 million. d. The loss account is debited for $6.87 million and the asset account is credited for $6.87 million Researchers can create a three-dimensional view of the brain usingSelect one:a. magnetic resonance imaging (MRI).b. biofeedback.c. electroencephalograms.d. electrical impulses. An employee concerned primarily with the seniority system, insurance plan, and retirement policy is motivated by A) physical needs. B) social esteem needs. C) affiliation needs. D) security needs. The grams of fiber from 1,000 different breakfast cereals sold in the United States were collected.Which graphical representation would be most appropriate for the data, and why?Bar chart, because the data is categoricalHistogram, because there is a large set of dataStem-and-leaf plot, because you can see the shape of the dataLine plot, because you can see the mode of the data The broad term _____ represents an interest in viewing the operations function as a whole rather than simply as an analysis of inputs and outputs. Find the area of the indicated region under the standard normal curve.The area betweenz=1.3z=1.3andz=1.4z=1.4under the standard normal curve. Henning has applied for the position of project engineer. What tasks would he perform?