Which total quality management (tpm) process consists of several published standards?

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quality inspection consist of several published standards


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Suppose Bill's Burgers has an estimated EBIT of $154 million, depreciation expense is estimated to be $25 million, and interest expense is estimated to be $10 million. If the restaurant industry has an average EV/EBITDA multiple of 15, estimate Bill's terminal value.

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The estimated terminal value of Bill's Burgers, based on the given information and assuming an EV/EBITDA multiple of 15, is $2.685 billion.

Terminal value represents the estimated value of a company at the end of a projection period, typically based on a multiple of a key financial metric. In this case, we will use the EV/EBITDA multiple to estimate the terminal value.

To calculate the terminal value, we need to determine the EBITDA (Earnings Before Interest, Taxes, Depreciation, and Amortization) of Bill's Burgers. We can calculate EBITDA by adding back the depreciation expense to EBIT.

EBITDA = EBIT + Depreciation Expense

EBITDA = $154 million + $25 million

EBITDA = $179 million

Next, we will calculate the terminal value by multiplying the EBITDA by the average EV/EBITDA multiple for the restaurant industry, which is given as 15.

Terminal Value = EBITDA x EV/EBITDA

Terminal Value = $179 million x 15

Terminal Value = $2.685 billion

However, the terminal value represents the value at the end of the projection period. To estimate the present value of the terminal value, we need to discount it to the present using an appropriate discount rate. Since the discount rate is not provided in the question, we cannot calculate the present value of the terminal value.

The estimated terminal value of Bill's Burgers, based on the given information and assuming an EV/EBITDA multiple of 15, is $2.685 billion. However, to determine the present value of the terminal value, we would need to apply a discount rate, which is not provided in the question.

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An equivalent change in taxes shifts the aggregate demand curve ______ than a change in government spending for goods and services and has a ________ effect on real gdp.

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An equivalent change in taxes shifts the aggregate demand curve differently than a change in government spending for goods and services and has a distinct effect on real GDP.

When there is a change in taxes, it directly affects the disposable income of households. If taxes decrease, households have more disposable income available for consumption, which leads to an increase in consumption spending. On the other hand, if taxes increase, households have less disposable income, which leads to a decrease in consumption spending.
This change in consumption spending impacts the aggregate demand curve. When there is an equivalent change in taxes, the aggregate demand curve shifts less than when there is a change in government spending. This is because government spending directly injects money into the economy, while changes in taxes indirectly impact the economy through changes in consumption spending.
For example, let's say the government decides to decrease taxes. As a result, households have more disposable income and can spend more on goods and services. This increase in consumption spending would shift the aggregate demand curve to the right, indicating an increase in real GDP.
On the other hand, if the government decides to increase taxes, households have less disposable income and are likely to spend less on goods and services. This decrease in consumption spending would shift the aggregate demand curve to the left, indicating a decrease in real GDP.
In summary, an equivalent change in taxes has a different impact on the aggregate demand curve compared to a change in government spending. Changes in taxes indirectly affect the economy through changes in consumption spending, while changes in government spending directly impact the economy. This difference in impact is reflected in the shift of the aggregate demand curve and its effect on real GDP.

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a tax burden falls more heavily on the side of the market that question 12 options: a) has a fewer number of participants. b) is more inelastic. c) is closer to unit elastic. d) is less inelastic.

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The tax burden falls more heavily on the side of the market that is less inelastic.The elasticity of demand or supply measures the responsiveness of quantity demanded or supplied to changes in price.

When a market is more inelastic, it means that the quantity demanded or supplied is less responsive to changes in price. In this case, the burden of the tax tends to fall more heavily on the side of the market that is less elastic. This is because participants in the less elastic side of the market have limited alternatives and are less able to adjust their behavior in response to price changes.

On the other hand, when a market is more elastic, the burden of the tax tends to be shifted more towards the side of the market that is more elastic. Participants in the more elastic side of the market have greater flexibility to adjust their behavior in response to price changes, thus reducing the impact of the tax on their quantity demanded or supplied.

The tax burden falls more heavily on the side of the market that is less inelastic, as participants in this market have limited ability to adjust their behavior in response to price changes. The burden is shifted away from the side of the market that is more elastic, where participants have greater flexibility to respond to price changes.

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do price discreteness and transactions costs affect stock returns? comparing ex-dividend pricing before and after decimalization

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Price discreteness and transaction costs can have an influence on stock returns. The shift from fraction-based pricing to decimalization has contributed to improved price accuracy, reduced transaction costs, and potentially enhanced market efficiency.

Price discreteness and transaction costs can indeed affect stock returns, particularly when comparing ex-dividend pricing before and after decimalization.
Before decimalization, stock prices were typically quoted in fractions, such as 1/8 or 1/16. This level of price discreteness meant that small price movements were not reflected accurately, leading to potential inefficiencies in the market. Additionally, transaction costs were typically higher, as bid-ask spreads tended to be wider.
However, after decimalization, stock prices were quoted in decimals, such as $0.01 increments. This increased price accuracy and reduced price discreteness, allowing for more precise tracking of stock price movements. As a result, transaction costs decreased due to narrower bid-ask spreads.
These changes in price discreteness and transaction costs can impact stock returns in several ways. Firstly, decreased price discreteness allows for more efficient price discovery, reducing the likelihood of mispricing and improving market efficiency. Secondly, lower transaction costs make it more cost-effective for investors to buy and sell stocks, potentially increasing trading activity and liquidity in the market.
It is important to note that the impact of price discreteness and transaction costs on stock returns may vary depending on other factors, such as market conditions and investor behavior. Therefore, it is necessary to consider these factors when analyzing the relationship between price discreteness, transaction costs, and stock returns.
In conclusion, price discreteness and transaction costs can have an influence on stock returns. The shift from fraction-based pricing to decimalization has contributed to improved price accuracy, reduced transaction costs, and potentially enhanced market efficiency. However, the impact on stock returns is subject to various factors and should be analyzed within a broader context.
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Suppose that aggregate demand increases along the upward-sloping portion of the aggregate supply curve. What is the result

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When aggregate demand increases along the upward-sloping portion of the aggregate supply curve, it can lead to higher output, employment, and prices in the short run. However, it may also result in inflationary pressures that need to be managed by appropriate monetary policy measures.

Here are the key results:

1. Increase in Output and Employment: As aggregate demand rises, firms respond by increasing production to meet the higher level of demand. This leads to an increase in output and employment levels in the economy.

2. Higher Prices: With increased demand and production, there is upward pressure on prices. This is because firms may face higher costs to produce the additional output, such as increased wages or input costs. As a result, the price level in the economy tends to rise.

3. Expansionary Monetary Policy: In response to the increase in aggregate demand, the central bank might adopt expansionary monetary policy measures. These could include lowering interest rates, increasing money supply, or implementing quantitative easing. These actions are aimed at stimulating economic activity further.

4. Potential Inflationary Pressures: The increase in aggregate demand can lead to inflationary pressures in the economy. This is because the increased demand may outpace the ability of firms to increase production, resulting in higher prices.

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Consider borrowers and lenders who agree to loans with fixed nominal interest rates. If inflation is higher than what the borrowers and lenders expected, then who benefits from lower real interest rates

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Borrowers benefit from lower real interest rates when inflation is higher than expected while lenders lose out because the value of their investment is eroded by inflation.

When inflation is higher than expected, then borrowers are the ones who benefit from lower real interest rates.

This is because when inflation rises, the cost of goods and services increases and the value of the currency decreases.

As a result, the amount of money that borrowers have to repay stays the same, but the value of that money decreases in relation to the increased cost of goods and services.

This effectively means that borrowers are paying back their loans with cheaper money than they borrowed initially.

Therefore, borrowers benefit from lower real interest rates when inflation is higher than what was expected.

On the other hand, lenders lose out in this scenario because they are paid back with money that has decreased in value due to inflation. Essentially, the value of their investment is eroded by inflation.

Therefore, it is important for lenders to consider inflation when setting interest rates to ensure that they are properly compensated for the risk they are taking.

In conclusion, borrowers benefit from lower real interest rates when inflation is higher than expected while lenders lose out because the value of their investment is eroded by inflation.

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in the excel, or spreadsheet, approach to recording financial transactions, factory utility costs paid in cash are recorded as a decrease in the cash column and as an increase in the manufacturing overhead column.

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When using the Excel or spreadsheet approach to recording financial transactions, factory utility costs paid in cash are typically recorded as a decrease in the cash column and an increase in the manufacturing overhead column. This ensures accurate tracking of cash outflows and proper allocation of expenses related to manufacturing operations.

In the Excel or spreadsheet format, the cash column represents the company's cash or cash equivalents. When cash is paid for factory utility costs, it is recorded as a decrease in the cash column. This reflects the outflow of cash from the company's resources and helps maintain an accurate record of available funds.

Simultaneously, the manufacturing overhead column is used to capture expenses associated with running the manufacturing operations. Factory utility costs are categorized as manufacturing overhead because they are indirect expenses incurred in the production process. By recording an increase in the manufacturing overhead column, the company acknowledges and allocates the cost incurred for factory utilities to the production activities. This allows for a more comprehensive analysis of the manufacturing overhead expenses and their impact on the overall cost structure of the company.

By following this approach, the Excel or spreadsheet format ensures the accuracy and completeness of financial records, facilitates the monitoring of cash flows, and provides valuable insights into the manufacturing overhead costs associated with the production process.

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corporation ended its fiscal year on september​ 30, 2021​, with cash of $70 ​million, accounts receivable of $24 ​million, property and equipment of $31 ​million, and other​ long-term assets of $25 million. the​ company's liabilities consist of accounts payable of $33 million and​ long-term notes payable of $18 million. terrance corporation has total​ stockholders' equity of $99 ​million; of this​ total, common stock is $34 million. solve for the​ company's ending retained earnings and then prepare terrance ​corporation's balance sheet at september​ 30, 2021. use a proper heading on the balance sheet.

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To determine the ending retained earnings of Terrance Corporation, we need to use the formula: Ending Retained Earnings = Beginning Retained Earnings + Net Income - Dividends. Total Liabilities and Stockholders' Equity: $150 million

Since the provided information does not include the net income or dividends, we cannot calculate the exact value of the ending retained earnings.

However, we can prepare Terrance Corporation's balance sheet using the given information:

Terrance Corporation

Balance Sheet

As of September 30, 2021

Assets:

Cash: $70 million

Accounts Receivable: $24 million

Property and Equipment: $31 million

Other Long-Term Assets: $25 million

Total Assets: $150 million

Liabilities:

Accounts Payable: $33 million

Long-Term Notes Payable: $18 million

Total Liabilities: $51 million

Stockholders' Equity:

Common Stock: $34 million

Retained Earnings: To be determined

Total Stockholders' Equity: $99 million

Total Liabilities and Stockholders' Equity: $150 million


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When moving to international markets, some firms insist that local operations and decisions should be handled by natives because

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When moving to international markets, some firms insist that local operations and decisions should be handled by natives because of cultural and language barriers, as well as lack of understanding of the local market, customs, and laws.

Localization is the practice of adapting products and services to meet the needs of local markets.

It is a strategy that companies use to better serve their customers by customizing their products and services to the unique cultural, linguistic, and regulatory requirements of the local market.

In addition, localization enables businesses to improve their market penetration, build customer loyalty, and create brand awareness.

Globalization has led to increased competition among businesses, and localization is a key strategy for firms seeking to gain an advantage in the global marketplace.

By adapting their products and services to local market conditions, companies can tailor their offerings to meet the specific needs of each market, thereby increasing their chances of success in the international marketplace.

Firms operating in international markets should have a deep understanding of the cultural and linguistic differences that exist in different countries.

By employing local natives, firms can gain valuable insights into the local market and better adapt their products and services to meet the needs of their customers.

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If a call to the arrays static method binarysearch returns a value of -10, what can be concluded?

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A value of -10 returned by the binarySearch method suggests that the target element is not present in the array.

The binarySearch method is used to search for a specific element in a sorted array. It employs a binary search algorithm, which repeatedly divides the search space in half until the target element is found or the search space is empty. The binarySearch method returns the index of the target element if it is present in the array. However, if the target element is not found, it returns a negative value to indicate its absence.

In this case, a return value of -10 suggests that the target element is not present in the array. The exact negative value (-10) does not hold any significance; it is simply a convention used by the binarySearch method to differentiate between successful and unsuccessful searches. If the array had contained the target element, the method would have returned a non-negative index representing its position in the array.

It's important to note that the binarySearch method assumes that the array is sorted in ascending order. If the array is not sorted, the results of the binary search may be unpredictable. Therefore, it is crucial to ensure that the array is sorted before using the binarySearch method.

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if an economy has a higher investment rate and a higher depreciation rate, the economy will have a higher level of output. group of answer choices

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While a higher investment rate can contribute to economic growth and potentially higher output, it is not solely determined by investment and depreciation rates.

If an economy has a higher investment rate and a higher depreciation rate, it does not necessarily mean that the economy will have a higher level of output. Let's break it down step-by-step to understand why.

1. Investment rate: The investment rate refers to the amount of money invested in the economy, usually in the form of capital goods, infrastructure, or technology. Higher investment can lead to increased productivity and economic growth. For example, if a country invests in new factories or advanced technology, it can enhance production capacity and potentially increase output.

2. Depreciation rate: The depreciation rate represents the decrease in the value of capital goods over time due to wear and tear or obsolescence. A higher depreciation rate means that capital goods are losing their value faster. This can be influenced by factors such as the quality of infrastructure and the rate of technological advancement. Higher depreciation may require more investment to replace worn-out or outdated capital goods.

Now, let's consider the impact of these factors on the level of output:

- If the investment rate is higher than the depreciation rate, it indicates that the economy is replacing and adding capital goods at a faster rate. This can lead to an increase in production capacity and potentially higher output.

- However, if the depreciation rate is higher than the investment rate, it suggests that capital goods are wearing out or becoming obsolete faster than they are being replaced. This can negatively affect the level of output as the economy may struggle to maintain or expand its production capacity.

Other factors such as technological advancements, human capital, natural resources, and effective governance also play significant roles in determining an economy's level of output.

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Nordstrom, Inc. operates department stores in numerous states. Selected hypothetical financial statement data (in millions) for 2022 are presented below.

End of Year Beginning of Year

Cash and cash equivalents $ 730 $ 65

Accounts receivable (net) 1,900 1,800

Inventory 800 810

Other current assets 370 425

Total current assets $3,800 $3,100

Total current liabilities $1,990 $1,590

For the year, net credit sales were $8,258 million, cost of goods sold was $5,328 million, and net cash provided by operating activities was $1,251 million. Compute the current ratio, accounts receivable turnover, average collection period, inventory turnover and days in inventory at the end of the current year.

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The current ratio at the end of the current year is 1.91. The accounts receivable turnover at the end of the current year is 4.47. The average collection period at the end of the current year is approximately 81.69 days.


To compute the current ratio, accounts receivable turnover, average collection period, inventory turnover, and days in inventory at the end of the current year, we can use the provided financial statement data.

1. Current Ratio:
The current ratio measures a company's ability to cover its short-term liabilities with its short-term assets. It is calculated by dividing total current assets by total current liabilities.

Current Ratio = Total Current Assets / Total Current Liabilities

In this case:
Current Ratio = $3,800 million / $1,990 million


Current Ratio = 1.91
The current ratio at the end of the current year is 1.91.

2. Accounts Receivable Turnover:
The accounts receivable turnover ratio measures how quickly a company collects its accounts receivable. It is calculated by dividing net credit sales by the average accounts receivable.

Accounts Receivable Turnover = Net Credit Sales / Average Accounts Receivable

In this case:
Average Accounts Receivable = (Beginning Accounts Receivable + Ending Accounts Receivable) / 2
Average Accounts Receivable = ($1,800 million + $1,900 million) / 2

Accounts Receivable Turnover = $8,258 million / Average Accounts Receivable


Accounts Receivable Turnover = $8,258 million / $1,850 million

The accounts receivable turnover at the end of the current year is 4.47.

3. Average Collection Period:
The average collection period represents the average number of days it takes for a company to collect its accounts receivable. It is calculated by dividing 365 days by the accounts receivable turnover.

Average Collection Period = 365 days / Accounts Receivable Turnover

In this case:
Average Collection Period = 365 days / 4.47


Average Collection Period = 81.69 days

The average collection period at the end of the current year is approximately 81.69 days.

4. Inventory Turnover:
The inventory turnover ratio measures how efficiently a company manages its inventory. It is calculated by dividing the cost of goods sold by the average inventory.

Inventory Turnover = Cost of Goods Sold / Average Inventory

In this case:
Average Inventory = (Beginning Inventory + Ending Inventory) / 2
Average Inventory = ($810 million + $800 million) / 2

Inventory Turnover = $5,328 million / Average Inventory


Inventory Turnover = $5,328 million / $805 million

The inventory turnover at the end of the current year is approximately 6.62.

5. Days in Inventory:
The days in inventory represents the average number of days it takes for a company to sell its inventory. It is calculated by dividing 365 days by the inventory turnover.

Days in Inventory = 365 days / Inventory Turnover

In this case:
Days in Inventory = 365 days / 6.62

Days in Inventory = 55.22 days

The days in inventory at the end of the current year is approximately 55.22 days.

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tang company accumulates the following data concerning raw materials in making its finished product price per pound of raw materials

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The total cost of raw materials used by Tang Company is $150.

To calculate the total cost of raw materials used, you need to multiply the price per pound of raw materials by the quantity of raw materials used.

Let's say the price per pound of raw materials is $2 and the quantity of raw materials used is 75 pounds.

To find the total cost of raw materials used, you would multiply the price per pound ($2) by the quantity used (75 pounds):

$2 x 75 pounds = $150

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The Head Company has had a successful year and expects earnings per share to grow by 25 percent to reach $5.50 for this year. Estimate the price of the company's common stock assuming the industry's price/earnings ratio is 12.

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To estimate the price of the company's common stock, we can use the price/earnings (P/E) ratio and the expected earnings per share (EPS) for the year.

The P/E ratio is a measure of how much investors are willing to pay for each dollar of earnings. In this case, the industry's P/E ratio is given as 12.

To estimate the price of the company's stock, we multiply the expected EPS by the P/E ratio:

Price of Stock = Expected EPS * P/E Ratio

Given that the expected EPS is $5.50 and the industry's P/E ratio is 12, we can calculate:

Price of Stock = $5.50 * 12

Price of Stock = $66

Therefore, based on the given information, the estimated price of the company's common stock is $66.

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You are looking at two firms in the same industry. High Performance Tire Co. has a profit margin of 10% and All-Year Tires has a profit margin of 8%. High Performance Tire Co.'s total debt to total capital ratio [measured as (Short-term debt Long-term debt)/(Debt Preferred stock Common equity)] is 70% versus one of 20% for All-Year Tires. Based only on these two facts, you cannot reach a conclusion as to which firm is better managed, because the difference in debt, not better management, could be the cause of High Performance Tire Co.'s higher profit margin.

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based only on the two facts of the profit margin and total debt to total capital ratio of High Performance Tire Co. and All-Year Tires, it is not possible to reach a conclusion as to which firm is better managed. This is because the difference in debt, not better management,

could be the cause of High Performance Tire Co.'s higher profit margin.Here is the explanation for this answer:The profit margin of High Performance Tire Co. is 10%, while that of All-Year Tires is 8%. Profit margin is an important measure of a firm's profitability.

It is calculated as (Net Income / Sales). The higher the profit margin, the better the firm's profitability. However, it does not necessarily mean that the firm is better managed.The total debt to total capital ratio of High Performance Tire Co. is 70%, whereas that of All-Year Tires is 20%. Total debt to total capital ratio is a measure of a firm's leverage. It is calculated as (Short-term debt + Long-term debt) / (Debt + Preferred stock + Common equity). The higher the total debt to total capital ratio, the greater the firm's leverage. However, it does not necessarily mean that the firm is better or worse managed.When it comes to evaluating whether a firm is well-managed, there are many other factors to consider, such as return on equity (ROE), return on assets (ROA), liquidity, solvency, efficiency, and so on. Therefore, based only on the two facts provided, it is not possible to reach a conclusion as to which firm is better managed. The difference in debt, not better management, could be the cause of High Performance Tire Co.'s higher profit margin.

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assuming the same cost given in the end materials prices for december 2021 for wide flanges, determine the total cost for a 40-ft length of w14x211. (note: cwt is the unit cost per hundred pounds.)

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The total cost of a 40-ft length of W14x211 wide flanges based on the cost given in the end materials prices for December 2021. The unit cost per hundred pounds (cwt) is provided, and the calculation is required to determine the total cost.

The total cost for a 40-ft length of W14x211 wide flanges, the first step is to determine the weight of the wide flange per foot. The weight per foot of the W14x211 wide flange can be obtained from engineering tables or specifications. Once the weight per foot is known, it can be multiplied by the length of 40 ft to calculate the total weight of the wide flange.

Next, the total weight is divided by 100 to convert it from pounds to hundredweight (cwt). Finally, the total cwt is multiplied by the given unit cost per cwt to determine the total cost for the 40-ft length of W14x211 wide flanges based on the December 2021 end materials prices.

By following these steps, the calculation will yield the total cost for the desired length of wide flanges, using the given cost per cwt from the materials prices.

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During employee development, blank______ is most frequently used to identify employees with managerial potential and to measure current managers' strengths and weaknesses.

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During employee development, performance evaluations or assessments are most frequently used to identify employees with managerial potential and to measure current managers' strengths and weaknesses.

Performance evaluations provide a systematic way of assessing an employee's job performance and evaluating their skills, competencies, and areas for improvement. They can help identify individuals who demonstrate leadership qualities, problem-solving abilities, communication skills, and other attributes necessary for managerial roles.

By conducting performance evaluations, organizations can gain insights into an employee's performance, identify areas where additional development and training may be needed, and determine their readiness for managerial responsibilities. These evaluations can serve as a basis for creating individual development plans, providing feedback, and making decisions about promotions or career advancement within the organization.

Ultimately, performance evaluations play a crucial role in talent management and succession planning by identifying employees with managerial potential and providing valuable information for the development and improvement of current managers.

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Adidas Group owns Reebok, Rockport, and TaylorMade brands. Adidas uses the different brands to pursue a(n) __________ strategy.

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Adidas Group's multi-brand strategy with brands like Reebok, Rockport, and TaylorMade enables the company to pursue a comprehensive approach to the market, cater to diverse consumer segments, and strengthen its competitive position in the sporting goods industry.

Adidas Gathering utilizes a multi-brand methodology by purchasing and working different brands like Reebok, Rockport, and TaylorMade. The business is able to expand its presence in a variety of product categories, target various consumer preferences, and serve various market segments thanks to this strategic approach.

By utilizing various brands under its umbrella, Adidas Gathering can successfully address the particular requirements and requests of different client portions. Each brand has its own particular personality, situating, and item contributions, which empowers the organization to target different market specialties and appeal to a great many shoppers. Rockport focuses on casual and dress footwear, TaylorMade excels in golf equipment, and Reebok focuses on athletic footwear and apparel.

In addition, Adidas Group enjoys a competitive advantage in the global sporting goods market thanks to this multi-brand strategy. By possessing numerous brands, the organization can relieve chances related with depending exclusively on a solitary brand, differentiate its income streams, and catch a bigger piece of the pie. It also allows for economies of scale and synergies in manufacturing, distribution, and marketing, which can result in operational efficiencies and cost savings.

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The student body president of WestPark University submitted a formal request to the IT department for additional computers in the main computer lab. In this situation, the student body president is the ________ in the buying center.

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In this situation, the student body president of West Park University is considered the "user" in the buying center. The buying center is a group of individuals involved in the organizational decision-making process for purchasing goods or services.

The user, in this case, is the one who directly benefits from the additional computers in the main computer lab. The student body president, being the representative of the student body, is the one who initiates the request and advocates for the purchase of additional computers.

They play a crucial role in identifying the needs and requirements of the end-users and voicing their concerns to the IT department. Ultimately, the student body president acts as the user influencer in the buying center, exerting influence over the purchasing decision to fulfill the needs of the student body.

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You are sick and tired of your old wardrobe. You decide to sell it to a consignment store at less than you bought the clothes for. Your action

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When you decide to sell your old wardrobe to a consignment store at a price lower than what you originally paid for the clothes, it's important to evaluate the condition and desirability of the items, set an appropriate selling price, and consider the reasons for selling at a lower price.

By doing so, you increase the likelihood of making a successful sale and finding new owners for your old clothes.

When you decide to sell your old wardrobe to a consignment store at a price lower than what you originally paid for the clothes, it is important to understand the implications of this action.

1. Evaluation of the clothes:

First, you need to assess the condition, quality, and desirability of your clothes. Consignment stores typically accept clothes in good condition, without any significant damage or wear and tear.

They often look for trendy or popular items that are likely to sell quickly.

2. Setting the selling price:

After evaluating the clothes, you will need to determine the selling price. Consignment stores typically offer a percentage of the selling price to the seller, with the remainder being their commission.

Since you are looking to sell at a lower price, it's important to consider the original purchase price, the condition of the clothes, and the demand for those items in order to set an appropriate selling price.

3. Potential reasons for selling at a lower price:

There could be various reasons why you choose to sell your old wardrobe at a lower price.

It could be because you want to make a quick sale, create space for new clothes, or simply get rid of items you no longer want.

By selling at a lower price, you might attract more buyers and increase the chances of selling your clothes faster.

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If you borrow $11,000 with an interest rate of 5 percent to be repaid in seven equal payments at the end of the next 7 years, what would be the amount of each payment?

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The amount of each payment to repay the loan of $11,000 with an interest rate of 5 percent over seven years would be approximately $1,821.19.

To calculate the amount of each payment, we can use the formula for calculating the equal periodic payment for a loan. The formula is:

P = (r x PV) / (1 - (1 + r)^(-n))

Where:
P is the equal periodic payment
r is the interest rate per period
PV is the present value (the amount borrowed)
n is the total number of periods

In this case, the present value (PV) is $11,000, the interest rate (r) is 5% (or 0.05), and the number of periods (n) is 7.

Plugging in these values into the formula, we get:

P = (0.05 x 11,000) / (1 - (1 + 0.05)⁻⁷))

P = (550) / (1 - (1.05)⁻⁷))

P = (550) / (1 - 0.698)

P = (550) / (0.302)

P ≈ $1,821.19

Therefore, the amount of each payment would be approximately $1,821.19.

In conclusion, the amount of each payment to repay the loan of $11,000 with an interest rate of 5 percent over seven years would be approximately $1,821.19.

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A hedge fund purchased credit default swaps on securities it did not own because it believed that the securities were likely to default. in this example, the hedge fund is speculating?

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Yes, in this example, the hedge fund is engaging in speculation. The hedge fund's decision to purchase credit default swaps on securities it did not own is an example of speculative activity.

Speculation refers to the act of taking financial positions or making investments based on the expectation of future price movements or events. Speculators seek to profit from these price changes or events without necessarily having a direct interest in the underlying assets.

By purchasing credit default swaps on securities it did not own, the hedge fund is essentially making a bet on the likelihood of default of those securities. A credit default swap is a financial derivative contract that allows the buyer to transfer the credit risk of a particular security or entity to the seller. If the underlying securities were to default, the hedge fund would receive a payout from the credit default swaps, resulting in a profit.

It's important to note that speculation is a common practice in financial markets, and it involves taking on risks for the potential of earning high returns. However, speculation also carries the risk of substantial losses if the market does not move in the expected direction. Speculators play a role in providing liquidity to the markets and can contribute to price discovery, but they also introduce additional volatility and potential risks.

Overall, the hedge fund's decision to purchase credit default swaps on securities it did not own is an example of speculative activity as it involves making bets on the likelihood of default and aiming to profit from those expectations.

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. what would ashley's actual personal expenses for that school year have to be so that her amount and her friends' amounts together would have an average of $2,1 10

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To find the amount of Ashley's personal expenses for the school year, we need to consider her average expenses with her friends. Let's break down the problem step by step.

First, we need to know the average of Ashley's and her friends' amounts, which is given as $2,110.

Let's say Ashley's personal expenses for the school year are represented by "x." The total expenses of Ashley and her friends combined would then be the sum of Ashley's expenses and the total expenses of her friends.

Let's assume the total number of friends is represented by "n." Since the average is calculated by summing all the amounts and dividing by the number of people, the equation would be:

(x + (friend1's expenses) + (friend2's expenses) + ... + (friend's expenses)) / (n + 1) = $2,110

Since we are trying to find Ashley's personal expenses, we can rearrange the equation as follows:

(x + (friend1's expenses) + (friend2's expenses) + ... + (friendn's expenses)) = $2,110 * (n + 1)

Now, to find Ashley's personal expenses, we subtract the total expenses of her friends from both sides of the equation:

x = ($2,110 * (n + 1)) - (friend1's expenses) - (friend2's expenses) - ... - (friend's expenses)

Therefore, Ashley's actual personal expenses for that school year would need to be ($2,110 * (n + 1)) minus the total expenses of her friends.

Keep in mind that the specific values of "n" and the expenses of Ashley's friends are not provided in the question, so you would need those details to calculate Ashley's exact personal expenses.

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You can subscribe to ________ feeds to stay up-to-date on podcasts and news feeds.

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In conclusion, subscribing to RSS feeds is a convenient way to stay updated on podcasts and news feeds. By using an RSS reader, you can have the latest content delivered to you automatically, saving time and effort.

You can subscribe to RSS feeds to stay up-to-date on podcasts and news feeds.

RSS stands for Really Simple Syndication and it allows you to receive updates from websites without having to visit them manually. By subscribing to an RSS feed, you can have the latest episodes of your favorite podcasts and news articles delivered to you automatically.

Here's a step-by-step explanation of how it works:
1. Find an RSS reader: There are many RSS reader apps and websites available. Some popular options include Feedly, Flipboard, and Inoreader. Choose one that suits your preferences and create an account if necessary.

2. Locate the RSS feed: Visit the website that you want to subscribe to. Look for the RSS feed icon or a link that says "Subscribe" or "RSS." Sometimes, it's an orange icon with waves. Right-click on the icon or link and copy the link address.

3. Add the RSS feed to your reader: Open your RSS reader and find the option to add a new feed. Paste the copied link into the designated field and click "Add" or "Subscribe." The RSS reader will now fetch the latest updates from that feed.

4. Customize your preferences: Most RSS readers allow you to organize your feeds into folders or categories. You can also choose how often the reader checks for new updates and whether to receive notifications.

5. Enjoy staying up-to-date: Your RSS reader will display the latest episodes of podcasts and news articles from the feeds you subscribed to. You can click on the titles to read the full articles or listen to podcasts directly within the reader.

In conclusion, subscribing to RSS feeds is a convenient way to stay updated on podcasts and news feeds. By using an RSS reader, you can have the latest content delivered to you automatically, saving time and effort.

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he Morrit Corporation has $960,000 of debt outstanding, and it pays an interest rate of 10% annually. Morrit's annual sales are $6 million, its average tax rate is 25%, and its net profit margin on sales is 4%. If the company does not maintain a TIE ratio of at least 4 to 1, then its bank will refuse to renew the loan, and bankruptcy will result. What is Morrit's TIE ratio

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Debt outstanding = $960,000Interest rate paid  10%Sales $6,000,000Average tax rate 25%Net profit margin on sales 4%To find TIE ratio. TIE Times Interest Earned ratio can be calculated using the below formula TIE  (EBIT) ÷ Interest Charges Where EBIT is earnings before interest and taxes.

Let’s find out EBIT first and then we can find the TIE ratio using the above formula. EBIT  Sales - COGS - Operating Expenses Where COGS is the cost of goods sold. Operating expenses include all costs of running the business except for interest and taxes. COGS  Sales × 1 - Gross profit margin Gross profit margin  1 - Net profit margin on sales 1 - 4%  0.96COGS  $6,000,000 × 0.96 $5,760,000O perating expenses  $6,000,000 - $5,760,000  $240,000EBIT  $6,000,000 - $5,760,000 - $240,000  $0Since EBIT is zero, the TIE ratio will also be zero because we are dividing by interest charges which are not zero.

Morrit Corporation has $960,000 of debt outstanding and pays an interest rate of 10% annually. Its sales are $6 million, its average tax rate is 25%, and its net profit margin on sales is 4%.In order to find the TIE ratio, we first find the EBIT (earnings before interest and taxes .EBIT Sales - COGS - Operating Expenses $6,000,000 - $5,760,000 - $240,000  $0Therefore, the TIE ratio will be zero because EBIT is zero. Hence, Morrit Corporation cannot maintain the minimum TIE ratio of 4:1. The company's bank will refuse to renew the loan, and bankruptcy will result.

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What role will the compensation design play in motivating the new sales representative?

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The compensation design plays a critical role in motivating the new sales representative. By offering financial rewards that are tied to their performance and goals, it incentivizes them to excel and achieve outstanding results. This can lead to increased productivity, higher sales, and overall success for both the sales representative and the company.


1. The compensation design refers to the structure and components of the sales representative's pay package.

It includes elements such as base salary, commission, bonuses, incentives, and benefits.


2. A well-designed compensation plan can motivate the sales representative by aligning their financial rewards with their performance and goals.


3. For example, a commission-based structure can incentivize the sales representative to close more deals and increase sales.

The more they sell, the more they earn.


4. Bonuses and incentives tied to specific targets or milestones can also motivate the sales representative to achieve and exceed their goals.


5. Additionally, a competitive base salary and attractive benefits package can serve as a baseline motivator, providing financial stability and security.

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The Blank______ of the sales plan can be done either with quantitative methods like a sales quota, or behavioral methods like customer satisfaction measures.

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The evaluation of the sales plan can be done either with quantitative methods like a sales quota, or behavioral methods like customer satisfaction measures.

The evaluation of the sales plan is an important step to assess its effectiveness and make necessary improvements. There are two main approaches to evaluating a sales plan: quantitative methods and behavioural methods.

1. Quantitative methods: This approach involves setting specific sales targets or quotas for the sales team. These targets can be based on factors like revenue, units sold, or market share. By comparing actual sales performance against the set targets, managers can measure the success of the plan in achieving desired outcomes. For example, if the sales team consistently meets or exceeds the set targets, it indicates a successful plan.

2. Behavioral methods: This approach focuses on measuring customer satisfaction and feedback. Customer satisfaction surveys, feedback forms, or online reviews can be used to gather information about customers' perceptions and experiences with the products or services. By analyzing this data, managers can understand if the sales plan is meeting customer needs and expectations. Positive customer satisfaction measures indicate that the plan is effective in creating customer value and loyalty.

In conclusion, the evaluation of a sales plan can be conducted using quantitative methods such as sales quotas and behavioral methods like customer satisfaction measures. Both approaches provide valuable insights into the success and effectiveness of the plan.

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assembly estimates using 881,000 machine hours and painting uses 43,000 machine hours. fixed manufacturing overhead costs are estimated to be $9,000,000 for assembly and $739,000 for painting. variable manufacturing overhead per machine hour is $11.5 in both departments. machine hours are used as the allocation base for a plantwide predetermined manufacturing overhead application rate.

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The predetermined manufacturing overhead application rate for the plant is $10.55 per machine hour, which is calculated by dividing the total fixed manufacturing overhead costs by the total machine hours.

To calculate the predetermined manufacturing overhead application rate for the plant, we need to add up the estimated fixed manufacturing overhead costs for both the assembly and painting departments.

For assembly, the fixed manufacturing overhead cost is estimated to be $9,000,000, and for painting, it is estimated to be $739,000. Adding these two amounts together gives us a total fixed manufacturing overhead cost of $9,739,000.

Next, we need to calculate the total machine hours for both departments. Assembly uses 881,000 machine hours, while painting uses 43,000 machine hours. Adding these two amounts together gives us a total of 924,000 machine hours.

Now, we can calculate the predetermined manufacturing overhead application rate by dividing the total fixed manufacturing overhead cost by the total machine hours. In this case, the rate would be:

$9,739,000 / 924,000 machine hours = $10.55 per machine hour.

So, the predetermined manufacturing overhead application rate for this plant is $10.55 per machine hour.

It's important to note that this rate is used to allocate manufacturing overhead costs to different products or jobs based on the machine hours they require. This rate helps determine the total manufacturing overhead cost associated with a specific product or job.

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last month, one of our employees decided to take advantage of the opportunity we allow employees to early exercise their half of their total stock option grant. given our company is currently valued at $300 trillion, they sure were happy they were granted 10,000 shares at a strike price of only $2. par value was also very low at $0.0001. what would be the journal entry for this transaction?

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The journal entry for this transaction would be as follows:

Debit: Stock Options Expense - 10,000 shares x ($2 - $0.0001) = $19,999.99 Credit: Common Stock - Par Value - 10,000 shares x $0.0001 = $1 Credit: Additional Paid-in Capital - 10,000 shares x ($2 - $0.0001 - $0.0001) = $19,998.99 In this journal entry, we debit the Stock Options Expense account to recognize the expense associated with granting the employee the stock options. The expense is calculated by multiplying the number of shares (10,000) by the difference between the strike price ($2) and the par value ($0.0001). This represents the intrinsic value of the options. We then credit the Common Stock - Par Value account to reflect the par value of the shares issued. The par value is calculated by multiplying the number of shares (10,000) by the par value per share ($0.0001). Finally, we credit the Additional Paid-in Capital account to record the excess value received from the employee exercising the stock options. This is calculated by multiplying the number of shares (10,000) by the difference between the strike price, par value, and the intrinsic value of the options ($2 - $0.0001 - $0.0001).

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A firm's marketing mix consists of 4 major components, which are generally referred to as the four: Group of answer choices Ps. Keynotes to success. Intangibles of marketing. Persuaders.

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A firm's marketing mix consists of the four Ps: Product, Price, Place, and Promotion.

What are the components of a firm's marketing mix?

The components of a firm's marketing mix are Product, Price, Place, and Promotion, commonly known as the four Ps. These elements encompass key factors that contribute to a successful marketing strategy.

The four Ps of marketing provide a framework for businesses to design and implement effective marketing plans.

Product refers to the goods or services offered by the company and encompasses factors such as features, quality, branding, and packaging. Price involves determining the monetary value of the product, considering factors like costs, competition, and customer perception.

Place involves making the product available to the target market through channels such as retail stores, online platforms, or direct distribution.

Promotion focuses on communicating and promoting the product to the target audience through advertising, sales promotion, public relations, and other marketing tactics.

By carefully managing these four components, businesses can develop strategies that address customer needs, create value, and achieve their marketing objectives.

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