The key role of purchasing in the value proposition of the supply chain is cost control. Option a) Cost control is purchasing's primary responsibility and a fundamental aspect of its role.
Purchasing professionals are responsible for sourcing and procuring goods and services at the best possible prices, negotiating favorable terms with suppliers, and managing costs throughout the supply chain.
Effective cost control in purchasing helps to optimize expenses, reduce procurement costs, and maximize overall profitability. It involves activities such as supplier selection, negotiating contracts, managing supplier relationships, monitoring market prices, and implementing cost-saving strategies.
While time management (option b), lean efficiency (option c), and acting as a gatekeeper (option d) can also be important aspects of purchasing, cost control stands out as the primary role. By controlling costs, purchasing contributes to the organization's competitiveness, profitability, and ability to deliver value to customers while maintaining a sustainable supply chain.
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Both mortgages and auto loans
A> are riskier for lenders.
B> are riskier for borrowers.
C>require a down payment in general.
D>require minimum payments.
Answer:
require a down payment in general.
Explanation:
A mortgage is mainly used to finance the purchase of homes and other high-value properties. Auto loans, as the name suggests, are for the purchase of motor vehicles. Both are credit facilities used in buying fixed assets.
In general, most asset financing options will require the borrower to put in a deposit. This is because the assets require a large amount of money, and lenders prefer to share that risk with the borrower. The deposit also indicates the borrower's commitment to the loan transactions.
Answer:
C
Explanation:
If the yield to maturity of all of the following bonds is 6%, which will trade at the greatest premium per $100 face value?.
A bond with a $1,000 face value, five years to maturity and 6.3% annual coupon payments will trade at the greatest premium per $100 face value.
The dollar value of a financial asset when it is issued is referred to as its face value. The face value of a bond is the amount paid by the issuer at maturity, also known as "par value." A stock's face value, on the other hand, is the rate offered by the issuer once the stock would be first issued.
A bond may trade at a premium since such interest rate is greater than the market rate. The bond's price can also be influenced by the company's and the bond's credit ratings. Buyers are prepared to pay a higher price for a creditworthy bond issued by a financially viable issuer.
Here is the complete question-
If the yield to maturity of all of the following bonds is 6%, which will trade at the greatest premium per $100 face value?
A) a bond with a $10,000 face value, four years to maturity and 6.2% semiannual coupon payments
B) a bond with a $500 face value, seven years to maturity and 5.2% annual coupon payments
C) a bond with a $5,000 face value, seven years to maturity and 5.5% annual coupon
payments
D) a bond with a $1,000 face value, five years to maturity and 6.3% annual coupon payments
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Which of the following is a difference between the concept development
stage and the product development stage?
A. In the product development stage, an actual functional product is
produced, but in the concept development stage only a prototype
is produced.
B. In the concept development stage, an actual functional product is
produced, but in the product development stage only a prototype
is produced
c. In the concept development stage, the product is launched to the
entire target market, but in the product development stage only
focus groups are exposed to the product mock-ups.
O D. In the product development stage, sample advertisements are
developed, but in the concept development stage a full promotion
campaign is launched.
Answer:
A
Explanation:
A product development is the introduction of new product to consumers or improving an existing product to meet customer satisfaction and gain a larger share.In order to achieve this , series of steps like planning , development evaluation and assessment are observed
Concept development is a pre - development stage where the prototypes of a good are developed in various alternatives to test run the market in order to evaluate consumers responses.
The outcome of a product development stage is the actual functional product while prototypes alone are produced in the concept development stage.
Answer:
a
Explanation:
hope it helps gggvhsejhpdotsoh
Police are investigating the site of a convenience store robbery. The glass door was
broken, and it looks as if several packages of cigarettes are missing from behind the
counter. One police officer notices a man walking past the store and gets an odd
feeling about him. He stops the man and insists on searching his pockets. Inside the
man's pockets, police find several packs of cigarettes. They arrest the man and
charge him with the crime. Unfortunately, the judge throws out the charges. What is
MOST likely the judge's reason for dismissal?
A-The man is under 18 years old.
B-The man did not have money to post bail.
C-The policeman did not have probable cause to search the man.
D-The policeman did not have enough evidence that the man was the robber.
The MOST likely judge's reason for dismissal is the policeman did not have enough evidence that the man was the robber. Thus the correct option is D.
What is Robbery?Theft or robbery is defined as the stealing of someone else's property without their permission and using force or a threat of force that exhibits fear in them to perform any action against them.
To prove a crime against someone requires one to submit enough evidence which helps to establish the claim as the justice system is based on evidence not on arguments.
In the given case, police found the activity of the men suspicious as they found cigarette packets from him. There is no evidence that he has stolen the cigarette packets might be possible he has purchased them.
So due to a lack of evidence against the person the Judge dismissal the case. Therefore, option D is appropriate.
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An environmental lawyer is not part of the Energy cluster.
True or False for K12
Answer:
True
Explanation:
Lawyers belong to the Law, Public Safety, Corrections, and Security cluster. Work under this career cluster revolves around protecting citizens and their rights. Lawyers train and acquire university degree before training at the law school.
Lawyers may specialize in a specific area such as crime, tax, environment, and so many others. Other prominent job titles for lawyers include Attorney General, Associate Attorney, Attorney, Attorney at Law, General Counsel, and Partner.
March 2014. It expects to write off $10,000 as uncollectible. How much should the village recognize as property tax revenues in its government-wide Statement of Activities for the fiscal year ended June 30, 2013.Question 22 options:$4,280,000$4,290,000$4,270,000$4,200,000
Sales taxes, belongings taxes, intergovernmental revenues, and consumer costs finance the maximum of those activities. The authorities-huge monetary.
A government-wide monetary announcement is a detailed summary of all the essential government budgets, what they have got spent, and what sort of cash they have got left. This announcement shows in element each component the authorities have spent money on and what sort of cash is left if any.
The government-wide monetary statements are as follows: announcement of net assets; and. statement of sports. authorities-wide monetary statements provide a protracted-time period view of the budget. They record revenues and costs while the income system is a complete accrual foundation, in place of while they absolutely received or paid coins foundation.
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3. Use the short-run model and what we've learned about consumption behavior to compare the effects of the two following fiscal policies on short-run output, interest rates, and inflation. Government expenditures do not change. a) Policy 1: Income taxes are reduced by cutting tax rates for top brackets. The 20% of households with highest incomes realize a benefit. Decide how this policy should affect aggregate demand and explain your reasoning. What role does the permanent income model play in your explanation? b) Policy 2: Taxes are reduced for low income households by increasing earned income credits and child tax credits. Decide how this policy should affect aggregate demand and explain your reasoning. Do borrowing constraints play a role in your explanation? c) Use the short-run model to compare or contrast the effect of these different policies on output, interest rates, and inflation. Do they affect the government deficit similarly?
Policy 1, which reduces income taxes for top brackets, is likely to increase aggregate demand in the short run due to the higher propensity to consume of high-income households.
The permanent income model suggests that these households will view the tax reduction as a permanent increase in their income, leading to higher consumption and higher aggregate demand. Policy 2, which reduces taxes for low-income households, is also expected to increase aggregate demand, but the effects may be more moderate. Borrowing constraints may limit the extent to which low-income households can increase their consumption, affecting the magnitude of the impact.
Policy 1, by reducing income taxes for high-income households, effectively puts more disposable income in the hands of those with a higher propensity to consume. The permanent income model suggests that high-income households will view the tax reduction as a permanent increase in their income, leading to a larger increase in consumption and aggregate demand. This can result in higher short-run output, as increased consumption drives production and economic activity.
Policy 2, which reduces taxes for low-income households through earned income credits and child tax credits, aims to increase the disposable income of these households. While this policy is also expected to increase aggregate demand, the effects may be more moderate. Low-income households may face borrowing constraints that limit their ability to increase consumption significantly. Therefore, the impact on aggregate demand may be more restrained compared to Policy 1.
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In what kind of nation are members of a society most likely to have good educational opportunities?
a developing nation
a developed nation
a country emerging from an economic and political crisis
an underdeveloped nation
Answer:
a developed nation for states
Transactions that affect earnings do not necessarily affect cash.Identify the effect, if any, that each of the following transactions would have upon cash and net income. The first transaction has been completed as an example. (If an amount has a decreasing effect use either a negative sign preceding the number, e.g. -45 or parenthesis, e.g. (45). Do not use a dollar sign $ for negative answers.) Cash Net Income(a) Purchased $104 of supplies for cash. -$104 $0(b) Recorded an adjusting entry to record use of $40 of the above supplies. (c) Made sales of $1,432, all on account. (d) Received $995 from customers in payment of their accounts. (e) Purchased capital asset for cash, $2,635. (f) Recorded depreciation of building for period used, $710.
Answer:
Effects of Transactions on Cash and Net Income:
Cash Net Income
(a) Purchased $104 of supplies for cash. -$104 $0
(b) Recorded an adjusting entry to record use
of $40 of the above supplies. $0 -$40
(c) Made sales of $1,432, all on account. $0 $1,432
(d) Received $995 from customers in payment
of their accounts. $995 $0
(e) Purchased capital asset for cash, $2,635. -$2,635 $0
(f) Recorded depreciation of building for period
used, $710. $0 -$710
Explanation:
a) Data and Analysis:
a. Supplies $104 Cash $104
b. Supplies Expense $40 Supplies $40
c. Accounts receivable $1,432 Sales revenue $1,432
d. Cash $995 Accounts receivable $995
e. Capital asset $2,635 Cash $2,635
f. Depreciation Expense $710 Accumulated Depreciation $710
b) Only transactions that affect Cash have cash effects. Transactions that affect net income are either revenue or expenses. All other transactions that do not affect cash or net income are analyzed according to their basic effect on the accounting equation of assets = liabilities + equity.
Megha is a taekwondo expert who starts her own martial arts training academy. She conducts taekwondo classes for women and teaches them the art of self-defense. Megha can be regarded as a(n)
As Megha, who is a taekwondo expert that starts her own martial arts training academy, also conducts taekwondo classes for women and teaches them the art of self-defense, then, Megha can be regarded as an entrepreneur.
Who is an entrepreneur?This refers to the individual that starts and runs a business with limited resources, planning and responsible for all the risks and rewards of their business venture. Their business idea often entails a new product or service rather than an existing business model.
Because of the features possessed by an entrepreneur, therefore, Megha can be regarded as an entrepreneur because of her taekwando classes.
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HELP! If the price of an Economics e-text was equal to $45.00 and the quantity sold was equal to 125, then the total revenue would equal $3,625. True or False?
Answer:
T
Explanation:
Pierre run the ame ditance around a track each day, 4 day a week. He run a total of 12 mile each week. It take 8 lap of the track to equal a mile. How many lap Pierre run each day
The calculation can be used to determine how many laps Pierre completes each day. Let's figure out l as: Pierre therefore completes 24 laps each day.
Let l stand in for the daily mileage that Pierre runs. Pierre reportedly completes the same lap of a track four days a week. Thus, 4 days would be the number of laps completed. He runs a total of 12 miles per week, and 8 laps around the track equal one mile, according to the information provided. Therefore, there would be 8 times 12 laps in a 12-mile race. We will now convert the total number of laps completed in 4 days to the following: The calculation can be used to determine how many laps Pierre completes each day. Let's figure out l as: Pierre therefore completes 24 laps each day.
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Describe at least two factors you could consider helping decide how much inventory to keep in stock of an item at a store.
Answer:
Lead Time
Holding cost
Explanation:
Two factors that should be considered in determining the level of inventory to keep in stock of an item at a store are the lead time and Holding cost
Lead time : Lead time is defined as the length of time between when an order for an item is placed and when it is delivered . This is very important in order to avoid down time during operation , To this effect , an adequate level of inventory that should last the operation during the lead time should be kept in stock as re-order level
Holding cost : This is the cost involved in keeping inventory in stock . Being a variable cost , the higher the volume of inventory , the higher the cost. This cost should be considered alongside other operation related factors like the lead time factors to ensure that its effect on the net income of the company is not overwhelming.
Laramie Trucking's CEO is considering a change to the company's capital structure, which currently consists of 25% debt and 75% equity. The CFO believes the firm should use more debt, but the CEO is reluctant to increase the debt ratio. The risk-free rate, r RF, is 5.0%, the market risk premium, RP M, is 6.0%, and the firm's tax rate is 25%. Currently, the cost of equity, r s, is 11.5% as determined by the CAPM. What would be the estimated cost of equity if the firm used 60% debt? (Hint: You must first find the current beta and then the unlevered beta to solve the problem.)
Answer:
17.74%
Explanation:
Calculation to determine What would be the estimated cost of equity
First step is to calculate the Original beta using this formula
Original beta = (rs-rRf)/ RPM
Let plug in the formula
Original beta = 11.5%- 5%
Original beta = 6.5%/ 6%
Original beta = 1.083
Second step is to calculate original D/E using this formula
original D/E= D/A / (1-D/A)
Let plug in the formula
original D/E = .25/ (1-.25%)
original D/E = .333
Third step is to calculate Unlevered Beta using this formula
Unlevered Beta= Bu = Bl / 1+((1- Tax rate) x (D/E)
Let plug in the formula
Unlevered Beta= 1.083/1+((1-.25) x .333
(D/E) =1.083/1+(0.75*.333)
(D/E) =1.083/1+.24975
(D/E) =1.083/1.24975
(D/E)=0.87
Fourth Step is to calculate the Target D/e
Target D/e = .6/.25
Target D/e = 2.4
Fifth step is to calculate the New Beta using this formula
New Beta = bu* (1+(D/E)(1- tax rate)
Let plug in the formula
New Beta= .87 *(1+(2.4)*(.6)
New Beta= .87 *(1+1.44)
New Beta= .87 *2.44
New Beta=2.1228
Now let calculate the estimated cost of equity using this formula
rs = rRF + new beta (RPm)
Let plug in the formula
rs= 5% + 2.1228*6
rs= 17.74%
Therefore the estimated cost of equity will be 17.74%
Richard Voith estimated the price elasticity of demand for round-trip rail fare to be 0.62. If fares rose by 30 percent, one would expect the quantity of round-trip tickets purchased to:
Answer:
Fall by 18.6%.
Explanation:
Calculation for quantity of round-trip tickets purchased
Using this formula
Quantity of round-trip tickets purchased=Round-trip rail fare*Fares percentage
Let plug in the formula
Quantity of round-trip tickets purchased=30%*0.62
Quantity of round-trip tickets purchased=0.186*100
Quantity of round-trip tickets purchased=18.6%
Therefore one would expect the quantity of round-trip tickets purchased to:Fall by 18.6%.
which of these criteria make a person a good cosigner?
Your prospective cosigner will need to demonstrate their ability to make enough to repay loan should you default in addition to having a strong or exceptional credit score. if they are unable to make enough money.
What qualifications must one have in order to cosign?You must submit the same financial information requested in your loan application in order to be eligible to be a cosigner. For instance: verifying your income.
What does a co-signer do, and what should they think about it?When a borrower does not repay a loan as agreed, a co-signer is someone who consents to legally shoulder the burden. If you're trying to make a big purchase, a co-signer can be an alternative.
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What's a curling iron?
Answer:
A curling iron is a tool that is used on hair to create a tight or loose curl.
1. Why is career education so important for teens?
3
what is not example of an Internal Stakeholder?
-
O
Owner
Customers
Manager
Employees
None of the Above
Answer:Imagine you’re Charlie in Willy Wonka and the Chocolate Factory.
This whole business is all yours! Run around it, eat all the free snacks, enjoy all of the delicious, owning-your-own-business feelings. And then get into work the next day and realize…
Who actually does all of the stuff here? Who’s actually running this place?
Well you, of course. But not just you. Many people have personal and financial interests in your business, and those people are called stakeholders.
What types of stakeholders do you need in business? In this post you get to learn:
The 10 types of stakeholders you meet in business
Stakeholder vs. shareholder – have you been referencing the wrong one?
What types of stakeholders are there?
No, that’s not a typo. Each of the types of stakeholders in a business are categorized in 3 ways:
Internal or external
Primary or secondary
Direct or indirect
Internal stakeholders are, as the name suggests, stakeholders that exist inside a business. These are stakeholders who are directly affected by a project, such as employees.
External stakeholders are those who have an interest in the success of a business but do not have a direct affiliation with the projects at an organization. A supplier is an example of an external stakeholder.
Explanation:
In the end, businesses that use teams tend to have ______. a. Fewer sick leaves b. More profits c. More management d. Fewer products
Answer:
The answers B More profits
Explanation:
Trust me i just made a 100 in the test
In the end, businesses that use teams tend to have more profit. Thus, option (b) is correct.
What is businesses?The term “businesses” refers to earning a profit. The business is taking the risk and earning the profit. The business is mainly focused on the activities of the creation, distribution, and selling of concepts. The businesses are interested in the investment as a future perspective.
The term “businesses” refers to the primary goal of generating a profit. The company is taking a risk and profiting from it. The enterprises' functions are focused on the creation, distribution, and sale of concepts. The business was the runs on the basis of the consumer behavior.
As a result, the significance of businesses are the aforementioned. Therefore, option (b) is correct.
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Today, ________ are flourishing due to the increased use of market segmentation and market targeting. A) chain stores B) specialty stores C) superstores D) discount stores E) off-price stores
Today, specialty stores thrive due to the increased use of market segmentation and market targeting.
What does a marketing specialist store entail?Retailers that specialize in marketing specialty stores offer a wide range of goods in specific niches. Furniture stores, flower shops, sporting goods stores, and bookstores are examples of specialty retailers. Retailers (large and tall clothing) such as DXL Big + Tall and The Athlete's Foot (selling only athletic shoes).
Which of the following describes an online transaction between a retailer and a customer?E-commerce, also known as electronic commerce, is the transfer of products or services, funds, and data over electronic networks, most commonly the Internet. These business transactions can be B2B, B2C, C2C, or C2B (business-to-business, consumer-to-consumer, or business-to-business).
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how might you use your knowledge of taxes to make sound financial decisions?
Answer: If you know about taxes you can make better financial descisions because most descisions are made thru taxes. Taxes are numbers and stats that allow us to determine whether or not to buy something.
Explanation:
taxes also show how inflated a market is
A portfolio is comprised of two stocks. Stock A comprises 65% of the portfolio and has a beta of 1.21. Stock B has a beta of .95. What is the portfolio beta
If a portfolio is comprised of two stocks. Stock A comprises 65% of the portfolio and has a beta of 1.21. The portfolio beta is 1.119.
Portfolio betaUsing this formula
Portfolio beta=(Stock A portfolio×beta)+[(1-Stock A porfolio)× Stock B beta]
Let plug in the formula
βp = (.65 × 1.21) + [(1 - .65) × .95]
βp = (.7865) + [.35 × .95]
βp= .7865+ .3325
βp = 1.119
Therefore the portfolio beta is 1.119.
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For each of the following examples, indicate whether the transaction would be included in the gross investment component of gdp, and if so, indicate which category it would be included
When Leandro pays a general contractor to build a new house, it would be included in gross investment as residential fixed investment. So the option B is correct.
Residential fixed investment, also known as residential fixed capital formation or residential investment, is the amount of money spent to purchase or improve existing housing stock. This includes new construction, remodeling, and repairs.
It does not include spending on purchasing furniture, appliances, or other goods for the home. Residential fixed investment is an important factor in economic growth and is often used as an indicator of housing market strength.
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The complete question is:
For each of the following examples, indicate whether the transaction would be included in the gross investment component of GDP and if so, indicate which category it would be included.
When Leandro pays a general contractor to build a new house, it would
A. be included in gross investment as business fixed investment
B. be included in gross investment as residential fixed investment
C. be included in GDP as a net export
D. not be included in gross investment
E. be included in gross investment as inventories
How a group is arranged in regards to leadership, governance, rules for operation and decision making is called _______ structure.
In the decades following WWII, Japan transitioned from producing labor-intensive products to exporting high-technology products. This change was possible because the advantage in producing a product is not always ____ but instead can be ____
The change in Japanese production was possible of the advantage in producing a product is not always comparatively but instead can be an absolute advantage.
What is a producing advantage?This refers to advantage that an entity has in production of a product or services over its competitors.
While the comparative advantage means ability to produce at a lower opportunity cost, the absolute advantage means ability to produce more of a good or service than a competitor.
However, the change in Japanese production was possible of the advantage in producing a product is not always comparatively but instead can be an absolute advantage.
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According to the quantity theory of money, if the money supply is $40 billion, real output is $100 billion, and the price level is 1. 2, what is the velocity of money?.
The velocity of money is 3.
What is the quantity theory of money?
The quantity theory of money is an economy theory that arose in the 16th century. It is an idea of monetary economists. The quantity theory of money states that the price of goods and services in an economy is directly proportional to the money supply.
Quantity theory of money = price x real output = money supply x velocity
What is the velocity?Velocity = ( price x real output / money supply)
(1.2 x 100 billion) / 40 billion = 3
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in the company's accounting system all fixed expenses of the company are fully allocated to products. further investigation has revealed that $30,000 of the fixed manufacturing expenses and $13,000 of the fixed selling and administrative expenses are avoidable if product v86o is discontinued. what would be the financial advantage (disadvantage) from dropping product v86o?
If the company decides to discontinue product v86o, it would be able to avoid $43,000 in fixed expenses ($30,000 in fixed manufacturing expenses and $13,000 in fixed selling and administrative expenses). This means that the company would no longer have to allocate these expenses to any product, resulting in a financial advantage.
However, the company must also consider the potential impact on selling revenue. If the selling price of product v86o is greater than its variable costs, discontinuing the product would result in lost revenue and decreased profits. The company must weigh the financial advantage of avoiding fixed expenses against the potential loss of revenue from discontinuing the product.
In order to determine the financial advantage or disadvantage of dropping product v86o, the company must calculate the contribution margin of the product (selling price minus variable costs) and compare it to the avoidable fixed expenses. If the contribution margin is less than the avoidable fixed expenses, discontinuing the product would result in a financial advantage. However, if the contribution margin is greater than the avoidable fixed expenses, discontinuing the product would result in a financial disadvantage.
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commenced business with the balance at bank 125,000 (journal entry)
bank a/c Dr
to capital a/c
The Italy can produce 20 Gas turbines and 60 Tyres. France can produce 80 Gas turbines and 30 Tyres.
a). What is the opportunity
cost of producing Gas turbines in Italy? ______ tyres.
b). What is the opportunity cost of producing Tyres in
France ? _______ Gas turbines.
Answer:
1. 60 Tyres
2. 80 Gas Turbines
Explanation:
Given that the Opportunity cost is an economics term that is used in describing the cost of an alternative that must be forgone to continue or proceed with a certain activity.
Hence, in this case, considering the available information in the question, the correct answer is that the opportunity cost of producing Gas turbines in Italy is 60 Tyres.
At the same time the opportunity cost of producing Tyres in France 80 Gas turbines.