The correct answer is "will be the same under both variable and absorption costing".
When there is zero beginning inventory and all inventory units produced are sold, the cost of goods sold (COGS) will be the same under both variable and absorption costing methods. This is because there are no beginning inventory costs to account for, so all costs incurred during the current period (whether fixed or variable) will be included in the cost of goods sold calculation. Under variable costing, only variable manufacturing costs are included in the cost of goods sold calculation. This means that fixed manufacturing costs are treated as a period expense and are not included in the calculation of the cost of goods sold. Under absorption costing, all manufacturing costs (both fixed and variable) are included in the cost of goods sold calculation. This means that fixed manufacturing costs are absorbed into the cost of goods sold, which can cause fluctuations in net income due to changes in inventory levels. However, in this scenario where there is zero beginning inventory and all inventory units produced are sold, the cost of goods sold will be the same under both methods because there are no beginning inventory costs to absorb. Therefore, the income will be the same under both variable and absorption costing.
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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.
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
a washing machine costs $898. it is sold at a loss of 17% on the cost price. find its selling price.
A washing machine costs $898. it is sold at a loss of 17% on the cost price.The selling price will be $ 745.34. Option C is correct.
Cost price is otherwise called CP. cost is the first cost of a thing. The total amount spent to produce a product or provide a service is referred to as the cost. In order to determine profitability, cost price is used in the following ways: In monetary terms, the profit is the selling price minus the costs.
The cost price is $898
17% on the cost price is 17% x $898
Sold at a loss of 17% on the cost
Sold = $898 -17% x $898
= $898-$152.66
= $745.34
The price a customer pays to acquire a product or service is known as the selling price. It is a price that is higher than the cost price and also includes a portion of the profit. The price at which the seller acquires the product or commodity is known as the cost price. He then adds a level of benefit or gains to it.
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Incomplete question:
a washing machine costs $898. it is sold at a loss of 17% on the cost price. find its selling price.
A. $ 876
B. $783.9
C. $ 745.34
D. $ 645
Question 9What is the average tenure of churned customers?What is the average tenure of not churned customers?Hints:
To compute the average tenure for churned customers, first filter the dataset using the Churn column where Churn is Yes.
In this filtered dataset, select the tenure column and compute its average.
Repeat the same steps for non churned customers (Churn is equal to No)
Check Module 3c: Accessing Columns and Rows and Module 3d: Descriptive Statistics
The average tenure of churned customers can be calculated by filtering the dataset based on the Churn column where Churn is marked as "Yes". Once the dataset is filtered, the Tenure column can be selected, and its average can be computed using descriptive statistics.
This will provide the average tenure of customers who have churned.
Similarly, to calculate the average tenure of non-churned customers, the dataset can be filtered based on the Churn column where Churn is marked as "No". The Tenure column can be selected from the filtered dataset, and its average can be computed using descriptive statistics.
For detailed guidance on accessing columns and rows, as well as computing descriptive statistics, Module 3c and Module 3d can be referred to as mentioned in the question prompt.
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An unplanned increase in inventories _______. A. occurs when real GDP exceeds aggregate planned expenditure, so firms decrease production and real GDP decreases B. occurs when real GDP exceeds aggregate planned expenditure, so firms increase production and real GDP increases C. occurs when aggregate planned expenditure exceeds real GDP, so firms increase production and real GDP increases D. occurs when aggregate planned expenditure exceeds real GDP, so firms decrease production and real GDP decreases E. increases investment, which increases equilibrium expenditure and real GDP
Answer: C. occurs when aggregate planned expenditure exceeds real GDP, so firms increase production and real GDP increases
Explanation:
When the Aggregate expenditure which is also known as Aggregate demand, exceeds the real GDP, it means that there is more demand for goods in the economy than the economy has currently produced.
Producers would therefore increase their production level in order to meet up with the new demand and return to a level of inventory that they are comfortable with. This increased production was not planned so any inventory it yields is unplanned as well.
Sherman, inc. Manufactures chainsaws that sell for $58. Each chainsaw uses $10 in direct materials and $3 in direct labor per unit. Sherman has two activities: machining, which is applied at the rate of $2 per machine hour, and finishing, which is applied at the rate of $20 per batch. This month, sherman made 200 chainsaws, using 1,000 machine hours in 40 batches. What is the gross profit for one chainsaw?
The correct option is B, This month, sherman made 200 chainsaws, using 1,000 machine hours in 40 batches. The gross profit for one chainsaw is $27.
Direct material ( per unit ) = $ 10
Direct labour. ( Per unit ) = $ 3
Therefore manufacturing cost s = 40 batches * $ 20 + 1000 * $ 2 + $ 10* 200 + $ 3 * 200
= 5400
Per unit cost = 5400/200
= $27
Gross profit is the difference between the revenue generated from sales and the cost of goods sold (COGS). It represents the money a company earns before subtracting operating expenses, interest, taxes, and other costs. Gross profit is a key financial metric that indicates the efficiency of a company's production and pricing strategy.
Gross profit is an important metric for businesses because it provides insight into the profitability of their operations. A high gross profit margin indicates that a company is able to produce and sell goods at a cost that is significantly lower than their selling price, which is a positive sign of financial health. Conversely, a low gross profit margin suggests that a company may need to adjust its pricing or cost structure to remain competitive in the market.
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Complete Question:-
Sherman, inc. Manufactures chainsaws that sell for $58. Each chainsaw uses $10 in direct materials and $3 in direct labor per unit. Sherman has two activities: machining, which is applied at the rate of $2 per machine hour, and finishing, which is applied at the rate of $20 per batch. This month, sherman made 200 chainsaws, using 1,000 machine hours in 40 batches. What is the gross profit for one chainsaw?
a. $13
b. $27
c. $30
d. $14
Suppose that an increase in health consciousness increases the demand for fitness centers across the country. Other things being equal, we can expect the wages of fitness instructors to:
Answer:
Increase.
Explanation:
In Economics, there are primarily two (2) factors which affect the availability and the price at which goods and services are sold or provided, these are demand and supply.
The law of demand states that, the higher the demand for goods and services, the higher the price it would be sold all things being equal.
According to the law of demand, there exist a negative relationship between the quantity of goods or services demanded and the price of goods or services i.e when the prices of goods and services in the market increases or rises: there would be a significant decline or fall in the demand for this goods and services.
This ultimately implies that, an increase in the price level of a product usually results in a decrease in the quality of real output demanded along the aggregate demand curve.
In this scenario, an increase in health consciousness increases the demand for fitness centers across the country. Other things being equal (ceteris paribus), we can expect the wages of fitness instructors to increase because their services would be sought or demanded by the trainers.
Mia doesn't have any credit history, so she's going to open a secured credit card to begin building her credit. She puts down an $800 security deposit. What feature of an unsecured credit card is Mia's security deposit most like?
the APR
the term
the credit limit
the annual fee
Answer:
i think it will be A OR C
Explanation:
The APR feature of an unsecured credit card is Mia's security deposit most like. If the new card doesn't offer a cheaper annual percentage rate, there is no benefit in transferring his credit card balance from one to the other.
What ways does a secured credit card aid in building credit history?
If you consistently make on-time payments, stay out of late fees, and maintain a low balance on your secured credit card, you might be able to create or improve your credit score. Most secured credit cards will notify the three credit reporting bureaus of your payment activity.
You won't have a credit score if you haven't used credit yet. After you open your first credit line, such as a credit card or student loan, you start to develop your credit score. At that time, how you use that first credit account affects your credit score.
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all work are dignified and equal. justify
Answer:
I hope that is helpful for you.
Bianca is a product engineer at Argon Inc. She learns that the salary she receives is less than that received by the other product engineers in the company with similar qualifications and job experience as hers. As a result, she becomes unhappy with her compensation and feels demotivated. She later talks to her manager and asks for a raise. In this scenario, Bianca has experienced problems with _____.
In this scenario in which Bianca is unhappy with her remuneration and feels unmotivated, it can be said that she had problems with her internal equity.
Definition of internal equityIn a work environment, it means the form of treatment and equal remuneration of employees, whether related to salaries, benefits or internal relationship.
Therefore, in an organization with internal equity problems, there may be conflicts, demotivation and an increase in employee turnover, being essential the analysis and effective decision-making of the leader to solve this issue.
The correct answer is:
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briefly describe the risk and the negative impact of outsourcing in information systems operations.
Outsourcing in information systems operations poses risks and negative impacts.
Outsourcing certain aspects of information systems operations can introduce risks and negative impacts for organizations. When companies choose to outsource their IT operations to external service providers, they relinquish direct control over critical functions and sensitive data. This lack of control can lead to potential risks such as compromised data security, loss of intellectual property, and reduced service quality. Additionally, outsourcing can result in a loss of in-house expertise, limited flexibility in responding to changing business needs, and difficulties in managing vendor relationships. These factors can have a detrimental impact on the organization's overall performance and productivity.
Outsourcing information systems operations exposes the organization to the risk of compromised data security. By entrusting sensitive data to external providers, the company may face increased vulnerability to data breaches, unauthorized access, or data leaks. This can lead to reputational damage, legal implications, and financial losses.
Furthermore, outsourcing can result in a loss of in-house expertise. When key IT functions are outsourced, the organization may rely heavily on the expertise of the external vendor, which can limit the development and retention of internal knowledge and skills. This dependence can hinder the organization's ability to adapt to technological advancements or address complex IT issues promptly.
Managing vendor relationships also poses a challenge when outsourcing. Organizations may face difficulties in ensuring service quality, maintaining effective communication, and enforcing contract terms. Lack of alignment between the organization's goals and the vendor's priorities can lead to conflicts, delays, and subpar performance.
In conclusion, while outsourcing information systems operations can offer benefits such as cost savings and access to specialized skills, it also carries risks and negative impacts. Companies must carefully evaluate the potential risks and develop robust strategies to mitigate them, ensuring that the benefits of outsourcing outweigh the associated drawbacks.
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You have just sold your house for $900,000 in cash. Your mortgage was originally a 30 -year mortgage with monthly payments and an initial balance of $750,000. The mortgage is currently exactly 18.5 years old, and you have just made a payment. If the interest rate on the mortgage is 7.75% (APR with semi-annual compounding), how much cash will you have from the sale once you pay off the mortgage? (Note: Be careful not to round any intermediate steps less than six decimal places.) What is the discount rate for the mortgage? The discount rate for the mortgage is \%. (Round to four decimal places.)
The cash that the seller will receive after paying off the mortgage is: Sale proceeds - the present value of the mortgage= $900,000 - $406,104.40= $493,895.60Therefore, the cash that the seller will receive after paying off the mortgage is $493,895.60. The discount rate for the mortgage is 5.41%.
The sale proceeds in cash after paying off the mortgage can be computed as follows: Loan amount = $750,000Interest rate = 7.75% (APR with semi-annual compounding)Payment period = 30 years or 360 monthsMortgage age = 18.5 years or 222 monthsTotal number of remaining payments = 360 – 222 = 138PMT = $4,501.16 (monthly payments)Discount rate =?Present value of the mortgage = $750,000 (initial balance)The formula for calculating the current value of an annuity is:P = PMT × (1 – (1 + r)-n)/where P is the present value of the grant, PMT is the regular payment, r is the discount rate. N is the number of payment periods. The current value of the mortgage can be calculated as:P = $4,501.16 × (1 – (1 + r)-138)/r Let's solve for r by using Newton's method:1st iteration:Rearranging the above equation and then differentiating both sides with respect to r gives:P(1 + r)-138 + 138 × $4,501.16 × (1 + r)-139 = $750,000 – 0.5P × (1 + r)-138 – PMT Substituting the values gives:$750,000 – 0.5P × (1 + r)-138 – PMT = 0.51st guess: r = 0.0500 (i.e., 5%)P = $4,501.16 × (1 – (1 + 0.0500)-138)/0.0500 = $406,104.332nd iteration:2nd guess: r1 = 0.0510 (i.e., 5.10%)P1 = $4,501.16 × (1 – (1 + 0.0510)-138)/0.0510 = $406,104.352nd guess: r2 = 0.0511 (i.e., 5.11%)P2 = $4,501.16 × (1 – (1 + 0.0511)-138)/0.0511 = $406,104.363rd guess: r3 = 0.0512 (i.e., 5.12%)P3 = $4,501.16 × (1 – (1 + 0.0512)-138)/0.0512 = $406,104.384th guess: r4 = 0.0513 (i.e., 5.13%)P4 = $4,501.16 × (1 – (1 + 0.0513)-138)/0.0513 = $406,104.40The present value of the mortgage is approximately $406,104.40.The cash that the seller will receive after paying off the mortgage is: Sale proceeds - current value of the mortgage= $900,000 - $406,104.40= $493,895.60Therefore, the cash that the seller will receive after paying off the mortgage is $493,895.60.The formula for calculating the discount rate is r = (i - P)/where i is the interest rate, and P is the market price of the mortgage bond. Substituting the values gives:r = (7.75% - $406,104.40/$750,000)/7.75%The discount rate for the mortgage is 5.41%. (Round to four decimal places.)
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All of the following are important to consider when deciding if a vocational
school is right for you except
A. the lack of general education,
B. how new the school buildings are.
C. the duration of the program.
O D. the range of career options.
Answer:
b.
Explanation:
just took the test
Mort Silver owns a home. He estimates his expenses as mortgage interest, $10,180; property taxes, $3,690; insurance, $833; depreciation, $3,800; maintenance and repairs, $900; lost interest income, $2,375; and utilities, $2,450. He expects to save $3,700 in income taxes. What is his net cost of home ownership?
Answer:
$17,528.00
Explanation:
The net cost of home-ownership will be the expenses minus savings.
Mortgage interests: $10,180
Property taxes :$3,690
Insurance :$833
Depreciation :$800
Maintenance and repairs :$900
Loss interest income :$2,375
Utilities: $2,450
The total expenses
= $10,180 + $3,690 + $833 + $800 + $900 + $2,375 + $2,450
=$21,228
Savings
=$21,228 - $3,700
=$17,528.00
Which of the following is NOT a component of the marketing mix?
O Product
O Promotion
O Perception
O Price
Answer:
Perception
Explanation:
Perception is not a component of the marketing mix. Option C is correct.
What are the components of a marketing mix?There are four main components of marketing mix, that help in marketing of any product in the market, and it is most important in the field of marketing, the four main components are:
ProductPrice PlacePromotionTherefore, option C correct.
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What is product positioning?
Answer:
Product positioning is a strategic exercise that defines where your product or service fits in the marketplace and why it is better than alternative solutions. The goal is to distill who your audience is, what they need, and how your product can uniquely help. Product positioning is the basis of your marketing story.
Explanation:
In LMX theory, what ultimately determines whether the follower becomes a member of an in-group or an out-group?
Answer:
d. the leader's perception of the follower
Explanation:
LMX theory stands for leader-member exchange theory and is an approach to leadership that focuses on the two-way relationship that exists between the leaders and followers of a group. Therefore the whether the follower becomes a member of an in-group or an out-group depends on the leader's perception of the follower. Mainly because the leader makes this decision and bases it around what they ultimately think about the follower.
A(n) _allows students to study more specific topics within their majors. O A. requirement O B. integration O C. minor O D. specialization
Answer:
requirement
Explanation:
think so
An appropriate fiscal policy for a severe recession is: a. appreciation of the dollar b. a decrease in government spending, c. an increase in interest rates. d. a decrease in tax rates
An appropriate fiscal policy for a severe recession is a decrease in tax rates. Option d. a decrease in tax rates is the correct answer.
A severe recession is a macroeconomic condition characterized by high unemployment rates, lower gross domestic product, and a decline in economic activity.
The government employs a variety of fiscal policies to counter the negative effects of recessions. The fiscal policies aim to increase economic activity, create employment, and improve consumer spending.
Fiscal policies can either be contractionary or expansionary. In a severe recession, the government implements expansionary fiscal policies, which are aimed at increasing aggregate demand and economic growth. Decreasing tax rates is an expansionary fiscal policy, which increases disposable income, consumer spending, and demand for goods and services.
Increased demand will lead to increased production and employment. This policy has been effective in stimulating the economy by increasing aggregate demand and consumer spending.
Thus a decrease in tax rates is an appropriate fiscal policy for a severe recession. Option d. a decrease in tax rates is the correct answer.
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What is marketing? Help pls
Shaili bought a bond from Penny’s Pickles, Inc at par value ($1000) with a coupon rate of 6% and a maturity date 10 years in the future...
If interest rates are currently 3.5%, and Shaili sold the bond today, would she expect to get more than, less than, or equal to $1000 for it?
Answer:
I believe its less than.
Explanation:
Sorry if I am wrong
What is the opportunity cost of studying for the test in order to get a good grade?
Answer:
the opportunity cost is the time spent studying and that money to spend on something else
The time spent studying and the money that could have been used for something else are the opportunity costs.
What is opportunity cost?According to microeconomic theory, an activity's opportunity cost is the value or gain that is forfeited in exchange for engaging in that activity as opposed to engaging in an alternative activity. More precisely, it means that by choosing one course of action (such as making an investment), you are forfeiting the chance to take an other course of action. The activity that yields the highest return among all others, net of opportunity costs, is the one that is considered to be the ideal activity.
The goal of opportunity cost is to ensure efficient use of limited resources as a depiction of the relationship between scarcity and choice. It takes into account all decision-related expenses, both explicit and implicit.
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Transporting goods by ship is a low-cost mode of transportation can carry a
wide variety of goods but is very slow. Which of the following would be the
best situation to transport the goods to transport by ship?
OA. A T-shirt going from a retailer in California to a consumer in Texas
who wants overnight delivery
B. A batch of T-shirts going from a producer in Montana to a retailer
in Illinois who won't be stocking the merchandise on shelves for
another two months
C. A batch of T-shirts going from a producer in China to a retailer in
California who needs to stock the merchandise on shelves next
week
D. A batch of T-shirts going from a producer in China to a retailer in
California who won't be stocking the merchandise on shelves for
another two months
Answer:
D.
Explanation:
Only one that makes sense
An economy that using its resources to produce the maximum number of goods and services is described as? A. Efficient B.underutilized C.growing. D.trading off
Answer:
underutilized
Explanation:
OJT is best for large groups.
True
False
Name one company that's achieved strategic fit and explain why.
( this is a supply class btw)
Toyota Motor Corporation is the company that's achieved strategic fit.
Toyota Motor Corporation has achieved strategic fit by implementing the Toyota Production System (TPS), which focuses on lean manufacturing and just-in-time production. This approach enables Toyota to streamline its supply chain, reduce inventory levels, and respond quickly to changes in customer demand. By aligning its production and supply chain strategies, Toyota has been able to achieve operational efficiency, cost reduction, and high-quality standards. This strategic fit allows Toyota to meet customer needs effectively while maintaining a competitive advantage in the global automotive industry.
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Img world provides college students with new, relevant media, making which stage of the consumer buyer behavior process easier for the consumer?
Img world provides college students with new, relevant media, making Information search stage of the consumer buyer behavior process easier for the consumer
consumer decision-making processConsumer decision-making can appear complicated, but all buyers follow the same fundamental stages to choose the goods and services that will best meet their needs.
Whether purchasing something, especially when it's something substantial like a car, consider your own thought process. Before choosing what to buy, you take into account your needs, do some research, and weigh your possibilities. You frequently question your decision after the fact.
Put yourself in the customer's shoes and review the steps in the consumer decision-making process if you work in sales or marketing to maximize your influence.
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Analyse why the social benefit of education exceed the private benefit
Answer:
dddddddddddd
Explanation:
xxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxs
The portion of net income on a budget referred to as discretionary income is most appropriately used for:.
Discretionary income is speaks to your net income that is not eaten up by your imediate personal needs.
Discretionary incomeGenerally, Net income is simply the difference of gross profit and all other expenses and all other costs
Your discretionary income comes out of your disposable income, This speaks to your net income that is not eaten up by your personal needs, its the money for left over to save, invest, or spend.
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what is the optimal winning percentage of the small market team? enter your response in the decimal format to the second decimal point:
The optimal winning percentage of a small market team cannot be determined without additional information.
It depends on various factors such as the competitiveness of the league, the team's resources, and the overall level of talent in the league.The optimal winning percentage of a small market team is subjective and depends on several factors.
It is influenced by the competitiveness of the league in which the team participates. If the league is highly competitive, the optimal winning percentage may be higher than in a less competitive league.
Additionally, the team's resources, including financial capabilities, management strategies, and player recruitment, play a significant role in determining the optimal winning percentage. A small market team with limited resources may face challenges in competing with larger market teams, affecting their optimal winning percentage.
Moreover, the overall level of talent in the league can impact the optimal winning percentage. If the league comprises highly skilled teams, achieving a higher winning percentage becomes more difficult, and the optimal winning percentage may be lower compared to a league with lower overall talent.
Given these considerations, without specific information about the league, resources, and competitiveness, it is not possible to determine the exact optimal winning percentage for a small market team.
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When marketers evaluate the attractiveness of each potential segment and decide in which of these groups they will invest resources to try to turn them into customers, they are engaging in ________.
When marketers evaluate the attractiveness of each potential segment and decide in which of these groups, they are engaging in targeting.
A serviceable obtainable market also known as a target market, can be defined as a group of customers within a business's serviceable available market at which a business aims its marketing efforts and resources. A serviceable obtainable market is a subset of the total market for a service or product. Target market used to helps increase the effectivity of the campaign.
There are 5 different types of targeting, such as:
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