Answer:
c. $1,735,500
Explanation:
The computation of the estimation of the total plant cost is shown below:
= Delivery equipment cost × (1 + 1.36 + 0.31)
= $650,000 × 2.67
= $1,735,500
Hence, the estimation of the total plant cost is $1,735,500
Therefore the correct option is c
We simply applied the above formula so that the correct value could come
And, the same is to be considered
A company acquired an office building, land, and equipment in a single basket purchase. The fair values were $1,560,000, $1,560,000, and $2,080,000 for the building, land, and equipment, respectively. The company recorded the building for $1,470,000. What was the total purchase cost for all three assets
Answer:
$4,900,000
Explanation:
Ratio of Building in total Fair Value = $1,560,000 / ($1,560,000 + $1,560,000 + $2,080,000)
Ratio of Building in total Fair Value = $1,560,000 / $5200000
Ratio of Building in total Fair Value = 0.3
Ratio of Building in total Fair Value = 30%
Building recorded by = $1470000
Total Purchase Price of all three asset = $1470000 / 30%
Total Purchase Price of all three asset = $1470000 / 0.3
Total Purchase Price of all three asset = $4,900,000
Driving skills are a basic qualification of
Military Infantry.
Mail Carriers.
Ambassadors.
Tax Examiners.
Answer quick
Answer: The answer is B mail carriers
Explanation:
Answer: B
Explanation:
Mail carriers
When is a variance considered to be 'material'?
a) When it could have been controlled more effectively
b) When it is infrequent
c) When it is unfavorable
d) When it is large compared to the actual cost
the answer is 2,3,6 i just don't see why you tell a story
Answer:
Storys make everything fun.
Explanation:
Smarter than Einstein
The most competitively effective and very likely most profitable long-term approach to reduce or eliminate the impact of paying tariffs on pairs imported to a company's distribution warehouse in Europe-Africa is to:___________.
A) raise the selling prices of all footwear being marketed in Europe-Africa by enough to cover somelall of the tariff costs. build and equip a production facility in Europe-Africa and then expand it as may be needed to supply all (or at least most) of the pairs the company intends to try to sell in Europe- Africa.
B) cut distribution and warehouse expenses and marketing expenses per pair sold in Europe Africa by enough to cover some/all of the tariff costs.
C) pursue a strategy of selling fewer pairs in Europe-Africa than rival companies, which will then keep the company's costs for import tariffs in Europe-Africa lower than those of rivals and give the company a competitive advantage based on low tariff costs on its sales in Europe-Africa.
D) pursue a strategy of selling footwear to retailers in Europe-Africa at a wholesale price of $39 per pair or less--no import tariffs have to be paid on branded pairs shipped to footwear retailers in Europe-Africa when the wholesale price is below $40 per pair.
Answer:
build and equip a production facility in Europe-Africa and then expand it as may be needed to supply all (or at least most) of the pairs the company intends to try to sell in Europe- Africa
Explanation:
In order to have effective competition and profitable for the long term approach for decreasing or removing the effect of tariff that would be paid on pairs is that to establish the production facility so that it would get expanded and the same is to be sell in Europe-Africa
Therefore the above represents the answer
The most appealing way to reduce or eliminate the impact of paying tariffs on pairs imported to a company's or organization's distribution warehouse in Europe-Africa is to:
Build and equip a manufacturing plant in Europe-Africa, then expand it as needed to supply all (or at least the majority) of the pairs the company plans to sell in Europe-Africa.To have effective competition and a successful long-term strategy for reducing or eliminating the effect of tariffs paid on pairs, it is necessary to develop a production facility that can be expanded and sold in Europe.Therefore, option A is the correct response to the distribution warehouse.
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Discuss how construction of a portfolio can lower the risk of an investor.
Answer:
Simply put, the other meaning portfolio construction is diversification of risk. Portfolio construction is the one of simplest way of reducing risk without significantly affecting the returns.
Ways of diversifying risk includes Pension Funds, Mutual Fund, Equity, Stocks, Debt / Bonds, Retirement Saving, etc. If someone had made their investment in only one asset class, then there will be less returns available with high risk. while doing portfolio investment, it will give a systematic and controlled risky investment with higher return opportunities because some assets will perform well while other do poorly. but next year scenario could be changed or reversed. There are some thumb rules while doing portfolio investment, but it can be changed based on individual's personal goal.
Besides knowing the amount of sales, what other
information is required to calculate a return on
sales (ROS)?
Answer:
selling price, variable cost, fix cost
Explanation:
From 2006 to 2010, per capita real gross domestic product (GDP) in Croatia grew an average of 1.08 percent per year. At that rate, according to the Rule of 70, in roughly how many years will the Croatian economy double in size?
Answer:
Number of Years to Double= 64.81
Explanation:
Giving the following information:
From 2006 to 2010, per capita real gross domestic product (GDP) in Croatia grew an average of 1.08 percent per year.
The rule of 70 is a means of estimating the number of years it takes for an investment or your money to double. In this case, the GDP.
Number of Years to Double= 70/Annual growth
Number of Years to Double= 70/1.08
Number of Years to Double= 64.81
"In terms of the exercise, what price will the client report for tax purposes in relation to the price at which the stock is sold to the buyer of the call?"
What type of mortgage requires fixed monthly interest payments for 3 to 5 years whereupon full payment of the mortgage principal is due?
Answer:
Balloon Payment Mortgages
Explanation:
Mortgages are simply loans to persons or businesses to get/purchase homes, land, or other real property.
A balloon payment mortgage is a a type of mortgage known for its ability to not fully amortize over the term of the note, thereby leaving a balance due at maturity. Its last or final payment is called a balloon payment because of its notable large size. This type of mortgages are more more common in commercial real estate than in residential real estate. the above statement of it that it require fixed monthly interest payments for 3 to 5 years whereupon full payment of the mortgage principal is due is correct.
Which characteristics make it so that perfectly competitive firms and monopolistically competitive firms have zero economic profit in the long run?
Answer:
A. Homogeneous product and perfect information
Explanation:
The characteristics in which the perfectly competitive market and the monopolistic market would have zero economic profit in the long run that should be the same product and perfect information as the high prices would vary . Also it decreases the asymmetric information
Therefore as per the given situation, the correct option is A
Chik’s Chickens has accounts receivable of $6,333. Sales for the year were $9,800. What is its average collection period? (Use 365 days in a year. Do not round intermediate calculations. Round your final answer to the nearest whole number.)
Answer:
236 days
Explanation:
Average collection period is computed as;
= Receivables at start of the year / Average daily sales
Given that;
Receivables at start of the year
= $6,333
Daily sales
= Sales for the year / Days in a year
= $9,800 / 365 = 26.849315068
Therefore,
Average collection period = $6,333 / 26.849315068
Average collection period = 235.87193878
Average collection period = 236 days. Approximated.
A company's_______ tells you how much money the company has left over after subtracting all expenses. *
a) Net Profit
b) Gross Profit
c) Revenue
d) Cost Of Goods Sold (COGS)
Answer:
net profit
Explanation:
net profit is the money left after all cost are deducted
Answer:
D: COGS
Explanation:
A company's COGS tells you how much money the company has left over after subtracting all expenses
Imagine you are in the process of buying a new car. Give at least two examples of both qualitative and quantitative data that you would consider in your purchase decision. Explain and defend your choices provide several qualitative attributes and several quantitative characteristics you would consider important when purchasing a car.
Answer: Qualitative data cannot be recorded numerically at the initial stage, but can be later converted into numerical data for statistical purposes.
Quantitative data is conclusive in summary, can be recorded numerically first hand.
Explanation:
Qualitative data cannot be recorded numerically at the initial stage, but can be later converted into numerical data for statistical purposes.
Quantitative data is conclusive in summary, can be recorded numerically first hand.
Qualitative variables examples;
Colour of the car
Driver experience
Quantitative variables:
Size of the car
Horse power of the engine -
Magix Productions orders new equipment for the company. The new equipment costs $50,000 and will help the company to save $10,000 annually. What is the average rate of return of the equipment?
A. 15 percent
B. 20 percent
C. 35 percent
D. 40 percent
Answer:
B. 20 percent
Explanation:
The computation of the average rate of return of the equipment is shown below:
= Average net profit or savings ÷ average investment
= ($10,000 ÷ 2) ÷ ($50,000 ÷ 2)
= $5,000 ÷ $25,000
= 20%
hence, the average rate of return of the equipment is 20%
We simply applied the above formula so that the correct value could come
And, the same is to be considered
Alicia studies with her phone nearby so she can play her favorite music and keep up with what her friends are doing.
In this case, how can Alicia make her studying environment more effective?
She can find a more comfortable chair.
She can have more resources available.
She can remove any possible distractions.
She can choose an area with more light.
Answer:
C
Explanation:
edgen 2020
In this case, Alicia makes her studying environment more effective as she can remove any possible distractions. The correct option is c.
What is studying?Studying is crucial for personal skill development in addition to educational advancement. Your confidence, skill, and self-esteem can all be increased by having effective study techniques. Additionally, it aids in lowering tension and worry related to tests and deadlines.
Take anything out of your study area that is not necessary for studying. To lessen auditory distractions, wear noise-canceling headphones, listen to white noise, or try utilizing earplugs. Eliminate electronic irritants. Put your phone in silent mode and away from your line of sight.
Therefore, the correct option is c. She can remove any possible distractions.
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Which of the following is a potential disadvantage when considering long-term loans as an option for raising capital?
OA. They are available to firms with a weak credit rating.
O B. Not all companies can qualify for loans and acceptable terms.
O C. Such loans can restrict the way an organization uses its assets.
D. They require diluting ownership in organizations.
O E. They cannot provide substantial sums of money to businesses.
Answer:
A potential disadvantage when considering long-term loans as an option for raising capital is:
D. They require diluting ownership in organizations.
Explanation:
This potential disadvantage becomes a reality when the long-term loans are converted into shares. At this point, the ownership in the organization is diluted. Ownership dilution reduces the percentage of the ownership of shares in the entity. The investment becomes less attractive to the original owners since more owners are brought on board.
A potential disadvantage when considering long-term loans as an option for raising capital is D. They require diluting ownership in organizations.
A long-term loan refers to a loan that is paid for more than three years. This is different from a short-term loan that is usually expected to be paid back within a few years.
A disadvantage when considering long-term loans as an option for raising capital is that require diluting ownership in organizations. When one doesn't pay back on time, one may lose some percentage of ownership in the company.
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An aging of a company's accounts receivable indicates that $8400 are estimated to be uncollectible. If Allowance for Doubtful Accounts has a $3800 credit balance, the adjustment to record bad debts for the period will require a:_____.
1. debit to Bad Debts Expense for $1,800.
2. debit to Bad Debt Expense for $2,200.
3. credit to Allowance for Doubtful Accounts for $3,000.
4. debit to Bad Debts Expense for $2,000.
Answer:
Debit to Bad Debts Expense for $4,600
Explanation:
Based on the information given we were told that the company's accounts receivable shows the amount of $8400 which was estimated to be uncollectible which means that If Allowance for Doubtful Accounts has the amount of $3800 as credit balance, the adjustment to record bad debts for the period will require a Debit to Bad Debts Expense for $4,600 calculated as
Bad Debts Expense=Accounts receivable-Allowance for Doubtful Accounts
Bad Debts Expense=$8,400-$3,800
Bad Debts Expense=$4,600
Bonita Company's inventory records show the following data:
Units Unit Cost
Inventory, January 1 10900 $8.00
Purchases: June 18 8700 8.10
November 8 5700 5.00
A physical inventory on December 31 shows 5700 units on hand. Under the FIFO method, the December 31 inventory is:_______
Answer:
$28,500
Explanation:
FIFO will give the same result whether you use perpetual or periodic system.
Ending Inventory = Units Left × Earliest Price
Therefore,
Ending Inventory = 5700 units × $5.00
= $28,500
Distinguish between the Federal funds rate and the prime interest rate. Which of these two rates does the Fed explicitly target in undertaking its monetary policy?
Answer: The Fed wanted to encourage banks to raise their prime interest rates, slowinggrowth in investment, consumption, and aggregate demand to a noninflationary pace.
Explanation:
Federal funds interest rate could be as interest rate banks charge themselves on overnight loans in order to meet reserve requirement. While prime interest are interest rates banks charge on loans to their most credit worthy customer. The Fed wanted to encourage banks to raise their prime interest rates, slowinggrowth in investment, consumption, and aggregate demand to a noninflationary pace.The tight money policy successfully raised the prime interest rate.
During the 1970s, some economists argued that the cause of the woes of the economy were due to __________. g
Explanation:
Stagflation. Which is stagnant growth combined with inflation. Which was caused in large part by repeated disruptions to global oil supplies, which led to soaring prices and gasoline shortages in the United States.
g __________ conversion is the least expensive and highest risk IS conversion strategy because the old system is cut off and the new system is turned on at a certain point in tim
Answer:
Direct
Explanation:
There are different types of conversion systems. Example includes the direct conversion and parallel conversion.
In this conversion system, users stops using the old system one day and starts using the next system the next.
Its requires fewer resources and is simple if nothing goes wrong. Risk involved mostly if the hardware and software are old or at a cutting edge.
Direct conversion is said to be an abrupt change where the the old system is simply unplugged and the new system is turned on. It does not allow users with any choice but to work with the new system. It is said to be risky and least cost.
A result of welfare economics is that the equilibrium price of a product is considered to be the best price because it
a. maximizes both the total revenue for firms and the quantity supplied of the product.
b. minimizes costs and maximizes output.
c. maximizes the combined welfare of buyers and sellers .
d. minimizes the level of welfare payments.
Answer:
c. maximizes the combined welfare of buyers and sellers .
Explanation:
Welfare Economics simply deals with how the sharing/ allocation of resources affects economic well-being of people. The above statement of the fact that the result of welfare economics is that the equilibrium price of a product is considered to be the best price because it maximizes the combined welfare of buyers and sellers is true due to the fact that it takes the welfare and wellbeing of both parties into consideration.
A perpetual bond with a par value of $1,000 and a coupon rate of 7.75% has a current market price of $900. What is its yield to maturity
a. 9.32%
b. 8.33%
c. 7.92%
d. 9.45%
e. 8.61%
Answer: e. 8.61%
Explanation:
This is a perpetual bond so the price is calculable by;
Price = Coupon / Yield to Maturity
Coupon = 7.75% * 1,000
= $77.50
900 = 77.50/ YTM
900 * YTM = 77.50
YTM = 77.50/900
= 8.61%
True or False: The volume of trading conducted in contracts for interest rate and exchange rate futures is greater than the volume of trading occurring in commodity futures contracts.
a. True
b. False
Answer: True
Explanation:
The statement that "the volume of trading conducted in contracts for interest rate and exchange rate futures is greater than the volume of trading occurring in commodity futures contracts" is true.
It should be noted that multinational corporations, firms and financial institutions make investments that has to do with contacts for interest rate and exchange rates. This is typically more common than that of trades in the commodity future contacts.
Short Company purchased land by paying $22,000 cash on the purchase date and agreed to pay $22,000 for each of the next seven years beginning one-year from the purchase date. Short's incremental borrowing rate is 10%. On the balance sheet as of the purchase date, after the initial $22,000 payment was made, the liability reported is closest to: (FV of $1, PV of $1, FVA of $1, and PVA of $1) (Use appropriate factor(s) from the tables provided.)
Answer:
The liability reported is closest to $107,105.21.
Explanation:
This can be calculated using the formula for calculating the present value of an ordinary annuity as follows:
PV = P * ((1 - (1 / (1 + r))^n) / r) …………………………………. (1)
Where;
PV = Present value or the the liability reported =?
P = Annuity payment = $22,000
r = Student's desired return rate = 10%, or 0.10
n = number of years = 7
Substitute the values into equation (1) to have:
PV = $22,000 * ((1 - (1 / (1 + 0.10))^7) / 0.10)
PV = $22,000 * 4.86841881769293
PV = $107,105.21
Therefore, the liability reported is closest to $107,105.21.
On December 31, 2014, Renda's common stock sold for per share. At that price, how much did investors say $1 of the company's net income was worth?
Question Completion:
On December 31, 2014, Renda's common stock sold for $35 per share. At that price, how much did investors say $1 of the company's net income was worth? Earnings per share = $1.50
Answer:
Renda Company
The value of $1 of the company's net income by investors was:
$23.33
Explanation:
a) Data and Calculations:
Market price of Renda's common stock = $35 per share
Earnings per share = $1.50
This means that investors' value on $1 = $35/$1.50 = $23.33
b) Investors in Renda's common stock place a value of $23.33 for each $1 of the company's net income. This is why they can afford to pay $35 per share in order to benefit from $1 of the company's earnings. This calculation is based on the price-earnings ratio, which relates the company's share price to the earnings per share.
An appliance repair shop buys and uses about 4,212 fan motors annually. Holding cost is 27 dollars per motor per year, and ordering cost is 177 dollars per order. Determine the economic order quantity. Round your number to ZERO decimal point.
Answer:
15,251 units
Explanation:
The formula for Economic order quantity is;
EOQ = √2DS/H
Where,
D = Annual demand = 4,212
S = Ordering cost = $177
H = Holding cost = $27/4,212 = $0.00064102564
EOQ = √ 2 × 4,212 × $177 / $0.00064102564
EOQ = √ $1,491,048 / $0.00064102564
EOQ = √232603488.37
EOQ = 15,251 units
If Smart Touch Learning increases its production of tabletâ computers, what will be the effects on the variable and fixed costs perâ tablet?
Answer:
D. variable costs per tablet is constant, fixed costs per tablet decrease
Explanation:
The variable cost is that cost that changes with the output level but would remains the same at per unit. While on the other hand the fixed cost is the cost that remains fixed whether there is an increase or decrease in the output level
Therefore as per the given situation, the variable cost per tablet would remain constant while the fixed cost per table would reduce
hence, the correct option is d.
Accounting, inventory management, and shipping are part of order fulfillment and referred to as __________ operations.
A) Back-office
B) Customer-facing
C) Front-office
D) Logistics
Answer: back office
Explanation:
The back office in an organization is simply the part of the organization that is made up of the employees that deals.with administration and also tge support personnel and are typically not required to face the customers or clients like the front office employees.
Some of the back-office functions are IT services, Regulatory compliance, shipping, record maintenance, settlements, accounting, etc.