broderick company had $250,000 in gross sales, $900 in other revenues, $48,000 in cost of goods sold, $6,000 in sales discounts, $22,000 in general expenses, $1,500 in other expenses, $31,500 in selling expenses, and $1,325 in sales returns and allowances. what is broderick company's income from operations?

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Answer 1

Broderick Company's income from operations is $140,575, calculated by subtracting cost of goods sold, sales discounts, general expenses, other expenses, selling expenses, and sales returns and allowances from gross sales and other revenues.

To calculate Broderick Company's income from operations, we need to subtract the cost of goods sold, sales discounts, general expenses, other expenses, and selling expenses from the gross sales and other revenues.

Gross sales: $250,000

Other revenues: $900

Cost of goods sold: $48,000

Sales discounts: $6,000

General expenses: $22,000

Other expenses: $1,500

Selling expenses: $31,500

Sales returns and allowances: $1,325

Income from operations can be calculated as follows

Income from operations = Gross sales + Other revenues - (Cost of goods sold + Sales discounts + General expenses + Other expenses + Selling expenses) - Sales returns and allowances

Income from operations = ($250,000 + $900) - ($48,000 + $6,000 + $22,000 + $1,500 + $31,500) - $1,325

Calculating the values

Income from operations = $250,900 - $109,000 - $1,325

Income from operations = $140,575

Therefore, Broderick Company's income from operations is $140,575.

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Related Questions

Companies that sell finished or semi-finished goods and services to the primary company are called

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Suppliers are businesses that offer finished or semi-finished products and services to the main business.

What is Suppliers ?

Suppliers are those companies or individuals who provide goods or services to other companies or individuals. They are the source of the products or services that a business needs to operate and can be domestic or international. Suppliers provide businesses with the raw materials and components they need to produce products, as well as the necessary services to keep their operations running.
They provide the materials, components, and services necessary for the production and sale of products and services.

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Sam has take-home pay every month of $800. He anticipates that his expenses will add up to $675 for the month. In a zero-based budget, why is it important that she put the extra $125 in SOME budget category?

Answers

Answer:

see below

Explanation:

The Zero-based budgeting technique assumes there will be no balance bought forward nor balance carried forward. Budget preparation for a particular period must start from zero or scratch. Each expense must be on merit. Income and expenses must match.  In the zero-based budget, the difference between income and expenditure must be zero.

If Sam has an income of $800 and expenses of $675, she has to re-work her costs again to ensure they match her income. The zero-based budget demands she draws her expenses list again and comes up with a way of spending the $125 difference.

you have just won the lottery and will receive $640,000 in one year. you will receive payments for 19 years, and the payments will increase 3 percent per year. if the appropriate discount rate is 10 percent, what is the present value of your winnings?

Answers

The present value of the winnings when the appropriate discount rate is 10 percent can be calculated using the formula for the present value of an annuity. The formula for the present value of an annuity is as follows:

Present value of an annuity = C × [1 - (1 + r)-t] / r

Where, C = cash flow per period r = discount rate = number of periods

To solve for the present value of the winnings, we need to find the cash flow per period, the number of periods, and the discount rate. Given that the winnings are received over 19 years and increase by 3 percent per year, the cash flow per period can be calculated as follows:

Year 1: $640,000

Year 2: $640,000 × 1.03 = $659,200

Year 3: $659,200 × 1.03 = $678,976

Year 4: $678,976 × 1.03 = $699,335.28

And so on...Year 19: $1,080,562.58

The cash flow per period can be calculated by finding the present value of each cash flow and adding them up. To calculate the present value of each cash flow, we use the formula:

PV = FV / (1 + r)t

where,PV = present value FV = future value r = discount rate t = number of years

So,Present value of year 1 = $640,000 / (1 + 0.1)1 = $581,818.18

Present value of year 2 = $659,200 / (1 + 0.1)2 = $532,476.17

Present value of year 3 = $678,976 / (1 + 0.1)3 = $489,119.26

And so on...Present value of year 19 = $1,080,562.58 / (1 + 0.1)19 = $148,080.24

The cash flow per period is the sum of the present value of each cash flow:

Cash flow per period = $581,818.18 + $532,476.17 + $489,119.26 + ... + $148,080.24= $7,316,214.69

Finally, we can find the present value of the annuity using the formula:

Present value of an annuity = C × [1 - (1 + r)-t] / r where, C = $7,316,214.69r = 0.1 (10%)t = 19

Present value of an annuity = $7,316,214.69 × [1 - (1 + 0.1)-19] / 0.1= $61,006,435.20

Therefore, the present value of the winnings when the appropriate discount rate is 10 percent is $61,006,435.20.

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Question 18 of 24. Some dellverles require a signature and cannot be left unattended. True False Question 19 of 24. Which Personal Protective Equipment (PPE) and essential paperwork must be worn/carried at all times (select all that apply)? O Gloves
O Safety visibility vest O Driver's license O Medical certificate (for DOT drivers) Question 20 of 24. Customer instructions are key to a perfect delivery. True False Question 21 of 24. To plan ahead using REPS & 10, what is the minimum space cushion needed to maintain following distance traveling at 30 MPH (for an Armada van)? O 5-second space cushion O 5-second space cushion O 7-second space cushion
O You don't need a space cushion

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A closed-toe shoe, a safety vest, and a driver's licence are required PPEs that must be worn or carried at all times.

Personal protective equipment, sometimes known as PPEs, refers to the protective clothing used to shield users from toxic substances or infectious diseases. Medical professionals and others working with dangerous chemicals must wear these kits.

Any suit, medical gown, pair of gloves, or other covering that protects against harmful diseases or chemicals is included in PPE kits.

It is vital and safe for the person to wear closed-toe footwear, a safety visibility vest, and also carry a driver's licence for any identification purposes when dealing with any dangerous chemical or disease. Therefore, the first, second, and third choices are the ones that are right.

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Under both variable costing and absorption costing, variable and fixed selling and administrative costs are treated as?

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Under both variable costing and absorption costing, variable and fixed selling and administrative costs are treated as period cost.

What are periods cost?

Costs that cannot be recognised on a company's balance sheet are referred to as period costs. In other words, they are recorded as an expense on the income statement in the period in which they are incurred. Period expenses are another name for period costs.

What is difference between period cost and product cost?

Product costs are only incurred when things are purchased or produced, but period costs are linked to the passage of time. This is the main distinction between product costs and period costs.

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A marketing assistant for a technology firm plans to randomly select 1000 customers to estimate the pro- portion who are satisfied with the firm's performance. Based on the results of the survey, the assistant will construct a 95% confidence interval for the propor- tion of all customers who are satisfied. The market- ing manager, however, says that the firm can afford to survey only 250 customers. How will this decrease in sample size affect the margin of error? (a) The margin of error will be about 4 times larger. (b) The margin of error will be about 2 times larger. (c) The margin of error will be about the same size. (d) The margin of error will be about half as large. (e) The margin of error will be about one-fourth as large. T8.8 Thirty-five people from a random sample of 125 work- ers from Company A admitted to using sick leave when they weren't really ill. Seventeen employees

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The decrease in sample size affect the margin of error and it will make the margin of error will be about the same size

When a sample is taken, it's not possible to get an exact representation of the population, but the margin of error gives us an idea of how close the sample estimate is to the true population value.

In this case, the marketing assistant is trying to estimate the proportion of customers who are satisfied with the firm's performance. To do this, they plan to randomly select 1000 customers and construct a 95% confidence interval for the proportion of all customers who are satisfied.

The formula for calculating the margin of error for a sample proportion is given by:

Margin of Error = z * √(p * (1 - p) / n)

where z is the z-score for a given confidence level, p is the sample proportion, and n is the sample size.

In this case, if the sample size decreases from 1000 to 250, the margin of error will be about 4 times larger. This is because the sample size is a crucial factor in determining the margin of error.

In mathematical terms, if we plug in the sample size of 1000 and the sample size of 250 into the formula, we can see that the margin of error is much larger when the sample size is 250.

Therefore, the correct option is (c).

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Report Student is required to discuss the impact of Covic-19 in Public Sector especially on Financial Reporting and Auditing part. Following is the contents to be included: 1. Main risks and challenges associated with Covid-19 spending in the public sector. 2. Impact of Covid-19 on the Financial Reporting and auditing role in maintaining the accountability.

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Title: The Impact of COVID-19 on Financial Reporting and Auditing in the Public Sector Main risks and challenges associated with COVID-19 spending in the public sector:

The COVID-19 pandemic has significantly affected the public sector's financial landscape, giving rise to several risks and challenges. Firstly, there has been a surge in government spending to address the health crisis and mitigate its economic impact. This increased spending has exposed the public sector to the risk of fraud, misappropriation, and improper financial management. With the urgency to disburse funds quickly, proper due diligence and oversight measures may be compromised, leading to potential misuse of public resources. Additionally, the pandemic has disrupted normal procurement processes, making it challenging to ensure transparency and competitive bidding for public contracts.

Impact of COVID-19 on Financial Reporting and Auditing in maintaining accountability:

The COVID-19 pandemic has had a profound impact on the financial reporting and auditing functions within the public sector, significantly affecting the maintenance of accountability. Firstly, the crisis has caused substantial economic volatility and uncertainty, leading to increased complexities in financial reporting. Government entities must grapple with new accounting treatments for stimulus packages, loan forgiveness programs, and grants, requiring careful assessment and disclosure to provide accurate and reliable financial information.

Moreover, the shift to remote work arrangements and disruptions in internal controls have raised concerns regarding the accuracy and completeness of financial data. With limited access to physical documents and potential delays in information exchange, there is a heightened risk of errors, omissions, and fraudulent activities. Consequently, auditors face challenges in conducting thorough and effective audits to ensure the integrity of financial statements and compliance with relevant regulations.

To mitigate these challenges, public sector entities should strengthen their internal control systems, enhance transparency and accountability measures, and invest in technology to facilitate remote auditing and financial reporting processes. Additionally, collaboration between governments, auditors, and oversight bodies is crucial to address emerging risks and implement robust monitoring mechanisms.

In conclusion, the COVID-19 pandemic has presented significant risks and challenges in the public sector, particularly in terms of financial reporting and auditing. Effective measures must be implemented to ensure the appropriate use of funds, maintain accountability, and provide accurate financial information during these unprecedented times.

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Platelet plug formation occurs at which point?
a. when large megakaryocytes break up into thousands of smaller fragments b. when platelets are dispersed through the bloodstream
c. when platelets are attracted to a site of blood vessel damage
d. none of the above

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Platelet plug formation occurs when platelets are attracted to a site of blood vessel damage. This process involves a series of events that lead to the formation of a temporary platelet plug to stop bleeding. When a blood vessel is damaged, platelets are activated and aggregate at the site of injury to form a plug.  the correct option is c. When platelets are attracted to a site of blood vessel damage.

This process is triggered by the exposure of collagen and other factors that are released from damaged tissues. Platelet activation leads to the release of chemicals that attract more platelets to the site, and these platelets then stick together to form a plug that seals the hole in the blood vessel. This process is essential for hemostasis and prevents excessive bleeding.
1. Blood vessel damage occurs, exposing collagen fibers.
2. Platelets adhere to the exposed collagen fibers, becoming activated.
3. Activated platelets release chemicals that attract more platelets to the site of injury.
4. The newly attracted platelets aggregate and form a platelet plug, helping to stop the bleeding.

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The correct answer is C. Platelet plug formation occurs when platelets are attracted to a site of blood vessel damage.What is Platelet plug formation?

Platelet plug formation is the initial stage of hemostasis, which happens in response to vascular injury. It involves the accumulation of platelets at the site of  injury to form a "plug" that obstructs blood loss from the damaged vessel.The process of Platelet plug formation occurs in four different stages:Vascular Spasm: It occurs when the blood vessel construction in response to injury.Endothelial Injury: The exposure of collagen and von Willebrand factor (vWF) after endothelial injury leads to the adhesion of platelets.Platelet Activation: Adherent platelets will be activated by thrombin, ADP, and collagen, causing them to aggregate and release granule contents.Platelet Aggregation: The formation of the platelet plug results from the interplay of several adhesive glycoproteins on the surface of activated platelets and fibrinogen circulating in the blood stream.

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Why is it important to keep your own financial records?

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Answer:

You need good records to prepare accurate financial statements. These include income (profit and loss) statements and balance sheets. These statements can help you in dealing with your bank or creditors and help you manage your business

Explanation:

what effect does obtaining a sample with a standard deviation larger than that estimated during planning have on the adjusted allowance for sampling risk?

Answers

If the obtained sample has a standard deviation that is larger than the one estimated during planning, it can have a significant effect on the adjusted allowance for sampling risk.

When conducting a statistical analysis, it is essential to estimate the standard deviation of the population, as it is a crucial parameter for determining the required sample size and the adjusted allowance for sampling risk.

The adjusted allowance for sampling risk is a measure of the degree of uncertainty or risk associated with the sample's representativeness.

A larger standard deviation in the sample suggests that the variability within the population is higher than initially assumed, which increases the risk of obtaining a non-representative sample.

As a result, the adjusted allowance for sampling risk should be increased to account for this increased uncertainty.

The increased allowance for sampling risk implies that a larger sample size may be required to obtain a representative sample with the desired level of precision.

It is essential to consider the implications of a larger standard deviation when planning a statistical analysis to ensure that the sample size and sampling plan are appropriate and that the results are reliable and accurate.

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Inflation is expected to increase steadily over the next 10 years, there is a positive maturity risk premium on both Treasury and corporate bonds, and the real risk-free rate of interest is expected to remain constant. Which of the following statements is CORRECT? A. The yield on 7-year corporate bonds must exceed the yield on 10-year Treasury bonds. B. The Treasury yield curve under the stated conditions would be humped rather than have a consistent positive or negative slope. C. The yield on 10-year Treasury securities must exceed the yield on 7-year Treasury securities D. The stated conditions cannot all be true they are internally inconsistent. E. The yield on any corporate bond must exceed the yields on all Treasury ; bonds.

Answers

Answer:

C. The yield on 10-year Treasury securities must exceed the yield on 7-year Treasury securities

Explanation:

Due to the fact that inflation would be rising steadily, the yield curve would be upward sloping. The yield curve would be humped if inflation is expected to increase the medium term and then decrease in the long term.

Due to increasing inflation, investors would want a higher rate of return in the long run compared to the short run. This would ensure that their purchasing power remains the same. Thus, the yield  on 10-year Treasury securities must exceed the yield on 7-year Treasury securities

corporate bonds are more risky that treasury bonds. so, for the same maturity, investors would demand a higher return on corporate bonds than on treasury bonds

Explain how apple corporation helped the world to get better by its contribution in different fields of life

Answers

Explanation:

Apple is one of the largest companies in the world, and has contributed positively to the world in different fields of life. It can be said that the company has the highest standards of environmental management that contributes to the reduction of impacts caused by the company to the environment, as well as to the preservation and investments in environmental programs.

It is also correct to say that the company has revolutionized the way people communicate, with the creation of its technological devices that provided greater interaction between people, greater speed with which communication is exercised, helping in business, in the way of living, to buy and interact with the world.

Today, a bond has a coupon rate of 13.5%, par value of $1000, YTM of 9.50%, and semi-annual coupons with the next coupon due in 6 months. One year ago, the bond's price was $1,281.05 and the bond had 7 years until maturity. What is the current yield of the bond today?
A rate equal to or greater than 11.34% but less than 11.75%
A rate equal to or greater than 11.20% but less than 11.34%
A rate less than 11.06% or a rate greater than 12.38%
A rate equal to or greater than 11.75% but less than 12.38%
A rate equal to or greater than 11.06% but less than 11.20%
Two years ago, the price of a bond was $927.00, and one year ago, the price of the bond was $985.00. Over the past year, the bond paid a total of $74.00 in coupon payments, which were just paid. If the bond is currently priced at $941.00, then what was the rate of return for the bond over the past year (from 1 year ago to today)? The par value of the bond is $1,000.

Answers

Today, a bond has a coupon rate of 13.5%, par value of $1000, YTM of 9.50%, and semi-annual coupons with the next coupon due in 6 months, the current yield of the bond today is 5.86%.

To calculate the current yield, we need to first find the annual coupon payment. The coupon rate is 13.5%, which means the annual coupon payment is $135 ($1,000 par value x 13.5% coupon rate). Since the coupons are paid semi-annually, each coupon payment will be $67.50 ($135/2).

Next, we need to calculate the bond's price today. We know the bond's par value is $1,000, and the YTM is 9.50%, which means the semi-annual YTM is 4.75%. We can use the present value formula to calculate the bond's price:

PV = (C/2) / (1 + r/2) + (C/2) / (1 + r/2)^2 + ... + (C/2 + Par) / (1 + r/2)^n

where C is the semi-annual coupon payment, r is the semi-annual YTM, Par is the par value of the bond, and n is the total number of semi-annual periods until maturity. Plugging in the values, we get:

PV = ($67.50 / (1 + 0.0475)) + ($67.50 / (1 + 0.0475)^2) + ... + ($67.50 / (1 + 0.0475)^14) + ($1,000 / (1 + 0.0475)^14)

PV = $1,154.22

Therefore, the bond's price today is $1,154.22.

Now we can calculate the current yield:

Current yield = Annual coupon payment / Bond price

Current yield = ($135 / 2) / $1,154.22

Current yield = 0.0586 or 5.86%

So the current yield of the bond today is 5.86%.

For the second question, we can use the following formula to calculate the bond's rate of return:

Rate of return = (Ending price - Beginning price + Coupons) / Beginning price

We are given the beginning price ($985), the ending price ($941), and the total coupons paid over the year ($74). Plugging in the values, we get:

Rate of return = ($941 - $985 + $74) / $985

Rate of return = -0.0315 or -3.15%

Thus, the rate of return for the bond over the past year is -3.15%.

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marta's online store sells accessories for a widely used smartphone, and her current customer base shares a number of relevant characteristics. she believes she'll have her best return on investment by narrowing her search campaign audience. which two search campaign settings can be configured to reach more specific customers?

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Marta's online store sells accessories for a widely used smartphone, and her current customer base shares a number of relevant characteristics. she believes she'll have her best return on investment by narrowing her search campaign audience.

Which two search campaign settings can be configured to reach more specific customers location and device type. An on-line save is an ecommerce internet site or app in which customers can see a catalog of services or products and electronically buy them.

A standard illustration of a web save is a brick-and-mortar retail enterprise that still shows and sells its merchandise on an internet site. Brick-and-mortar shops are bodily shops that clients can go to in-person. The contrary of a brick-and-mortar save is a web enterprise.

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true/false. there is actually a stronger relationship between finance and marketing than there is between finance and accounting.

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"There is a stronger relationship between finance and marketing than there is between finance and accounting." This statement is False.

Finance and accounting are closely interconnected because accounting provides the financial information and data necessary for financial analysis, decision-making, and reporting. Accounting focuses on recording, summarizing, and interpreting financial transactions and generating financial statements. Finance, on the other hand, deals with the management of funds, financial planning, investments, and financial analysis.

Marketing, on the other hand, is primarily concerned with activities related to promoting and selling products or services. While finance and marketing may collaborate on budgeting, financial forecasting for marketing initiatives, or evaluating the financial impact of marketing campaigns, the relationship between the two functions is generally not as closely intertwined as finance and accounting.

Therefore, the above-mentioned statement is False.

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List and briefly discuss two (2) ways that manufacturing and nonmanufacturing location decisions similar. Also List and briefly discuss two (2) ways that those location decisions are different.

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Similarities in manufacturing and nonmanufacturing location decisions: Cost considerations: Both manufacturing and nonmanufacturing businesses consider factors such as labor costs, real estate prices, taxes, and utility costs when making location decisions.

Cost-efficient locations help maximize profitability in both sectors. Market access: Both manufacturing and nonmanufacturing businesses aim to establish a presence in locations that provide easy access to their target markets. Proximity to customers, suppliers, distribution networks, and transportation infrastructure are critical factors for success in both sectors. Differences in manufacturing and nonmanufacturing location decisions:Physical infrastructure requirements: Manufacturing often requires specialized infrastructure such as factories, warehouses, and transportation networks. Nonmanufacturing businesses, on the other hand, may require office spaces, retail locations, or service-oriented facilities that are different from manufacturing infrastructure.

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Could a value chain be maintained without electronics and technology to support it? If so, how?

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Yes, a value chain can be maintained without electronics and technology to support it.

The value chain is a systematic way of organizing activities and tasks within an organization to deliver a product or service of value. It consists of the steps in the production process from the acquisition of materials and resources to the end product or service. These steps can be performed manually or with the help of manual tools and machines, without the need for electronics or technology. For example, a factory might produce furniture by having workers assemble it manually or with the use of hand tools.

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financial data for joel de paris, incorporated, for last year follow: joel de paris, incorporated balance sheet beginning balance ending balance assets cash $ 140,000 $ 120,000 accounts receivable 450,000 530,000 inventory 320,000 380,000 plant and equipment, net 680,000 620,000 investment in buisson, s.a. 250,000 280,000 land (undeveloped) 180,000 170,000 total assets $ 2,020,000 $ 2,100,000 liabilities and stockholders' equity accounts payable $ 360,000 $ 310,000 long-term debt 1,500,000 1,500,000 stockholders' equity 160,000 290,000 total liabilities and stockholders' equity $ 2,020,000 $ 2,100,000 joel de paris, incorporated income statement sales $ 4,050,000 operating expenses 3,645,000 net operating income 405,000 interest and taxes: interest expense $ 150,000 tax expense 110,000 260,000 net income $ 145,000 the company paid dividends of $15,00

Answers

Based on the financial data provided for Joel de Paris, Incorporated, it appears that the company experienced growth in their assets from the beginning of the year to the end. Specifically, their accounts receivable and inventory both increased, which could indicate an increase in sales or production. However, their cash balance decreased, which could be a cause for concern if the company does not have enough cash to cover their expenses.

On the liabilities and stockholders' equity side, Joel de Paris, Incorporated saw a decrease in their accounts payable and an increase in their stockholders' equity. However, their long-term debt remained the same, which means that the company did not make any progress in paying off their debt during the year.

Looking at the income statement, the company had sales of $4,050,000 but had significant operating expenses of $3,645,000. This resulted in a net operating income of $405,000. After factoring in interest and taxes, the company had a net income of $145,000. The fact that the company paid out $15,000 in dividends suggests that they may have had some extra cash on hand, but it is important to keep in mind that the company's cash balance decreased over the course of the year.

Overall, while Joel de Paris, Incorporated saw some growth in their assets and stockholders' equity, they may need to pay closer attention to their cash flow and long-term debt in order to maintain financial stability.

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What technology allows retailers to better respond to consumer buying patterns?

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Cypherxam is the anwser

1. What are safe harbor classes? Give at least three
examples.
2. What is the significance of the European eBay decisions? How
is it related to the Tiffany vs eBay case?
3. Distinguish between contrib

Answers

Safe harbor classes refer to specific categories or types of entities that are provided legal protections or immunity from certain liabilities under the law. Here are three examples of safe harbor classes:

Safe harbor classes, also known as safe harbor provisions, are legal protections or immunities granted to certain entities or individuals from liability for certain actions or behaviors. Here are three examples of safe harbor classes Digital Millennium Copyright Act (DMCA) Safe Harbor: Under this provision, online service providers are shielded from copyright infringement liability for user-generated content on their platforms, as long as they promptly respond to takedown notices and meet other specified requirements.Communications Decency Act (CDA) Safe Harbor: Section 230 of the CDA protects internet service providers and website operators from liability for content posted by their users. It allows platforms to moderate and filter user-generated content without being held legally responsible for the content's accuracy or legality.

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In industries where economies of scale are important, both the variety of goods that a country can produce and the scale of production are limited by the size of the market.True or False

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It is TRUE that: the size of the market constrains both the variety of goods that a country can produce and the scale of production in industries that rely on economies of scale.

What is Economies of Sales?

Economies of scale refer to the cost advantages that businesses can achieve by increasing their scale of production. As production increases, the average cost per unit decreases due to factors such as bulk purchasing, specialization of labor, and increased efficiency.

Industries that benefit from economies of scale require a large market to achieve maximum efficiency and profitability. If the market is small, the production scale will also be small, resulting in higher costs and lower output. In addition, the variety of goods that can be produced is limited because producing a wider range of products requires a larger market demand.

Therefore, in industries where economies of scale are important, the size of the market constrains both the variety of goods that a country can produce and the scale of production.

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the humidity level absorbed is 3%, and ha: the humidity level absorbed is more than 3%. what is the consequence of a type ii error in this context?the company believes the humidity absorbed is more than 3% when in fact it is not. correctly functioning components will be destroyed at great expense to the company.the company believes the voltage delivered is more than 1,000 volts, when in fact it is not more than 1,000 volts. correctly functioning components will be destroyed at great expense to the company.the company believes the voltage delivered is no more than 1,000 volts, when in fact it is more than 1,000 volts. the company will sell components that absorb a dangerous level of humidity.the company believes the humidity absorbed is not more than 3%, when in fact it is more than 3%. the company will sell components that absorb a dangerous level of humidity.

Answers

A type II error would occur if the company believes that the humidity absorbed is not more than 3%, when in fact it is more than 3%. This means that the company would sell components that absorb a dangerous level of humidity.

Which could have serious consequences for the end users of those components. The high humidity level could cause damage or malfunction of the components, leading to safety hazards or costly repairs. To avoid a type II error, the company should ensure that their testing methods are accurate and reliable and that they are using appropriate equipment to measure humidity levels. It may also be helpful to conduct multiple tests and to have a third party verify the results. If the company believes that the voltage delivered is more than 1,000 volts, when in fact it is not, or if they believe that the voltage delivered is no more than 1,000 volts, when in fact it is more than 1,000 volts, there could be serious consequences for the end users of the components.

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Negotiated transfer prices Blank______. Multiple select question. use the expertise of managers in weighing the costs and benefits of the transfer ensure that the supplying division will receive a market price are consistent with decentralization preserve the autonomy of the divisions ensure that all common costs will be covered

Answers

Negotiated transfer prices Blank uses the expertise of managers in weighing the costs and benefits of the transfer.

What is negotiated transfer pricing?

Negotiated transfer pricing refers to when firm representatives negotiate rates on their own, rather than relying solely on market prices.

Learn about the benefits and drawbacks of adopting negotiated transfer pricing through the example of two companies' negotiations. Transfer prices negotiated assesses the costs and benefits of the transfer with the help of managers.

Therefore, option A is correct.

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An investment of 1 will double in 15.142 years at a force of interest, δ. An investment of 1 will increase to 3 in n years at the same force of interest. Find n to the nearest whole number.

Answers

Answer:

24 years

Explanation:

Nper = 15.142

PMT = 0

PV = 1

FV = 2

Type = 0

Rate = Rate(Nper, pmt, -pv, fv, type)

Rate = Rate(15.142, 0, -1, 2, 0)

Rate = 4.68%

Rate = 4.68%

PMT = 0

PV = 1

FV = 3

Type = 0

NPER = NPER(rate, pmt, -pc, fv, type)

NPER = NPER(0.04684, 0, -1, 3, 0)

NPER = 24 years

Which of the following demonstrate a healthcare worker using strategies for managing people? choose all that apply

a surgeon who has a positive attitude that motivates her assistants

a doctor who explains a hospital’s goals to an employee he recently hired

an office manager who avoids pointing out an employee’s low-quality work because she does not want to hurt his feelings

a new employee who agrees to work extra hours during a busy time at a hospital

a nurse who becomes friends with another nurse

a dentist who thanks her assistant for doing good work

Answers

Answer:

1,2,6

Explanation:

You're welcome <3

Suppose that Americans for Prosperity, a conservative -leaning social welfare organization, seeks to spend $6 million in political adve* against a particular issue that one of the prominent Democratic Socialist candidates running for a congressional seat endorsed. Canorganization engage in this type of campaign activity?Answers:a. No, current Supreme Court rulings restrict these groups from directly engaging in electoral activity including campaigns.b. No, 527 groups are required by law to remain non-partisan.c. Yes, 527 groups can raise unlimited funds for advertisements and are permitted to run campaign advertisements on politicd,Yes, but 527 groups may not spend more than $6 million and must disclose all contributors because "dark money" in campaign

Answers

Yes, organizations can engage in this type of campaign activity. So, the correct option is C.

527 groups can raise unlimited funds for advertisements and are permitted to run campaign advertisements on political issues. These organizations are allowed to engage in this type of campaign activity, as long as they follow the appropriate policies and regulations.

To raise funds for an organization, there are various methods available including grant applications, donation campaigns, sponsorships, and fundraising events. The policy of raising funds for an organization depends on its legal structure and the laws and regulations of the country. For example, in the United States, non-profit organizations are subject to IRS regulations and must file annual reports on their fundraising activities. However, they must disclose all contributors because "dark money" in the campaign is not allowed.

As for the question regarding Americans for Prosperity, the answer would be option c. 527 groups can raise unlimited funds for advertisements and are permitted to run campaign advertisements on politics.

Therefore, the correct option is C. 527 groups can raise unlimited funds for advertisements and are permitted to run campaign advertisements on politics.

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Eliza Conner owns a small clothing boutique. Eliza uses her personal checking account for both business and personal needs. How would you convince Eliza that she should open a separate
bank account for her business?

Answers

Answer:

1. It will cause them confusion throughout the tax calculating process.

2. Using a single account will make it difficult to keep payroll records.

3. Keep track of your personal expenses and earnings.

Explanation:

1. It is preferable to establish a separate account to separate the firm's actual income and expenses.

2. Payroll expenses are indistinguishable from personal expenses.

3. This allows you to cross-check bank and hand-made documents for income and expenses. Because cash transactions may not be recorded in the bank account, the entrepreneur should preserve receipts in order to compute revenue and expenses, which may result in erroneous financial statements.

Respond to the following prompts in a post with a minimum of 200
words.
In recent decades, economic inequality (both income inequality
and wealth inequality) has become a prominent topic in American
p

Answers

In recent decades, economic inequality (both income inequality and wealth inequality) has become a prominent topic in American.

An overview-

The income inequality in America has been worsening over the last 40 years. The rich people have been getting richer, and the poor people have been getting poorer.

The wealthiest Americans hold a disproportionate share of the country's wealth, and the country has the highest poverty rate in the developed world.

This issue is serious and affects the country's economy, social fabric, and political system. It has become increasingly clear that addressing this issue is essential to creating a more equitable and just society.

What are the causes ?

The causes of economic inequality are multifaceted. They include factors such as globalization, technological change, and the decline of unions. Globalization has made it easier for corporations to outsource labor to countries with lower wages and weaker labor laws.

As a result, many American jobs have been lost, and wages have stagnated. Technological change has also contributed to the decline of jobs that require less education and more manual labor. The decline of unions has weakened the bargaining power of workers, leading to lower wages and fewer benefits.

Addressing economic inequality requires a multi-faceted approach. It involves creating policies that promote economic growth and job creation, such as infrastructure investment, education reform, and research and development.

Finally, addressing income inequality also requires reforming the tax code to ensure that the wealthy pay their fair share and investing in programs that help lift low-income families out of poverty.

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Select the best alternative for the following questions:
i. Which of the following transactions are not recorded in book keeping?
a) Sold Goods on Credit.
b)
Introduce capital in the business.
c) Resignation of marketing manager.
d) Drawing cash from business for personal use.
..​

Answers

Answer:

c. the resignation

Explanation:

this would not affect the bottom line of the company and is therefore irrelevant

The correct answer is c

What is the band that starts a concert?



a) Opening act

b) Headliner

c) Secondary act

d) None of the above

Answers

Answer: Opening act

Explanation: trust

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