last year dallas company reported sales of $640,000, a contribution margin of $160,000, and a net loss of $40,000. based on this information, dallas needed how much in total sales to breakeven?

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Answer 1

Dallas Company needed $640,000 / 0.813 = $787,473 in total sales to break even.

To break even, a company's total sales should cover all its costs, including fixed costs and variable costs. The contribution margin represents the amount of revenue that is left over after covering variable costs, and it is used to contribute towards covering fixed costs.

To calculate the breakeven point, we need to determine the total fixed costs for the company. We can use the contribution margin to calculate the fixed costs as follows:

Contribution margin = Total sales - Total variable costs

$160,000 = $640,000 - Total variable costs

Total variable costs = $480,000

To calculate the breakeven point, we can divide the total fixed costs by the contribution margin per unit:

Breakeven point = Total fixed costs / Contribution margin per unit

Breakeven point = ($480,000 + $40,000) / ($640,000 / Units sold)

Breakeven point = $520,000 / ($640,000 / Units sold)

Breakeven point = Units sold = 0.813

Therefore, Dallas Company needed $640,000 / 0.813 = $787,473 in total sales to break even.

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which factor has a low correlation to job satisfaction? question 2 options: a) level of pay b) treatment by supervisors c) job characteristics d) all of the above.

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While it is generally recognized that factors such as level of pay, treatment by supervisors, and job characteristics contribute to job satisfaction, individual preferences and circumstances can vary widely. The Correct option is D

Some individuals may place more emphasis on other aspects of their work, such as work-life balance, opportunities for growth and development, or social connections with colleagues. Moreover, the importance of different factors can change over time, and what may have been a critical factor for job satisfaction in the past may no longer hold true.

Therefore, it is possible for any or all of the factors (level of pay, treatment by supervisors, and job characteristics) to have a low correlation with job satisfaction depending on the individual and the specific context.

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Complete Question:

Which of the following factors has a low correlation with job satisfaction?

a) Level of pay

b) Treatment by supervisors

c) Job characteristics

d) All of the above

during the year, cash increased by $620 million. investing and financing activities created positive cash flow totaling $1,040 million. what were net cash flows from operating activities in the statement of cash flows? multiple choice outflow of $420 million. inflow of $620 million. inflow of $1,240 million. outflow of $620 million.

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Net cash flows from operating activities = -$420 million. Hence, the correct answer is (A) an Outflow of $420 million.

For calculating the net cash flows from operating activities, first calculate the difference between the change in cash and the cash flows from investing and financing activities (i.e. the net cash flows)

The information provided is as follows:

Change in cash = $620 million (increase)

Positive Cash flows from investing and financing activities = $1,040 million

Net cash flows from operating activities = Change in cash - Cash flows from investing and financing activities

Net cash flows from operating activities = $620 million - $1,040 million

Net cash flows from operating activities = -$420 millions

Thus, the net cash flows from operating activities in the statement of cash flows are an outflow of $420 million.

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as a financial analyst for a large firm you are investigating two mutually exclusive investment projects for the firm, project a and project b. after your analysis you find that the irra>irrb, but that the npva

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As a financial analyst, I would recommend that the firm selects the project with the higher NPV (Net Present Value) as it provides a better measure of the project's profitability.

Although the IRR (Internal Rate of Return) is a useful metric for comparing the returns of different projects, it can be misleading in certain situations, such as when the projects have different cash flows. In this case, project A may have a higher IRR than project B, but project B may still have a higher NPV due to its larger cash flows in the earlier years.

Therefore, it is important to consider both measures when making investment decisions.

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if the cash flows for project a are c0 = -3,000, c1 = 500; c2 = 1,500; and c3 = 5,000, calculate the npv of the project using a 15 percent discount rate.

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To calculate the net present value (NPV) of project A, we need to discount each cash flow using the given discount rate of 15% and then add up the present values of all cash flows.

The formula for NPV is: NPV = Σ(CFt / (1 + r)t) - C0

where CFt is the cash flow in year t, r is the discount rate, and C0 is the initial investment.

Plugging in the values from the problem, we get:

NPV = (-3,000 / (1 + 0.15)^0) + (500 / (1 + 0.15)^1) + (1,500 / (1 + 0.15)^2) + (5,000 / (1 + 0.15)^3) - (-3,000)

NPV = -$527.35

Therefore, the NPV of project A is -$527.35. Since the NPV is negative, the project is not expected to be profitable, and it would not be recommended to pursue it.

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stockholders are residual claimants, meaning that they 1) a) have the first priority claim on all of a company's assets. b) are liable for all of a company's debts. c) will never share in a company's profits. d) receive the remaining cash flow after all other claims are paid.

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d) receive the remaining cash flow after all other claims are paid.

As residual claimants, stockholders have the last claim on a company's assets and income after all other claims are satisfied, including debts and taxes. This means that stockholders only receive dividends and capital gains after all other expenses and obligations have been paid by the company.

They are not liable for the company's debts beyond the amount of their investment and do not have the first priority claim on the company's assets. The company's creditors and bondholders, for example, have priority claims over stockholders in case of bankruptcy or liquidation.

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which of the following costs is most likely to be directly traceable to a specific department in a retail clothing store? multiple choice the cost of heating and air-conditioning. the cost of supplies. the cost of the department manager's salary. rent on the store building.

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The cost of the department manager's salary is most likely to be directly traceable to a specific department in a retail clothing store. The salary of a department manager is a direct cost that can be attributed to the department they oversee.

The cost of heating and air-conditioning, the cost of supplies, and rent on the store building are indirect costs that are shared by all departments in the store. These costs are usually allocated to the departments based on a predetermined cost allocation method. However, the department manager's salary is a direct cost and can be easily traced to the department they manage. This information can be useful in determining the profitability of individual departments and making decisions about resource allocation.

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here is no systematic relationship between the inflation rate and the unemployment rate a. if both the ad and as curves are shifting simultaneously. b. if only the as curve shifts while the ad curve does not shift. c. unless the ad and as curves are shifting simultaneously. d. if only the ad curve shifts while the as curve does not shift.

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Here is no systematic relationship between the inflation rate and the unemployment rate. The correct option is c. unless the AD and AS curves are shifting simultaneously.

The relationship between the inflation rate and the unemployment rate is typically depicted by the Phillips curve, which shows an inverse relationship between the two variables. According to the Phillips curve, when the economy is experiencing high unemployment, inflation tends to be low, and vice versa. However, this relationship may not hold true if there are simultaneous shifts in the aggregate demand (AD) and aggregate supply (AS) curves. Changes in AD and AS can affect both inflation and unemployment independently, leading to situations where the relationship between the two variables is not consistent with the Phillips curve.

Therefore, unless the AD and AS curves are shifting simultaneously, the inverse relationship between the inflation rate and the unemployment rate, as depicted by the Phillips curve, is generally expected to hold.

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shared ownership of data is most appropriate as business activities move across time zones.
T/F

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False.

Shared ownership of data is not specifically tied to business activities moving across time zones.

The appropriateness of shared ownership of data depends on various factors, such as the nature of the data, the purpose of sharing, legal and regulatory requirements, and the specific needs and agreements between the parties involved.

Shared ownership of data generally refers to a situation where multiple individuals, organizations, or entities have joint ownership or rights over the data.

be seen in partnerships, collaborations, or agreements where data is shared for mutual benefit or specific purposes.

While there may be nces where shared ownership of data is relevant or beneficial when business activities span across time zones, it is not inherently tied to time zones. The need for shared ownership of data can arise from various factors such as collaboration on projects, data sharing for research or analysis, data pooling for market insights, or compliance with data protection regulations.

It is important for organizations engaging in data sharing to establish clear agreements, define ownership rights, establish data governance frameworks, and ensure compliance with relevant laws and regulations. The appropriateness of shared ownership should be determined based on the specific circumstances and objectives of the data sharing arrangement, rather than solely on the basis of business activities crossing time zones.

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A local municipality is attempting to invest their tax revenues for a future city-wide development proposal. They would like to invest the $250 Million that have now by partnering with a major meat packing facility, and they expect to receive a return of $800 Million in 7 years. To the nearest 0.1%, what annual interest rate will the municipality have earned on their investment?

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To calculate the annual interest rate earned on their investment, we can use the formula for compound interest. By solving the equation, rounding the result to the nearest 0.1%, we can determine the annual interest rate.

To find the annual interest rate earned on the investment, we can use the formula for compound interest: Future Value = Present Value * (1 + Interest Rate)^Time. In this case, the present value is $250 million, the future value is $800 million, and the time is 7 years. We need to solve for the interest rate.

Rearranging the formula to solve for the interest rate, we have: Interest Rate = ((Future Value / Present Value)^(1/Time) - 1) * 100. Plugging in the given values, we get: Interest Rate = (($800 million / $250 million)^(1/7) - 1) * 100.

Calculating this expression, the interest rate is approximately 18.3%. Rounding to the nearest 0.1%, the municipality will have earned an annual interest rate of 18.3% on their investment.

It's important to note that this calculation assumes compound interest and that there are no additional factors such as taxes, fees, or compounding intervals. It provides an estimate of the annual interest rate based on the given information.

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what basket of goods and services is used to construct the cpi? a. the goods and services that are typically bought by consumers as determined by government surveys

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The basket of goods and services used to construct the Consumer Price Index (CPI) is determined by government surveys and represents the goods and services that are typically bought by consumers.

The CPI is a measure of inflation that tracks the changes in the prices of a predetermined set of goods and services over time. The basket of goods and services is designed to reflect the spending patterns of households and provides a representative sample of the overall consumption habits of consumers in a particular country.

To construct the CPI, government agencies conduct surveys and collect data on consumer spending patterns. These surveys capture information on the types of goods and services that households commonly purchase, including food, housing, transportation, healthcare, education, entertainment, and other categories.

The composition of the CPI basket is periodically updated to reflect changes in consumer preferences and consumption patterns. The weights assigned to different categories within the basket are based on the relative importance of each category in total consumer spending.

By tracking the price changes of this basket of goods and services, the CPI provides an indication of inflation and helps measure the cost of living for consumers.

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3. you are the chief financial officer of green acre industries. on multiple occasions, you have engaged in (illegal) insider trading but have never been able to earn abnormal returns. which form of market efficiency most likely exists given your situation?

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Answer:

Explanation:

Given the scenario, it is likely that a strong form of market efficiency exists. In a strong-form efficient market, all public and private information is already reflected in the current stock prices, including insider information.

If the CFO has engaged in insider trading but has not been able to earn abnormal returns, it suggests that even insider information does not provide an advantage in the market. This would be consistent with the strong form of market efficiency, which implies that even private information cannot be used to earn abnormal returns. It is important to note that insider trading is illegal and unethical, and market efficiency should not be used as an excuse to engage in such activities.

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assume that water fronts sells 1500 shares of treasury stock for $33 per share. what is the total stockholder equity

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When a company sells shares of treasury stock, it means that they are selling back some of the stock that they previously issued and repurchased. In this case, Water Fronts has sold 1500 shares of treasury stock for $33 per share.

To calculate the total stockholder equity, we need to take into account both the new cash received from the sale of the treasury stock and the change in the company's equity position. The total value of the shares sold is 1500 x $33 = $49,500. However, this does not immediately affect the company's stockholder equity. Instead, the company will need to update their balance sheet to reflect the change in equity resulting from the sale of the treasury stock. Assuming that Water Fronts only had treasury stock on hand and no other changes to equity during this period, the sale of 1500 shares of treasury stock for $33 per share would result in an increase in equity of $49,500. This is because the cash received from the sale of the stock is added to the company's assets, while the shares themselves are no longer considered part of the company's equity. Therefore, the total stockholder equity would be increased by $49,500 as a result of the sale of these shares of treasury stock.

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why were bank regulators concerned about credit default swaps during the credit crisis? regulators became concerned with credit default swaps because some banks sold them to protect their assets against default. regulators became concerned with credit default swaps as by 2008 all the sellers in the market of credit default swaps became overexposed and therefore not able to provide the protection they promised. regulators became concerned with credit default swaps because of the lack of transparency regarding the exposure of each commercial bank.

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During the credit crisis, bank regulators were concerned about credit default swaps (CDS) for a number of reasons.

Firstly, some banks sold CDS to protect their assets against default. However, this led to overexposure, as by 2008 all the sellers in the CDS market had become overexposed and unable to provide the protection they had promised. This created a ripple effect, as the failure of one bank could trigger the failure of others, leading to a systemic crisis. Secondly, there was a lack of transparency regarding the exposure of each commercial bank, making it difficult for regulators to monitor and regulate the market effectively.

This lack of transparency also made it difficult for investors to fully understand the risks they were taking on, leading to a situation where CDS were sold to investors who did not fully comprehend the risks. Overall, the concerns of regulators about CDS during the credit crisis were rooted in the potential for these financial instruments to amplify and spread risk throughout the financial system, leading to a systemic crisis.

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Air Jethro was organized on January 1, 2015, and expected to be able to begin providing air service in eighteen months, with the first flight scheduled for July 1, 2016.At the time Air Jethro was organized, there was great uncertainty about the future price of oil (i.e. fuel). Since fuel will be a significant portion of Air Jethro’s operating expenditures, Air Jethro had to decide an appropriate fuel strategy. Air Jethro expects to use the equivalent of 250,000 barrels of oil during the period July 1, 2016 to December 31, 2016. One possibility under consideration was purchasing 250,000 barrels of oil on January 1, 2015, and then hedging its "fair value" so that if the scheduled flights never took place, Air Jethro would not lose money on the oil that had been purchased.On January 1, 2015, the spot price for a barrel of Texas Crude is $ 50.00 per barrel. Drysdale Financial is a financial institution currently offering eighteen-month derivative oil contracts, each denominated in 100,000 barrels of oil. These contracts may be settled at any time prior to June 30, 2016, but must be settled on that date if they had not been closed previously. (Denote "SP" as the spot price of oil on the date a contract is settled.)Party A receives: 100,000 x ($50 – SP) per contract if SP < $ 50 on the date the contract is settledParty A pays: 100,000 x (SP - $50) per contract if SP > $50 on the date the contract is settledParty B will have the exact opposite cash flows as Party A. Air Jethro may elect to take the position of Party A or Party B, with Drysdale Financial serving as the counterparty. (While Drysdale Financial would ordinarily charge a fee for accepting this type of contract, this fee is ignored for purposes of this problem.)For purposes of the following problems, assume that the spot price of oil on December 31, 2015 is $ 40.00 per barrel and that the spot price of oil on June 30, 2016 is $ 35.00 per barrel. (Note that these amounts are not known on January 1, 2015, and only become known as time passes.)Assume that Air Jethro purchases 250,000 barrels of oil from Clampett Oil on January 1, 2015 at a price of $ 50.00 per barrel. Further, assume that on January 1, 2015, Air Jethro also enters into three oil derivative contracts with Drysdale Financial, and designates the contracts as "fair value hedges".First Question: In order to create a fair value hedge, should Air Jethro take the position of Party A or Party B in the contract with Drysdale Financial?Given your answer to the previous question, with respect to the transactions described above, please indicate the numbers that would appear on Air Jethro’s financial statements for the following items (if the item will not appear on a financial statement, please indicate this by putting $ 0 in the applicable line(s)).Oil Inventory – December 31, 2015: $ _______________Derivative Asset / Liability (circle one)on December 31, 2015: $ _______________Net Income: Year-Ending Dec. 31, 2015: $ _______________Comprehensive Income: Year-Ending Dec. 31, 2015: $ _______________

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Air Jethro should take the position of Party A in the contract with Drysdale Financial in order to create a fair-value hedge.

Oil Inventory – December 31, 2015: $ 12,500,000

Derivative Asset/Liability (circle one) on December 31, 2015: $ (1,500,000)

Net Income: Year-Ending Dec. 31, 2015: $ (1,500,000)

Comprehensive Income: Year-Ending Dec. 31, 2015: $ (1,500,000)

To create a fair value hedge, Air Jethro should take the position of Party A in the derivative contract with Drysdale Financial. This is because Air Jethro has purchased oil at a fixed price of $50 per barrel, and wants to hedge against a potential decrease in the price of oil.

By taking the position of Party A, Air Jethro will receive a cash inflow if the spot price of oil decreases below $50 per barrel, which will offset the decrease in the value of its oil inventory.

To determine the amount of the derivative asset or liability, we need to calculate the fair value of the three derivative contracts.

The fair value of each contract is the difference between the contract price ($50 per barrel) and the estimated future spot price of oil on the settlement date (June 30, 2016).

Assuming that Air Jethro takes the position of Party A, the fair value of each contract on January 1, 2015, is:

Contract 1: $50 - $35 = $15 per barrel x 100,000 barrels = $1,500,000

Contract 2: $50 - $35 = $15 per barrel x 100,000 barrels = $1,500,000

Contract 3: $50 - $35 = $15 per barrel x 50,000 barrels = $750,000

The total fair value of the three contracts is $3,750,000, which represents a derivative liability on Air Jethro's balance sheet. On December 31, 2015, the fair value of the derivative contracts will have changed due to the change in the spot price of oil.

Assuming that the spot price of oil remains at $40 per barrel, the fair value of each contract will be:

Contract 1: $50 - $40 = $10 per barrel x 100,000 barrels = $1,000,000

Contract 2: $50 - $40 = $10 per barrel x 100,000 barrels = $1,000,000

Contract 3: $50 - $40 = $10 per barrel x 50,000 barrels = $500,000

The total fair value of the three contracts is $2,500,000, which represents a derivative liability on Air Jethro's balance sheet.

The change in the fair value of the derivative contracts results in a loss of $1,250,000, which is recognized on Air Jethro's income statement as a decrease in net income and comprehensive income.

To calculate the value of the oil inventory on December 31, 2015, we need to multiply the number of barrels purchased (250,000) by the purchase price ($50 per barrel), which gives a total cost of $12,500,000. This amount is reported as inventory on Air Jethro's balance sheet.

Air Jethro should take the position of Party A in the contract with Drysdale Financial to create a fair-value hedge. As of December 31, 2015, Air Jethro's financial statements would show an oil inventory of $12,500,000,

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risky asset a has an expected return of 13% and the risk-free asset has a return of 5%. how can you construct a portfolio of these two assets with an expected return of 19%?

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To construct a portfolio with an expected return of 19%, an investor should allocate 80% of the portfolio to the risky asset and 20% to the risk-free asset.

To construct a portfolio of risky asset A and the risk-free asset with an expected return of 19%, we need to find the appropriate weights to allocate between the two assets. Let x be the weight of the risky asset and (1-x) be the weight of the risk-free asset. Then, the expected return of the portfolio can be calculated as follows:

Expected return of portfolio = x*Expected return of risky asset + (1-x)*Expected return of risk-free asset

Plugging in the given values, we get:

19% = x * 13% + (1-x) * 5%

Solving for x, we get x = 0.8, which means 80% of the portfolio should be allocated to risky asset A, and the remaining 20% should be allocated to the risk-free asset.

Therefore, to construct a portfolio with an expected return of 19%, an investor should allocate 80% of the portfolio to the risky asset and 20% to the risk-free asset.

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When the price of streaming Netflix increased from $10 to $11, the quantity of subscribers demanded fell from 100 to 85.

a) What is the price elasticity of demand for Netflix subscribers?

b) Is demand inelastic or elastic?

c) If we are the owners of Netflix, would we want to increase the price from $10 to $11? Why or why not?

need typed answers only.

Answers

a) The price elasticity of demand for Netflix subscribers can be calculated using the following formula: percentage change in quantity demanded divided by the percentage change in price, which is -1.5

In this case, the percentage change in quantity demanded is ((85-100)/100) x 100 = -15%, and the percentage change in price is ((11-10)/10) x 100 = 10%. Therefore, the price elasticity of demand for Netflix subscribers is -15%/10% = -1.5.

b) Since the price elasticity of demand for Netflix subscribers is -1.5, which is greater than 1, demand is considered elastic. This means that a small increase in price leads to a relatively large decrease in the quantity demanded.

c) If we are the owners of Netflix, we would have to weigh the potential benefits and drawbacks of increasing the price from $10 to $11.

On one hand, the decrease in quantity demanded may lead to a decrease in revenue, as fewer people subscribe to the service. On the other hand, if the price increase leads to a significant increase in revenue, it may be worth it. However, given the elastic nature of demand for Netflix subscribers, it is likely that the potential decrease in revenue would outweigh any potential increase, making it less desirable to increase the price.

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logan electronics has a production facility in bolivia. recently, the firm was taxed at a significantly higher rate than a local electronics company. which type of political risk is logan most likely experiencing?

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Logan Electronics is likely experiencing regulatory/political risk, which refers to the potential for changes in government policies or regulations to negatively affect a company's operations or profits.

The higher tax rate imposed on Logan Electronics suggests that the Bolivian government has changed its tax policies or regulations, resulting in increased costs for Logan.

This type of risk can arise from a range of political factors, such as changes in government leadership, shifts in political ideology, or changes in laws and regulations.

To manage political risk, companies can diversify their operations across multiple countries or engage in lobbying and advocacy efforts to influence government policies that affect their business.

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a 25-year mbb is issued. the bond has a par value of $10,000 and promised to pay an 8 percent annual coupon. assume that 20 years after the bond is used, bond market investors now required 12% yield on the bond. the bound is said to be selling at a discount. what is the discount in percentage terms?

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The given information indicates that a 25-year MBB bond with a par value of $10,000 is issued with a promised annual coupon rate of 8%.t he MBB bond is selling at a discount of 67.89% due to the increase in market interest rates, which resulted in the bond's yield requirement increasing from 8% to 12%.

However, 20 years after the bond is issued, the bond market investors now require a 12% yield on the bond. This higher yield requirement is due to the increase in market interest rates, inflation, or other market conditions. As a result, the bond's market price falls, and the bond is said to be selling at a discount.

To calculate the discount percentage, we need to find the present value of the bond using the new yield requirement of 12%. Using a financial calculator or spreadsheet, we can determine that the present value of the bond is $3,210.73. This is less than the bond's par value of $10,000, indicating that the bond is indeed selling at a discount. Therefore, the discount percentage is:

Discount percentage = ((Par value - Present value) / Par value) x 100%

Discount percentage = (($10,000 - $3,210.73) / $10,000) x 100%

Discount percentage = 67.89%

In conclusion, the MBB bond is selling at a discount of 67.89% due to the increase in market interest rates, which resulted in the bond's yield requirement increasing from 8% to 12%. This decrease in the bond's market price provides an opportunity for investors to purchase the bond at a lower price and receive higher returns in the future.

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management should select the depreciation method that group of answer choices is easiest to apply. best measures the plant asset's market value over its useful life. best measures the plant asset's contribution to revenue over its useful life. has been used most often in the past by the company.

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Management should select the depreciation method that best measures the plant asset's contribution to revenue over its useful life.

The purpose of depreciation is to allocate the cost of a plant asset over its useful life. There are different methods of depreciation, including straight-line, declining balance, and units of production.

The selection of a depreciation method depends on various factors, such as the nature of the asset, its expected useful life, and the method that best represents its contribution to revenue over that life. The method that best reflects the asset's contribution to revenue can provide better information for financial reporting and decision-making.

For example, if an asset generates a higher proportion of revenue in its early years, a method that provides for higher depreciation in those years may be appropriate.

On the other hand, if an asset generates more revenue in its later years, a method that provides for lower depreciation in the early years may be more appropriate. Therefore, management should select the depreciation method that best reflects the plant asset's contribution to revenue over its useful life, rather than selecting a method based on past usage or ease of application.

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branding: multiple choice can be a barrier to entry. guarantees high-quality products. creates perceived, but not real, differences in products. all of these are true.

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Branding can be a powerful tool for businesses to differentiate themselves from competitors, create brand loyalty among customers, and ultimately increase profits.

However, branding can also act as a barrier to entry for new businesses trying to enter the market. By creating a strong brand, established businesses can make it difficult for new businesses to gain a foothold in the market and attract customers away from established brands.

Branding also has the potential to guarantee high-quality products, as consumers often associate a strong brand with quality and reliability. This can lead to increased trust and loyalty among customers, which can translate into increased sales and profits for the business.

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after journal entries are recorded, they are posted to the where ending balances of each account are calculated.

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After journal entries are recorded, they are posted to the ledger where the ending balances of each account are calculated. The ledger is the main answer.

The ledger contains all the accounts of a company and shows all of the financial transactions of the company that have been recorded in the journal. It is used to record and track the various monetary transactions such as accounts receivable, accounts payable, and inventory.The ledger is the core of the company's accounting system.

All of the accounts that are kept on the ledger are summarized in the trial balance. This is done to ensure that the total debit balances are equal to the total credit balances in the company's accounting system.

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licensing involves the establishment of a new operation in a foreign country. true or false

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Answer: True

Explanation:

where would you look on the food label to determine if sugar was added to the product?

Answers

To determine if sugar has been added to a food product, you can look at the ingredients list on the food label.

Ingredients are typically listed in descending order by weight, so the higher up an ingredient appears on the list, the greater the quantity in the product. Look for terms that indicate the presence of added sugars, such as "sugar," "cane sugar," "high-fructose corn syrup," "honey," "molasses," "maple syrup," or other sweeteners. Keep in mind that sugar can have various names, so it's essential to be familiar with different sugar aliases. Additionally, some food labels now include a separate line for "added sugars," providing a more specific breakdown of the amount of added sugars in the product. This information helps consumers make informed choices about their sugar intake

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medical research that results in a cure for a serious disease produces positive externalities. what is the impact of this positive externality on economic efficiency?

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Medical research that results in a cure for a serious disease produces positive externalities, which are benefits that are enjoyed by society as a whole rather than just by the individuals or firms directly involved in the research. Positive externalities, such as a cure for a disease, can have a significant impact on economic efficiency.

Firstly, a cure for a serious disease can improve public health, reduce mortality rates, and increase life expectancy. This has a positive impact on the labor force, as people are able to work for longer periods and be more productive, resulting in an increase in economic growth. Additionally, there is a decrease in healthcare costs associated with treating the disease, which can lead to lower health insurance premiums and government healthcare spending. This reduction in healthcare costs can also lead to an increase in disposable income, which can result in increased consumer spending and a boost to the economy. Furthermore, medical research that results in a cure for a serious disease can also lead to the development of new technologies and treatments that can be used to treat other diseases. This can lead to increased innovation and productivity, as well as the creation of new industries and jobs. Overall, the positive externalities of medical research that results in a cure for a serious disease can have a significant impact on economic efficiency. It can lead to an increase in economic growth, productivity, and innovation, as well as a decrease in healthcare costs and an improvement in public health.

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which of the following is an example of benefit selling? select one: a. using a star athlete in promotional materials b. flex ticket plan offerings c. dynamic ticket pricing d. high-pressure telemarketing tactics

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Flex ticket plan services are an illustration of benefit selling. As a result, choice (B) is accurate.

A ticket plan is a bundle or subscription that event planners, sports teams, or venues give that grants admission to multiple events or games for a lower cost than purchasing ticket plan one at a time.

Customers who purchase ticket plans generally receive a range of advantages, including preferential seating, flexible ticket exchanges, and exclusive access to events or goods.

Season ticket packages: A season ticket benefit package offers admission to most or all of a given team's or venue's events during a given season. These packages frequently include benefits like privileged seating, VIP access, and price breaks on goods.

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In order to calculate free cash flow by starting with incremental cash flow from operations, we should (Points : 1)subtract the incremental capital expenditures and add the incremental additions to working capital.add the incremental capital expenditures and the incremental additions to working capital.subtract the incremental capital expenditures and the incremental additions to working capital.None of the above.

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To calculate free cash flow by starting with incremental cash flow from operations, we should subtract the incremental capital expenditures and add the incremental additions to working capital.

Free cash flow is the cash a company generates after accounting for all expenses, including capital expenditures and changes in working capital.

Incremental cash flow from operations is the cash generated by a company's core operations that is not tied to investments or financing activities.

To calculate free cash flow, we need to subtract the incremental capital expenditures, which are the investments in fixed assets made by the company during the period, and add the incremental additions to working capital, which are the changes in current assets and liabilities during the period.

This is because the investments in fixed assets reduce the available cash, while changes in working capital can either increase or decrease the available cash.

Therefore, to calculate free cash flow by starting with incremental cash flow from operations, we should subtract the incremental capital expenditures and add the incremental additions to working capital.

This will give us a better understanding of the company's true cash flow position and its ability to generate cash from its core operations.

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Which of the following accounts is debited when employees take paid vacation?
A)Vacation Benefits Expense
B)Vacation Benefits Payable
C)Salaries Expense
D)No entry is needed.

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The account debited when employees take paid vacation is typically the Vacation Benefits Expense. The correct option is A.

When employees take paid vacation, the company incurs an expense for providing these benefits to its employees. This expense is recorded in the Vacation Benefits Expense account, which is part of the company's operating expenses. By debiting this account, the company recognizes the cost associated with providing vacation benefits to its employees.

Option B, Vacation Benefits Payable, is a liability account that is typically used to record the company's obligation to pay employees for unused vacation time. This account is credited when vacation benefits are earned but not yet taken by the employees. It is not directly affected when employees actually take paid vacation.

Option C, Salaries Expense, is used to record the regular salaries and wages paid to employees for their work. It is not specifically related to vacation benefits and is not directly affected when employees take paid vacation.

Therefore, the correct answer is A) Vacation Benefits Expense, as it represents the expense incurred by the company when employees take paid vacation.

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________ is used to induce employees to behave in predictable, accountable ways.
A) A hybrid structure
B) An organic structure
C) A stationary structure
D) A mechanistic structure

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The correct answer is D) A mechanistic structure.

A mechanistic structure is used to induce employees to behave in predictable, accountable ways. It is a traditional organizational structure characterized by clear hierarchies, formalized procedures, and strict rules and regulations. In a mechanistic structure, tasks and responsibilities are clearly defined, decision-making is centralized, and there is a focus on efficiency, control, and standardization. This structure aims to minimize ambiguity, promote uniformity in behavior, and ensure employees adhere to established protocols and guidelines. By providing a well-defined framework and clear expectations, a mechanistic structure helps to create consistency and predictability in employee behavior within an organization.

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When the sum of all entries in the subsidiary ledger equals the balance in the corresponding general ledger account, it is assumed that
A) the recording processes were accurate.
B) all source documents were recorded.
C) adjusting entries are not required.
D) no errors exist in the subsidiary ledger.

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When the sum of all entries in the subsidiary ledger equals the balance in the corresponding general ledger account, it is assumed that the recording processes were accurate, Option A

This indicates that the subsidiary ledger, which contains detailed information about individual accounts, reconciles with the general ledger, which contains summary-level information for all accounts. If the subsidiary ledger is in balance with the general ledger, it suggests that all transactions were properly recorded and that no errors were made during the recording process. Hence the answer will be be option A  the recording processes were accurate. However, it does not necessarily indicate that all source documents were recorded or that adjusting entries are not required. Therefore, it is important for accountants to review both the general ledger and subsidiary ledgers to ensure the accuracy of financial statements.

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RM Motors, a manufacturer of model metal vehicles, has the following total cost schedule. What is the value of the firm's fixed costs?
Q; Total Cost
0, 100
2, 175
3 205
4, 245
5, 310

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To determine the value of the firm's fixed costs, we need to identify the cost that does not change with the level of output (Q). In this case, the fixed costs remain constant regardless of the quantity produced.

Looking at the given data, we can observe that the total cost increases as the quantity (Q) increases. However, the difference between the total costs for different levels of output is not consistent, which suggests the presence of variable costs.

To isolate the fixed costs, we can look at the total cost when the output is zero (Q = 0). According to the data provided, when Q = 0, the total cost is $100. This means that even when no units are produced, the company incurs a cost of $100. Therefore, the value of the firm's fixed costs is $100.

Fixed Costs = Total Cost at Q

= 0

= $100

The value of RM Motors' fixed costs is $100. These costs remain constant regardless of the quantity produced.

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