The audit approach is not more demanding than the analytic approach to measuring hrm effectiveness. Thus, the given statement is false.
What are the audit approach and analytic approach?An auditor's method of carrying out an audit is known as the audit methodology. The strategy used varies depending on the customer and is influenced by a variety of variables, such as the following: the client's business and the sector in which it works.
Using an appropriate technique to separate an issue into the components needed to solve it is known as an analytical approach. Each component's subcomponent shrinks in size and gets simpler to solve.
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Frieden Company's contribution format income statement for the most recent month is given below: Sales (42,000 units) Variable expenses Contribution margin Fixed expenses $1,260,000 882,000 378,000 302,400 Net operating income 75,600 0 The industry in which Frieden Company operates is quite sensitive to cyclical movements in the economy. Thus, profits vary considerably from year to year according to general economic conditions. The company has a large amount of unused capacity and is studying ways of improving profits. Required: 1. New equipment has come on the market that would allow Frieden Company to automate a portion of its operations. Variable expenses would be reduced by $9.00 per unit. However, fixed expenses would increase to a total of $680,400 each month. Prepare two contribution format income statements: one showing present operations, and one showing how operations would appear if the new equipment were purchased. (Input all amounts as positive values except losses which should be indicated by minus sign. Round your "Per unit" answers to 2 decimal places.) Amount Present Per Unit Assessment Tool iFrame Parcentage % % Amount Proposed Per Unit Percentage 1% % 50 Amount Degree of operating leverage Per Unit Present Percentage Proposed % % % Amount Per Unit Percentage % 2. Refer to the income statements in Requirement (1) above. For both present operations and the proposed new operations, Compute: a. The degree of operating leverage. % % b. The break-even point in dollars. Dollar sales to breakeven Present Margin of safety in dollars Margin of safety in percentage c. The margin of safety in both dollar and percentage terms. Proposed Present % Proposed % t in your mind in deciding whether 3. Refer again to the data in Requirement (1) above. As a manager, what factor would be paramount in your mind in deciding whether to purchase the new equipment? (Assume that ample funds are available to make the purchase.) O Reserves and surplus of the company O Cyclical movements in the economy O Performance of peers in the industry Stock level maintained 4. Refer to the original data. Rather than purchase new equipment, the marketing manager argues that the company's marketing strategy should be changed. Instead of paying sales commissions, which are included in variable expenses, the marketing manager suggests that salespeople be paid fixed salaries and that the company invest heavily in advertising. The marketing manager claims that this new approach would increase unit sales by 50% without any change in selling price; the company's new monthly fixed expenses would be $378,000; and its net operating income would increase by 25%, Compute the break-even point in dollar sales for the company under the new marketing strategy. Do you agree with the marketing manager's proposal? New break even point in dollar sales
Present operations: Frieden Company's contribution format income statement: Proposed operations: Frieden Company's contribution format income statement.
The degree of operating leverage: Degree of operating leverage contribution margin net operating income. Break-even point in dollars: Break-even point fixed expenses/Contribution margin .Margin of safety in dollars total sales - Break-even sales Margin of safety in percentage.
Because the company operates in an industry that is sensitive to cyclical movements in the economy, purchasing new equipment that would increase fixed expenses may not be the best decision. Break-even point in dollar sales for the company under the new marketing strategy.
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GIVE ME ALL ANSWER IN FULL EXPLANATION
Q (1); The domestic demand and supply function
for oil for a small country are given
by: Qd = 210 – 1.5P and Qs = - 140 + 2P, where P is the price per
barrel a
The given equations represent the domestic demand and supply functions for oil in a small country. The equations are as follows:
Demand Function: Qd = 210 - 1.5P
Supply Function: Qs = -140 + 2P
In these equations, Qd represents the quantity demanded of oil and Qs represents the quantity supplied of oil at a given price per barrel (P).
The demand function, Qd, shows an inverse relationship between price and quantity demanded. As the price per barrel increases, the quantity demanded decreases. This negative relationship is indicated by the negative coefficient (-1.5) attached to P in the equation. The intercept of 210 represents the quantity demanded when the price is zero.
The supply function, Qs, shows a direct relationship between price and quantity supplied. As the price per barrel increases, the quantity supplied also increases. This positive relationship is indicated by the positive coefficient (2) attached to P in the equation. The intercept of -140 represents the quantity supplied when the price is zero.
To find the equilibrium price and quantity in the market, we set the quantity demanded equal to the quantity supplied:
Qd = Qs
210 - 1.5P = -140 + 2P
By solving this equation, we can find the equilibrium price and quantity at which the quantity demanded equals the quantity supplied in the market.
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Callahan, inc. , sells a forward on ounces of gold to remove uncertainty regarding the revenue it will recognize when it sells its gold inventory. The forward represents a perfect cash flow hedge. When callahan settles the forward, it pays $100,000 to the counterparty. Required: what journal entry(ies) should callahan make prior to and at the settlement date?
Prior to the settlement date, Callahan Inc. should record the fair value of the forward contract as a journal entry, and at the settlement date, they should record the settlement by debiting the Gold Receivable and crediting Cash.
At the settlement date, Callahan Inc. should make the following journal entry to record the settlement of the forward contract:
Dr. Gold Receivable (or Forward Contract Asset) $100,000
Cr. Cash $100,000
The net effect of these journal entries is to record the fair value of the forward contract prior to settlement and then to recognize the cash settlement when it occurs.
By doing so, Callahan Inc. is able to remove uncertainty regarding the revenue it will recognize when it sells its gold inventory, as the gain or loss on the forward contract will offset any changes in the fair value of the gold inventory.
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PLEASE HELLPP!!!!’Hurrryyyy
Answer:
I thinkMARKETING MANAGEMENT
HOPE IT HELPEDWhich of these would be considered an entrepreneur?
O A. A nurse in a hospital
O B. The owner of a local coffee shop
O C. A school teacher
O D. A public transportation bus driver
Answer:
I think its B
Explanation:
Because you own your own place
The owner of a local coffee shop would be considered an entrepreneur. Hence, option B is correct.
What is meant by entrepreneur?Entrepreneurs are people who launch new businesses, bearing the bulk of the risks and getting the majority of the rewards. Starting a business is a practice of entrepreneurship.
The entrepreneur is generally regarded as an inventor who develops novel ideas for goods, services, companies, and operating procedures. Several well-known businesspeople include Bill Gates, Steve Jobs, Mark Zuckerberg, Pierre Omidyar, Arianna Huffington, and Caterina Fake.
Some kinds of entrepreneur are -
Small Businesses Entrepreneurship.
Scalable Start-up Entrepreneurship.
Social Entrepreneurship.
Large Company Entrepreneurship.
Thus, option B is correct.
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all of the following are key priorities of sales and operation planning except:
One of the key priorities of Sales and Operation Planning (S&OP) is to develop a consensus plan among various departments of the organization.
Sales and Operation Planning (S&OP) is a process that helps to integrate the sales plan of a business with its operations plan. It takes into account both demand and supply factors and tries to achieve an optimal balance between them. The following are some of the key priorities of sales and operation planning:To develop a consensus plan among various departments of the organization.To develop an accurate demand plan that reflects the sales forecast and market trends.
To develop an achievable supply plan that considers the production capacity and lead times.To align the demand plan and supply plan to achieve an optimal balance.To identify and resolve any potential issues and risks that may affect the sales and operations plan.However, the question asks about the key priorities of S&OP that are "not" considered as key priorities of S&OP. Therefore, the correct answer is:None of the above is a key priority of Sales and Operation Planning (S&OP).
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The government can shift or influence supply in a market by providing subsidies (money) to businesses or by taxing them heavily.
True or False
Why is it important to get to know core staff
members like secretaries and custodial staff?
Answer:
Managers must also determine the chain of command for custodial staff. ... School grounds can be defined as the full extent (i.e., corner pin to corner pin) of all ... see the discussion about Integrated Pest Management (IPM) in Chapter 4. ... Facilities staff are often uncomfortable calling attention to their own good work,
Explanation:
Answer:
couse maybe you want to be one someday
Explanation:
nike owns equipment that cost $98,300 with accumulated depreciation of $67,200. nike asks $36,200 for the equipment but sells the equipment for $33,800. compute the amount of gain or loss on the sale.
There is a $2800 gain on the sale if Nike sells the equipment for $33,800.
Salvage value can be described as the estimated value of an asset after depreciation. It can be calculated by subtracting the accumulated depreciation from the initial cost. In this case, Nike owned the equipment that cost $98,300 with accumulated depreciation of $67,200, therefore the salvage value can be calculated as follows;
salvage value = $98,300 - $67,200 = $31,000
Now the amount of gain or loss on the sale can be calculated by subtracting the salvage value from the selling price of the equipment which in this case is $33,800, therefore;
amount of gain or loss = $33,800 - $31,000
amount of gain or loss = $2800
Therefore the amount computed on the sale is a gain of $2800.
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ANALYTICS EXERCISE: PRODUCT DESIGN PROJECT
Product analytics is the process of analyzing how users interact with a product or service.
It permits product teams to track, visualize, and analyze consumer engagement and behavior data.
Teams use this statistics to enhance and optimize a product or service.
Why do we need product analytics?Product analytics allow an company to track and analyze its users' journeys -- from consumer activation thru all different phases of use -- to apprehend what makes them have interaction with and return to the product.
This also helps groups recognize the cost that the product provides to customers.
What makes a top product analysis?A thorough product analysis examines the functionality, purchaser perception, and fee of competitors' products, enabling companies to enhance their personal product development.
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Project L requires an initial outlay at t=0 of $64,769, its expected cash inflows are $10,000 per year for 11 years, and its WACC is 9%. What is the project's IRR? Round your answer to two decimal places.
The result will be IRR=10.01%. Hence, the project L has an internal rate of return (IRR) of 10.01%.
The calculation of IRR using financial calculator or excel will require the cash flows for every year to be input.
The present value of future cash flows should be equal to the initial outlay which will be the only cash flow at t=0. Project L requires an initial outlay at t=0 of $64,769, its expected cash inflows are $10,000 per year for 11 years, and its WACC is 9%.
What is the project's IRR?
To find the internal rate of return (IRR) of the project L, calculate the present value of the cash inflows. Using an Excel Spreadsheet, insert the cash inflows as follows:
Yea rCash inflows: 0 1 2 3 4 5 6 7 8 9 10
1110,00010,00010,00010,00010,00010,00010,00010,00010,00010,000
Calculate the present value of each cash inflow. It is easier to calculate the present value of the cash inflows by using the PV function in Excel as shown below:
Year Cash inflows: 0 1 2 3 4 5 6 7 8 9 10
Present Value: 1110,00010,00010,00010,00010,00010,00010,00010,00010,00010,000
$9,174.31 $8,408.63 $7,694.23 $7,026.94 $6,402.75 $5,817.84 $5,268.57 $4,751.45 $4,263.21 $3,801.75
Add the present values of the cash inflows to obtain the total present value.
Total present value = $62,510.34
Calculate the internal rate of return of the project by setting the present value of the cash inflows to the initial outlay and solving for the interest rate using a financial calculator or trial and error.
The formula for the calculation of IRR in Excel is: =IRR(values). We will use the formula to calculate the IRR as follows: =IRR(B3:L3).
The result will be IRR=10.01%. Hence, the project L has an internal rate of return (IRR) of 10.01%.
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The KimTay database must combine data from all of its tables in order to print a(n) _____. -inventory report -invoice -sales rep directory -customer directoryAs Figure 1-1 shows, a KimTay invoice includes information that is stored in all five database tables: customer information, the sales rep's name, invoice number and date, purchased line items, and item descriptions
The KimTay database must combine data from all of its tables in order to print an invoice.
An invoice is a document that contains information about a customer's purchase, including the items purchased, the prices of the items, the total amount due, and other relevant details. In order to create an invoice, the KimTay database needs to combine data from all five of its tables, including the customer information table, the sales rep directory table, the inventory table, the invoice table, and the line item table.
By combining information from these tables, the database can generate an accurate and complete invoice for each customer transaction.
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Marketers take advantage of ________ when they extend a brand name associated with one line of products to another.
Marketers take advantage of brand equity when they extend a brand name associated with one line of products to another. Brand equity refers to the value that a brand has in the market, which includes consumer perceptions, attitudes, and experiences with the brand.
By leveraging the existing brand equity, marketers can increase the chances of success for the new product line, as consumers may be more likely to try the new product if they already have a positive association with the brand. However, if the new product does not live up to the expectations set by the existing brand, it can also harm the brand equity in the long term. Brand extension allows companies to leverage the existing brand equity and consumer trust to introduce new products or services under the same brand name. This strategy can help increase brand recognition, reduce marketing costs, and expand the company's market share.
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https://brainly.com/question/14293418#SPJ11Which types of jurisdiction should all courts have over involved parties?
personal and subject matter
subject matter and federal
appellate and diversity
diversity and personal
The types of jurisdiction that all courts should have over involved parties are personal and subject matter jurisdiction. So correct answer is A
Personal jurisdiction is the court's authority over a particular individual or entity involved in a case. It means that the court has the power to make a binding decision on that individual or entity. This type of jurisdiction is essential because it ensures that the court's decision will be enforced and respected by all parties involved. Subject matter jurisdiction, on the other hand, is the court's authority over a particular type of case or legal matter. It means that the court has the power to hear and decide cases of a specific subject matter. This type of jurisdiction is crucial because it ensures that the court has the expertise and knowledge necessary to make a fair and informed decision.
In addition to personal and subject matter jurisdiction, some courts may also have federal or diversity jurisdiction. Federal jurisdiction refers to the authority of federal courts to hear and decide cases involving federal laws or the Constitution. Diversity jurisdiction, on the other hand, refers to the authority of a court to hear cases involving parties from different states or countries.While federal and diversity jurisdiction are important in some cases, personal and subject matter jurisdiction are the most fundamental types of jurisdiction that all courts should have over involved parties. These types of jurisdiction ensure that the court has the authority and expertise necessary to make a fair and informed decision, and that the decision will be respected and enforced by all parties involved.
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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
In which type of bank do investors
pool their money into a collective
business in order to help each other?
A. Commercial banks
B. Credit union
C. Savings and loans bank
D. Brokerage firms
The kind of bank do investors pool their money into a collective business in order to help each other is a credit union. Thus, option B is correct.
What is a Credit Union?A credit union, which is comparable to a commercial bank, is a member-owned nonprofit financial cooperative. Credit unions often provide their members services similar to retail banks, such as deposit accounts, credit, and other financial services.
Credit unions, like banks, accept deposits, make loans, and offer a variety of other financial services. Credit unions, on the other hand, being member-owned and cooperative entities, offer a secure place to save and borrow at competitive rates.
A credit union is a customer/member-owned financial cooperative that is democratically governed by its members and exists to maximize the economic advantage of its customers by providing banking services at competitive and fair prices. Hence, option B is correct.
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Which of the following tabs on the Ribbon contains the themes which can be applied to a presentation?
O Home
OInsert
O Design
0 Slide Show
Answer: Your answer is insert,
Explanation: If you click design, only thing you're able to do is change the font and appearance of your letters, it's basically like an advanced format setting for text to speech.
what is the difference between a supervisor and a manager
The difference between a supervisor and a manager is, while supervisors focus on the day-to-day operations and management of a team, managers have a more strategic role in setting goals and making decisions that shape the organization's direction.
A supervisor and a manager are both roles within an organization, but they have distinct differences in their responsibilities and scope of authority.
A supervisor is typically responsible for overseeing a group of employees and ensuring that tasks are completed efficiently. They are responsible for day-to-day operations and directly manage the work of their team members. Supervisors provide guidance, support, and feedback to employees, and they may also resolve conflicts and address performance issues. However, supervisors do not have the authority to make major decisions or set long-term goals for the organization.
On the other hand, a manager has a broader scope of authority and responsibilities. Managers are responsible for setting goals, developing strategies, and making decisions that impact the overall direction of the organization.They have the authority to allocate resources, hire and fire employees, and implement policies. Managers oversee multiple teams or departments and are accountable for achieving organizational objectives.
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where does strategy formulation fit within the polc framework
Strategy formulation is an important component of the POLC framework, specifically under the "P" or planning phase. The POLC framework stands for Planning, Organizing, Leading, and Controlling - all of which are crucial components of successful business management.
During strategy formulation, managers analyze internal and external factors that could impact the organization's performance, identify strengths and weaknesses, and develop strategies to capitalize on opportunities and mitigate threats. This process helps ensure that the organization is well-positioned to achieve its objectives and maintain a competitive edge in the market. In summary, strategy formulation is an essential part of the POLC framework and is specifically situated within the planning phase. By carefully developing and executing strategies that align with organizational goals, managers can help drive the success of their businesses and stay ahead of the competition.
In the POLC framework, the stages are designed to assist managers in achieving organizational goals effectively. The "Planning" stage involves setting goals, determining actions to achieve those goals, and developing the necessary resources. Strategy formulation is an essential part of this stage, as it involves creating the strategies needed to reach the desired outcomes. In the Planning stage, managers will analyze the organization's current position, identify opportunities and challenges, set objectives, and develop strategies to achieve these objectives. Strategy formulation allows managers to determine the best course of action to take advantage of opportunities, overcome challenges, and move the organization closer to its goals. This process ensures that the organization is well-prepared to face any future uncertainties or changes in its environment.
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Calculate the QBI deduction for Ned, who is filing single. His taxable income before any QBI deduction is $160,600. He is not engaged in an SSTB. His QBI is $60,000. He did not have any capital gains. He had $15,000 of qualified wages and $35,000 of qualifying property. $4,625.
Answer:
3445dfdffdcvfc vbgvc
Explanation:vvvvvvvvvvvvvvvvvcc ffffffffd
In one or two sentences, explain why people will do less of an activity when the marginal costs are greater than the
marginal benefits.
Answer:
Marginal cost is defined as the additional cost incurred in adding a unit of product or service.
Marginal benefit is defined as the additional satisfaction or utility that the individual receives from consuming the added unit of product or service.
In every endeavor, we weigh the benefit and cost of a certain product, course of action or service. We aim to get the most out of every product or decision. We are driven to reach maximum profit at a minimum cost. Thus, when the marginal cost is greater than the marginal benefit, people will do less of an activity because it is not profitable.
Explanation:
Select the word or phrase that accurately completes each sentence.
Pressing the Backspace key will delete the text on the .
Pressing the Delete key will delete the text on the .
Answer:
Pressing the backspace key will delete the text on the leftPressing the delete key will delete the text on the rightExplanation:
A janitor in a hospital is likely to feel higher levels of ______ than a janitor in a toilet paper factory.
a. task identity
b. skill variety
c. task significance
d. feedback
e. autonomy
If the task involves ownership of a comprehensive and distinct piece of labor, the correct answer is (A) task identity .
Which jobs lack task identity?Because employees only complete a small portion of a larger activity, specialized jobs have low task identity. Due to the employees' lack of awareness of the bigger picture, this rarely gives a feeling of success. Increase task identity by designing jobs such that workers complete them from start to finish.
Describe high task?The leader who prioritizes involving people in all endeavors that seek high productivity is represented by the high task-high connection. This suggests that a high task and high relationship leader is highly regarded, driven by their subordinates' behavior, and blends task- and relationship-related actions.
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disadvantages of creative thinking in a workplace
Answer:
This article will dive into what creative thinking is, types of creative thinking, and the benefits of thinking creatively in the workplace. As it happens, it is not the experience of failure that holds you back. There are six major obstacles to creative thinking that could be preventing you from learning how to improve your problem solving skills for business success. Creative thinking and creative thinkers are needed in those situations because it pushes out of that linear way of thinking. To think creatively, set aside any assumptions or biases you may have, and look at things in a completely new way. You don't have to be an artist for your work to have an artistic element. In homeostasis, there seems to be an irresistible unconscious pressure that brings you back to doing what you have always done. This requires the ability to examine things carefully to know what they mean. Thinking The following transcript is based on material in Skills for Success: The Personal Development Handbook, by Stella Cottrell. asked Feb 22, 2018 in Grade 12 by Admin Master (890k points) grade-12; ... discuss the disadvantages of creative thinking. Advantages Of Creative Thinking. Being rational means that we continually use our minds to explain the world to ourselves, so we can understand it better and feel more secure. Here are some of the types of creative thinking you might see in the workplace.
Note: The following information is common to the two Merlus Company questions.
Using the discounted free cash flow valuation model, Merlus Company's value of operations is estimated to be $400 million. The company's current year balance sheet shows $50 million in cash and $20 million in marketable securities. The balance sheet also shows $50 million in accounts payable, $90 million in notes payable, $10 million in deferred revenue, $30 million in long-term debt, $40 million in preferred stock, and $100 million in total common equity. The long-term debt has a current market value of $32.25 million while the market value of the preferred equity is $41.75 million.
Question: What is the company's enterprise value (in millions)?
$420.00
$470.00
$410.00
$460.00
$430.00
Enterprise value refers to the market capitalization plus the market value of debt, minority interest, and preferred shares, minus total cash and cash equivalents.
Given the data, the company's enterprise value (in millions) can be calculated using the following formula: value = Market capitalization + Market value of debt + Preferred equity - Cash and cash equivalents Enterprise value =\($400 million + $32.25\) million +\($41.75 million - ($50 million + $20 million\)lion)Enterprise value = \($474 million - $70 million Enterprise value =\) \($404\) million Therefore, the company's enterprise value (in millions) is \($404.00. Answer: $404.00.\)
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total amount of new funds the business generates from operations; broadest measure of profits for a firm, includes both net income and non-cash charges
New funds are included in both net income and non cash charges
what is research analysis
Research analysis is the process of interpreting data that has been collected through research methods. It involves analyzing, interpreting, and evaluating the results of a research study to draw conclusions or develop insights.
Research analysis can be conducted using various methods such as qualitative and quantitative analysis. Qualitative analysis involves examining non-numerical data such as interviews, observations, and text, while quantitative analysis involves analyzing numerical data using statistical techniques. Both methods can provide valuable insights into a research question, and the choice of method depends on the research question, research design, and data collected.
Research analysis involves several steps such as cleaning and organizing data, identifying patterns, trends, and relationships within the data, and interpreting and drawing conclusions based on the data. It also involves identifying potential biases or limitations in the data and addressing them appropriately. In summary, research analysis is a critical component of the research process as it helps researchers to make sense of their data and draw meaningful conclusions from their findings.
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______ inventory will enter the production process and become ______ inventory. once complete, the goods will become ______ inventory.
Raw material inventory will enter the production process and become work-in-progress (WIP) inventory. Once complete, the goods will become finished goods inventory.
Raw material inventory refers to the stock of materials and components that a company holds before they are used in the production process. These materials include items such as wood, metal, plastic, or any other inputs required to manufacture a product. When these raw materials are introduced into the production process, they become work-in-progress (WIP) inventory.
Work-in-progress inventory represents partially completed products that are still in the production process. It includes the cost of direct materials, direct labor, and factory overhead incurred to convert raw materials into finished goods. This stage reflects the value of materials and labor invested in the production process but does not yet represent a fully completed product.
Finally, when the production process is complete, the goods become finished goods inventory. Finished goods inventory comprises fully completed products that are ready for sale. This inventory includes the costs associated with production, including direct materials, direct labor, and factory overhead.
In conclusion, raw material inventory transforms into work-in-progress inventory during the production process, and once the production is complete, the goods become finished goods inventory, ready for sale.
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When we discuss the Evaluate phase in ACE, which question do you ask to evaluate effectiveness of your instructional visuals?
A) Answer 1: Do cues in the visual help perception of selection, organization, and integration?
B) Answer 2: Is the visual learner-friendly?
C) Answer 3: Have you weeded out the extraneous data?
Answer 4: All of the Above
The Evaluate phase in ACE as the all of the above question as the relevant to the asked the effectiveness of your instructional visuals. Thus, option (d) is correct.
What is visuals?
The term visuals refer to represent the data, charts, drawings, paintings, design and the other things as included. The visuals are the concluded, the details and the easily to find out.
The evaluation of the ACE as the instrumental visuals are the first question is the selection, organization, and integration of the relevant and the visual learner-friendly and the quickly, extraneous data. As the all of the above, the question to the included.
Therefore, option (d) is correct.
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Suppose there are 500 stock market investors trying to predict whether the market will go up and down, and each year exactly half of them guess right. Approximately how many of these investors, on average, will be right two years in a row
Answer:
six
(200 x (0.5)^6 = 200 x 0.015625 = 3.125
Explanation: