The correct number of kanbans when lead time for cakes is 1 days with daily demand of 20 cakes anda safety stock of ½ a day is 6.
Kanban is a lean manufacturing method that regulates the flow of goods in a production system. It is widely used in many manufacturing sectors.
To determine the correct number of kanbans for the given situation, you should follow these steps:1. Calculate the total daily demand: Daily demand is 20 cakes per day.
2. Calculate the safety stock: Safety stock is ½ a day, which is equal to 20 cakes per day * 0.5 = 10 cakes.
3. Determine the total demand including safety stock: Total demand = Daily demand + Safety stock = 20 cakes + 10 cakes = 30 cakes.
4. Calculate the number of kanbans needed: Each kanban holds 5 cakes, so the correct number of kanbans is Total demand / Kanban size = 30 cakes / 5 cakes per kanban = 6 kanbans.
The correct number of kanbans for this situation is 6.
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Which of the following statements would be considered pros of globalization?
Increased competition between countries
Increased immigration of unskilled workers
Increased public funding for education and immigration of those citizens with education
Increased consumption of wide variety of goods leading to increased production
Answer:
increased consumption of wide variety of goods leading to increased production.
Explanation:
im sorry if i get it wrong
the office policy and procedure states that any purchase requests that are $3,000 and over must be given to dennis o'donnell, who will obtain authorization from the chief financial officer. dennis serves as a(n) in the buying center.
In this scenario, Dennis serves as a(n) gatekeeper in the buying center.
A gatekeeper is someone who controls the flow of information and access to key decision-makers in a buying center. They ensure that only relevant and necessary information reaches the appropriate individuals.
In this case, Dennis's role is to review purchase requests and forward them to the chief financial officer for authorization. This makes him the gatekeeper, as he is the one who controls the information flow and access to the decision-maker.
Other roles in a buying center include the initiator, who starts the buying process; the buyer, who actually makes the purchase; the decider, who makes the final decision on the purchase; and the user, who uses the product or service being purchased. In this specific case, Dennis O'Donnell is functioning as a gatekeeper.
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Complete question:
The office policy and procedure states that any purchase requests that are $3,000 and over must be given to Dennis O'Donnell, who will obtain authorization from the chief financial officer. Dennis serves as a(n) ________ in the buying center.
a. gatekeeper
b. initiator
c. buyer
d. decider
e. user
When referring to factors of production,
which of the following is an example of land?
Answer:
The first factor of production is land, but this includes any natural resource used to produce goods and services. This includes not just land, but anything that comes from the land. Some common land or natural resources are water, oil, copper, natural gas, coal, and forests.
four college friends started a consulting business by contributing $5,000 each. the consulting firm borrowed another $20,000 from the bank. how did the cash account of the consulting company change?
Cash account increased by $40,000 ($20,000 from friends' contributions and $20,000 from the bank loan).
The cash account of the consulting company changed as follows: The four college friends contributed $5,000 each, resulting in a total contribution of $20,000 to the cash account.
Additionally, the consulting firm borrowed $20,000 from the bank, which further increased the cash account. In total, the cash account of the consulting company increased by $40,000 ($20,000 from the friends' contributions and $20,000 from the bank loan).
This infusion of funds provides the company with initial working capital to cover expenses, investments, and operational needs. It is important for the company to track and manage its cash flow effectively to ensure proper utilization of funds and maintain financial stability as the business grows.
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Check all of the following that are correct that can have a single owner ? MARK YOU THE BRAINLIEST!
The establishment/items that can ave a single owner includes:
Sole proprietorshipPrivate corporationNon-profit corporationWhat is a single owner?This refers to any form of establishment that can be owned and operated by a natural person.
Therefore, in the list, the Sole proprietorship, Private corporation and Non-profit corporation are establishment that can have a single owner.
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what is An advantage of the separation of ownership from management in corporations is that the company can raise money from investors but the investors
An advantage of the separation of ownership from management in corporations is that the company can raise money from investors but the investors are not involved in daily operations.
What is the separation of ownership?The separation of ownership and control is a common practice in modern corporate governance, which keeps the shareholders out of managerial responsibilities and empowers the directors to take day-to-day decisions to run corporations smoothly. In modern corporate governance, the separation of ownership and control permits some hierarchical decision-making which indirectly creates multiple conflicts among the shareholders and directors.
The investors may not know what happens within the company and the directors or employees always cannot imagine what the shareholders are thinking regarding any important matter.
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Producing output at the lowest possible total cost per unit of production is: Multiple choice question.
Efficiency is defined as the production of output at the lowest possible total cost per unit of production.
Efficiency involves maximizing all the benefits and importance of the 4
labors of production such as Land, Capital and Labor. When this occurs
efficiency is achieved and the cost of production decreases.
The decrease in the cost of production thereby gives rise to a corresponding increase in profit.
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How much did beyonce get paid for dubai performance?
Answer:
A total of $24 million dollars. In just a 1 hour concert!
Explanation:
Fact: And guess what her hotel room costed? $100,000 !
She has a total of $500 million dollars
Math:
$500 million - $24 million = $486 million ( before the concert )
So maybe this helped your knowledge about the famous singer “ Beyoncé “
Elasticity is the measure of how producers and consumers react to changes in
A supply is
A supply is
when the quantity of a good supplied does not change as the price changes.
when the quantity of a good supplied increases or decreases as the price changes.
which of the following is an example of a brand with high resonance? a. a brand that customers only purchase when it is on sale b. a brand that customers have an emotional attachment to and consistently purchase c. a brand that customers are not aware of but has a high market share d. a brand that customers have a negative perception of but still purchase out of habit
The brand with high resonance is the one that customers have an emotional attachment to and consistently purchase. Therefore, the correct answer is option B.
Brand resonance refers to a measure of how much the brand is trusted and the degree to which the brand is liked by the customers. Brand resonance enables the brand to earn a higher profit margin, greater customer satisfaction, and better financial performance, as the company builds a relationship with the consumer.
Brand resonance can be achieved by building strong brand equity, which is the value that a brand brings to a company in terms of its financial worth, consumer perceptions, and overall reputation. Brand equity can be built by focusing on several key factors, including brand awareness, brand image, brand loyalty, and brand associations.
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An example of dysfunctional managerial behavior in USSR is a) managers attempting secure targets. b) managers overstating their input requirements. c.) managers lowering quality. d) both a and cabove. e) answers a, b, and care correct.
The correct answer is e) answers a, b, and c are correct. In the USSR, dysfunctional managerial behavior was prevalent.
In the USSR, the central planning system and lack of market competition led to dysfunctional managerial behavior. Managers were driven to meet production targets and quotas, often resorting to tactics such as overstating their input requirements and lowering the quality of output.
This behavior was a consequence of the top-down control and the emphasis on meeting predetermined goals, rather than focusing on efficiency and quality. These dysfunctional practices were detrimental to the overall functioning and productivity of the economy.
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What is an example of a flame?
The definition of a flame is burning gas, fire or blaze, or a strong passion. An example of a flame is a fire from a lighter. An example of a flame is an intense desire for a particular person. Flame is defined as to burn or light up, or to criticize harshly.
Answer: A flame is a very negative review that can seriously damage sales.
So if one of the choices has a bad review of an issue, like apartment maintenance getting a bad review, it is that answer.
Explanation: A pex
if a company reports a net loss it means
Answer: Negative net profit
Explanation:
A net loss occurs when the sum total of expenses exceeds the total income or revenue generated by a business, project, transaction, or investment.
Answer: Negative net profit
Explanation:
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At Beta Distribution Center, a worker was injured when she tried to remove
items from a shelf and knocked a heavy box onto her foot. A week later, some
posters stored in tubes rolled off another shelf and into an aisle. A second
worker tripped over a tube and fell. Which of the following measures would
best prevent this type of safety problem at Beta?
A Teach procedures for stacking items in straight, even loads.
B. Train workers to lift with the legs and avoid twisting.
оооо
OC. Give workers protective equipment to use when handling spills.
D. Mark dock edges with warnings.
Answer:
A.
Explanation:
If the things were placed correctly and evenly, then no injuries would occur. The first worker accidently knocked something down. This happened because the items on the shelf were wrongly placed. The second worker was injured because posters stored in the tubes were in uneven loads, hence why they rolled onto another shelf.
Teach procedures for stacking items in straight, even loads measures would best prevent this type of safety problem at Beta. Thus, option A is correct.
Who is a worker?The worker can be defined as a person who is being employed for the services that they can render. They are often paid according to the job that they have done. Any kind of workers are operators some kind of artists etc
Beta distribution Centre the worker when trying to remove the shell float was injured and did not stop in complete order and they were carelessly placed. The misplaced objects on the shelf are to blame for what transpired.
There the people are the stacking Team should be given knowledge regarding the same. No damage should result from incorrect or uneven placement of the objects.
Therefore, option A is the correct option.
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The Navy Enlisted Advancement System (NEAS) has what primary objective?
The primary objective of the Navy Enlisted Advancement System is to promote sailors based on merit, performance, and demonstrated knowledge and skills.
The Navy Enlisted Advancement System (NEAS) is a system designed by the United States Navy to provide enlisted sailors with a fair and objective process for promotion.
The primary objective of the Navy Enlisted Advancement System (NEAS) is to provide a fair and equitable system for the advancement of enlisted sailors. This system is designed to ensure that promotion is based on merit and performance, rather than on factors such as favoritism or personal connections.
To achieve this primary objective, the NEAS utilizes a complex mathematical formula to calculate a sailor's final multiple score (FMS). The FMS is a numerical value that reflects a sailor's performance on various tests and evaluations, as well as their time in service and time in rate.
The FMS is calculated using several primary factors, including a sailor's performance on the Navy-wide Advancement Exam, their performance evaluations, their time in service, and their time in rate.
In addition to the FMS, the NEAS also takes into account other primary factors such as quotas, which limit the number of sailors who can be promoted to a given rank.
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How do you round to the nearest whole percent?
( here’s the question I need to round for )
What percentage of total expenses is spent on housing?
( round to the nearest whole percent)
A 20%
B 21%
C 22%
D 24%
~Please help ASAP~
Answer:
Dont worry about me, I just added this answer so the other person can get their brainliest because they definetly deserve it
cuanto dura un partido de futbol salA?
La duración del juego es de 90 minutos, con cambio de extremos y un intervalo no mayor de 15 minutos después de los 45 minutos. El árbitro puede tener en cuenta el tiempo perdido en cada mitad. Una vez finalizado el partido, el equipo que marca más goles (el número de veces que el balón entra en la portería) es declarado ganador.
Espero que esto te ayude ❤️Answer:
Un partido de fútbol sala dura 40 minutos dividido en dos tiempos de 20 minutos cada uno.
Explanation:
Sunshine Smoothies Company (SSC) manufactures and distributes smoothies. SSC is considering the development of a new line of high-protein energy smoothies. SSC's CFO has collected the following information regarding the proposed project, which is expected to last 3 years:
The project can be operated at the company's Charleston plant, which is currently vacant.
The project will require that the company spend $4. 9 million today (t = 0) to purchase additional equipment. For tax purposes the equipment will be depreciated on a straight-line basis over 5 years. Thus, the firm's annual depreciation expense is $4,900,000/5 = $980,000. The company plans to use the equipment for all 3 years of the project. At t = 3 (which is the project's last year of operation), the equipment is expected to be sold for $2,300,000 before taxes.
The project will require an increase in net operating working capital of $650,000 at t = 0. The cost of the working capital will be fully recovered at t = 3 (which is the project's last year of operation).
Expected high-protein energy smoothie sales are as follows:
Year Sales
1 $2,400,000
2 7,850,000
3 3,500,000
The project's annual operating costs (excluding depreciation) are expected to be 60% of sales.
The company's tax rate is 40%.
The company is extremely profitable; so if any losses are incurred from the high-protein energy smoothie project they can be used to partially offset taxes paid on the company's other projects. (That is, assume that if there are any tax credits related to this project they can be used in the year they occur. )
The project has a WACC = 10. 0%.
What is the project's expected NPV and IRR? Round your answers to 2 decimal places. Do not round your intermediate calculations.
NPV $
IRR %
Should the firm accept the project?
-Select-The firm should accept the project. The firm should not accept the project. Correct 7 of Item 1
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Set up a time line for the free cash flow analysis.
Refer to the layout in the textbook analyzing revenues and costs in the free cash flow format.
Remember to calculate operating costs.
No interest charges are deducted.
Calculate taxes.
Don't forget to include depreciation impact on the free cash flows.
Don't forget to include the tax credit if EBIT is negative in any year. (Refer to next to last bullet. )
Don't forget to include ΔNOWC in the Year 0 outlay but remember to add it back in the Year 3 termination cash flows. (There is no tax impact. )
Don't forget to include the sale of the machinery, termination free cash flows and the tax effect of selling the machinery.
Calculate the project's NPV and IRR.
Make a decision whether to accept the project or reject it based on the calculated NPV and IRR of the project. Remember, If the project’s NPV is positive then its IRR will be greater than its WACC.
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Solution
SSC is considering another project: the introduction of a "weight loss" smoothie. The project would require a $3 million investment outlay today (t = 0). The after-tax cash flows would depend on whether the weight loss smoothie is well received by consumers. There is a 40% chance that demand will be good, in which case the project will produce after-tax cash flows of $2. 2 million at the end of each of the next 3 years. There is a 60% chance that demand will be poor, in which case the after-tax cash flows will be $0. 52 million for 3 years. The project is riskier than the firm's other projects, so it has a WACC of 11%. The firm will know if the project is successful after receiving the cash flows the first year, and after receiving the first year's cash flows it will have the option to abandon the project. If the firm decides to abandon the project the company will not receive any cash flows after t = 1, but it will be able to sell the assets related to the project for $2. 8 million after taxes at t = 1. Assuming the company has an option to abandon the project, what is the expected NPV of the project today? Round your answer to 2 decimal places. Do not round your intermediate calculations. Use the values in "millions of dollars" to ascertain the answer.
$ millions of dollars
The expected NPV of the high-protein energy smoothie project is calculated by discounting the project's free cash flows at the weighted average cost of capital (WACC) of 10%. To calculate the free cash flows, we need to consider the initial outlay, annual operating costs, depreciation tax shield, salvage value of equipment, and the recovery of net operating working capital.
The project's cash flows are as follows:
Year 0: Initial outlay = -$4.9 million (equipment purchase) + $650,000 (increase in net operating working capital)
Year 1: Cash flow = Sales - Operating costs - Depreciation tax shield
Year 2: Cash flow = Sales - Operating costs - Depreciation tax shield
Year 3: Cash flow = Sales - Operating costs - Depreciation tax shield + Salvage value of equipment + Recovery of net operating working capital
Using the given sales and operating cost information, we can calculate the cash flows for each year and discount them to the present value using the WACC. The NPV is the sum of the present values of the cash flows minus the initial outlay.
To calculate the IRR, we need to find the discount rate at which the project's NPV becomes zero. By applying the internal rate of return (IRR) calculation, we can determine the rate at which the project breaks even.
Based on the calculated NPV and IRR, we can determine whether the firm should accept the project. If the NPV is positive and the IRR is greater than the WACC, it would indicate that the project is expected to generate positive returns and exceed the required rate of return.
Unfortunately, the given information does not provide the necessary data to calculate the NPV and IRR for the high-protein energy smoothie project. Additional information, such as the annual operating costs as a percentage of sales, tax rate, and salvage value, is required for a comprehensive analysis. Please provide the missing information to proceed with the calculation.
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The federal reserve can affect you through
As the Federal Reserve conducts monetary policy, it influences employment and inflation primarily through using its policy tools to influence the availability and cost of credit in the economy.
gdp can be found either by adding up all of the _____ or all of the _____ in the economy.
GDP can be found either by adding up all of the spending or all of the income in the economy. Option B is correct.
GDP (Gross Domestic Product) can be calculated by adding up all of the spending or all of the income in the economy. The spending approach involves adding up the total expenditures on goods and services in the economy, including consumption, investment, government spending, and net exports.
The income approach involves adding up the total income generated by the production of goods and services in the economy, including wages, salaries, profits, rent, and interest.
Therefore, option B is correct.
GDP can be found either by adding up all of the _____ or all of the _____ in the economy.
a. spending; taxes
b. spending; income
c. investment; income
d. net interest payments; taxes
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Suppose that you are the financial advisor for Mrs. Sandy. She is interested in investing in two investment funds X and Y. The table below shows the discrete distribution of future one- year return of the two funds in three possible economic states. Mrs. Sandy thinks that the two funds are similar because they have the same expected return, and she would like to buy only one of the two funds.
States p(s) X Y
Boom 0.20 40% 8%
Normal 0.70 5% 8%
Recession 0.10 -25% 18%
Explain to Mrs. Sandy how the two funds also differ in investment risks (4 points).
Explain to Mrs. Sandy why it’s better that she allocates her money between the two funds instead of investing in only one of them (6 points) (you can explain the question with a specific example of portfolio weights).
Mrs. Sandy, although both investment funds X and Y have the same expected return, they differ in terms of investment risks. Investment risk refers to the possibility of losing money or not earning the expected return. In this case, fund X has a higher risk compared to fund Y.
To determine the investment risks, we need to consider the probability distribution of returns in each economic state. Looking at the table, fund X has a higher probability of earning a 40% return in the boom state, but it also has a higher probability of experiencing a -25% return in the recession state. On the other hand, fund Y has a more consistent return distribution, with an 8% return in both the boom and normal states.
Therefore, fund X has a wider range of possible returns, making it riskier compared to fund Y. This indicates that Mrs. Sandy would be exposed to higher volatility and potential losses if she invests solely in fund X.
Now, let's discuss why it's better for Mrs. Sandy to allocate her money between the two funds instead of investing in only one of them.
By diversifying her portfolio, Mrs. Sandy can reduce the overall investment risk while maintaining the same expected return. Diversification involves spreading investments across different assets or asset classes to minimize the impact of any single investment's poor performance on the entire portfolio.
For example, Mrs. Sandy can allocate 50% of her money to fund X and 50% to fund Y. In this case, if fund X performs poorly in the recession state, the positive returns from fund Y in other states can help offset the losses. This reduces the overall risk of the portfolio.
Diversification can help smooth out the investment returns and provide a more stable and consistent performance. It allows Mrs. Sandy to benefit from the potential upside of both funds while mitigating the downside risk. Additionally, it provides her with flexibility and the opportunity to adjust her portfolio weights based on her risk tolerance and investment goals.
Although both funds have the same expected return, they differ in terms of investment risks. Fund X has a higher risk compared to fund Y due to its wider range of possible returns. It is better for Mrs. Sandy to allocate her money between the two funds instead of investing in only one of them. Diversification helps reduce overall risk and provides a more stable and consistent performance for her portfolio.
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A company using public relations sends information to media outlets such as newspapers and ratio stations. Who decides what Information about the company the outlets will publish?
Answer:
The media outlets should be correct
Explanation:
A P E X
one benefit of a large sample that exceeds the minimum power analysis size is that it...
One benefit of a large sample that exceeds the minimum power analysis size is that it increases the power of the study.
To understand this benefit in more detail, let's consider the formula for power analysis. Power is calculated as:
Power = 1 - β
where β is the probability of a type II error, which is the probability of failing to reject a false null hypothesis. In other words, β represents the probability of missing a true effect.
The value of β is determined by several factors, including the sample size, effect size, alpha level (the probability of a type I error, which is the probability of rejecting a true null hypothesis), and the statistical power of the test.
As sample size increases, the value of β decreases, which means that the power of the study increases. This occurs because a larger sample size provides more information about the population, making it easier to detect a true effect.
Therefore, it means that the study is more likely to detect a true effect if one exists, which increases the overall confidence in the study's findings.
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Can anyone help me with these two questions from my assignment?
1. How will an increase in GDP be sustainable? List two reasons.
2.Give two reasons why economic growth may diminish the quality of life of a nation’s people.
Answer:
1. Growth encourages investment, which supports sustainability. Economic growth boosts consumer demand, spending, and confidence, all essential components of a favourable investment environment—which the energy transition will require.
Critique the following statement: “Safety is not important in offices or retail workplaces.”
Answer:
Safety is important in every workplace. Even in low risk work places, there are certain occupational hazards, like musculoskeletal disorders, including carpal tunnel syndrome and repetitive stress injuries.
Explanation:
The answer the site said after I took it
Answer:
Safety is important in every workplace. Even in low risk work places, there are certain occupational hazards, like musculoskeletal disorders, including carpal tunnel syndrome and repetitive stress injuries.
Explanation:
Sample answer; edge 2021
In which of the following modes of entry into foreign markets does a firm agree to set up an operating plant for a foreign client and hand over the plant when it is fully operational?
A. Franchising agreement
B. Turnkey project
C. Licensing agreement
D. Wholly owned subsidiary
E. Joint venture
In the mode of turnkey project, a firm agrees to set up an operating plant for a foreign client and hands over the plant when it is fully operational. Hence, (option B) Turnkey project is the correct option.
A turnkey project is a mode of entry into foreign markets where a firm takes responsibility for setting up an operating plant or facility for a foreign client. In this arrangement, the firm completes the entire project, from design and construction to installation and commissioning, and hands over the fully operational plant to the client. The client, in turn, assumes ownership and management of the plant.
The turnkey project mode of entry is often used when the foreign client lacks the expertise or resources to undertake the project on its own. It allows the client to benefit from the firm's specialized knowledge and experience in setting up the facility. The firm, on the other hand, gains revenue and profit from the project, without having long-term ownership or ongoing operational responsibilities.
Unlike other modes of entry such as franchising, licensing, wholly owned subsidiaries, or joint ventures, where the firm maintains some form of ongoing involvement or control, a turnkey project involves a one-time transfer of a fully functional plant or facility to the client upon completion.
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Which of the following choices incur speculative risk?
a.stocks
b.fire insurance on a house
c.options
d.life insurance
e.high interest savings account
Answer: correct option is A.
Explanation: A speculative risk can be defined as risk that is taken willingly either it results in profit or loss and the stocks involve in probability of gain and loss making it a speculative risk.
Stocks incur speculative risk. Therefore option A is correct.
What are Stocks?A stock usually referred to as equity, is a type of investment that denotes ownership in a portion of the issuing company. Shares, also known as units of stock, entitle their owners to a share of the company's assets and income in proportion to the number of shares they possess.
Common stock and preferred stock are the two primary categories of stocks.
Owners of common stock are entitled to dividends and the right to vote at shareholder meetings.
Common stockholders often do not have voting rights, while preferred stockholders typically get dividend payments ahead of time and are given preference over common investors in the event of a firm bankruptcy and asset liquidation.
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what is the book of first entry
Answer:
Journals
Explanation:
“books original entry refers to the accounting journals in which business transcriptions are initially recorded the information in these books are summarized and posted into a general ledger from which financial statements are produced"
the federal reserve can affect the money supply by:
Answer:
The Fed can impact the cash supply by changing store necessities, which by and large alludes to the measure of assets banks should hold against stores in financial balances. By bringing down the hold prerequisites, banks can advance more cash, which builds the general stockpile of cash in the economy.
Really hope this helps! Thank you!
why planning is important before starting a business?
Answer:
So you can get ready to know 'how to make your business good'
If you don't plan, then you'll forget to setup something is may be important
Explanation:
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