A candy store specializing in a wide variety of candy, including hard-to-get brands, is an example of a retailer performing the activity of diversification. Diversification is the process of expanding a business’s product and services by offering more goods and services, thus expanding the customer base.
In the case of the candy store, they are likely engaging in diversification to capture a larger audience and expand their profits. By offering a range of candy, the store appeals to more customers who may be seeking the unique brands that are not available elsewhere. Additionally, this activity helps the store build a more loyal customer base, as customers may keep coming back for their favorite hard-to-get brands.
The process of diversification also allows the store to reduce risk. By diversifying their product offerings, the store is able to spread its risk by offering a range of candy products, rather than relying on just a few items. This ensures that if a particular item does not sell, the store is not solely dependent on it.
In conclusion, a candy store that specializes in a wide variety of candy, including hard-to-get brands, is an example of a retailer performing the activity of diversification. Through diversification, the store can appeal to more customers, build a more loyal customer base, and reduce risk.
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1. What do you think is the primary difference between the Statement of Financial Performance (Comprehensive Income) and the Statement of Financial Position?
2. Can you think of any reasons why the Earnings (Profits) after Tax could differ from the Net Increase in the Cash Equivalents (in the Cash Flow Statement)?
The goal of the statement of financial position is to summarize the total assets, equity, and liabilities on the last day of the period, and the statement of comprehensive income was prepared. Equity plus liabilities equals assets, according to the equation.
Most cash flow and net income statements differ because there is a temporal lag between documented sales and actual payments. If invoiced consumers pay in cash during the next period, the matter will be under control. A Balance Sheet is a statement of an individual company's financial status, whereas a Consolidated Balance Sheet is a statement of the financial position of multiple companies in the same group put together.
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A firm produces 300 units of output at a total cost of $1,000. If fixed costs are $100,Answera. average total cost is $4.b. average variable cost is $3.c. average fixed cost is $10.d. average total cost is $5.
A firm produces 300 units of output at a total cost of $1,000 average total cost is $4. The answer is OPTION A.
When generating goods and services, producers—often referred to as firms or companies in economics—use inputs, or various components of production. (output). When determining what to create and how to generate it, businesses are crucial. The main goal of the company's output production is to maximize profits.
However, there are some expenses associated with producing output, which limit the profits a company can realize. The firm's decision on how much production to generate depends heavily on the connection between costs and profits. Production. A company uses inputs (factors of production) and, using its technology, converts them into output. The answer is OPTION A.
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which of the following is a way for the government to encourage efficient energy use? responses limiting the development of public transportation systems limiting the development of public transportation systems requiring higher fuel economy standards for new cars requiring higher fuel economy standards for new cars implementing government subsidies to keep gasoline prices low implementing government subsidies to keep gasoline prices low removing all taxes from gasoline at the fuel pump
One of the most efficient ways for the government to encourage efficient energy use is to require higher fuel economy standards for new cars. Automobiles consume non-renewable fossil fuels, resulting in significant greenhouse gas emissions and environmental concerns.
Higher fuel economy standards would require new cars to be built with more efficient engines and transmissions, reducing the amount of fuel needed to power them. This would not only reduce the environmental impact of transportation but also save consumers money on fuel costs in the long run.
The other options listed in the question are not effective ways for the government to encourage efficient energy use. Limiting the development of public transportation systems would make it harder for people to switch to more sustainable modes of transportation. Implementing government subsidies to keep gasoline prices low would encourage people to continue using gasoline-powered vehicles, which are not efficient. Removing all taxes from gasoline at the fuel pump would further encourage the use of gasoline-powered vehicles, without providing any incentives to switch to more efficient modes of transportation.
Requiring higher fuel economy standards for new cars is a way for the government to encourage efficient energy use.
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t the beginning of the year, a company had an allowance for uncollectible accounts of $22,900. by the end of the year, actual bad debts total $24,900. required what is the balance of the allowance for uncollectible accounts after the write-offs (before any year-end adjusting entry)?
The balance in the allowance account after the write-offs but before any year-end adjusting entry is -$90. This means that allowance for uncollectible accounts has been overdrawn and hence implies negative balance.
At the beginning of the year, a company had an allowance for uncollectible accounts of $22,900. By the end of the year, actual bad debts totaled $24,900. The required balance of the allowance for uncollectible accounts after the write-offs (before any year-end adjusting entry) can be calculated as follows:
Balance in allowance for uncollectible accounts at the end of the year = Balance in allowance for uncollectible accounts at the beginning of the year + Amount charged to the allowance account - Amount written off as uncollectible during the year
Amount charged to the allowance account = Actual bad debts - Beginning balance in allowance account= $24,900 - $22,900= $2,000
Balance in allowance for uncollectible accounts at the end of the year = $22,900 + $2,000 - Amount written off as uncollectible during the year.
It is given that the amount of actual bad debts for the year is $24,900. This represents the amount that is written off as uncollectible.
The balance in the allowance account after the write-offs but before any year-end adjusting entry can be calculated as follows:
Balance in allowance for uncollectible accounts at the end of the year = $22,900 + $2,000 - $24,900= $-90
This implies that the allowance for uncollectible accounts has been overdrawn by $90.
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which of the following are potential limitations to using patents to encourage innovation? select all that apply: in a fast-moving high-technology industry, patents may be almost irrelevant because technology is advancing so quickly. patents create no incentive for research and development. not every new idea can be protected with a patent or a copyright. all of the above
Answer: in a fast moving high technology industry, patents may be almost irrelevant because technology is advancing so quickly
Not every new idea can be protected with a patent or a copy right
Explanation:
Because technology is developing so quickly, not every new idea can be protected by a patent or copyright in a high-tech company where things move quickly.
In what ways do patents promote innovation?Patents honour and reward inventors for their successful commercial ideas. As a result, they motivate creators to develop fresh concepts. A small business or inventor with a patent is aware that there is a good chance they will make back the time, money, and effort they put into developing a technology.
What connection exists between intellectual property and innovation?Intellectual property rights (IPRs) are the institutional rules that encourage investment in research and development and hence enable innovation (R&D).
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which of the following is true of order amplification? question 24 options: order amplification in the supply chain leads to the bullwhip effect. large order sizes can help manage order amplification. order amplification decreases as one moves back up the supply chain away from the retail customer. increasing price fluctuations can help manage order amplification.
The statement "order amplification in the supply chain leads to the bullwhip effect" is true of order amplification.
Order amplification refers to the phenomenon in which small fluctuations in demand at the retail level can be magnified as they move up the supply chain to manufacturers and suppliers, leading to larger and larger swings in orders and inventory levels. This can cause inefficiencies and increased costs throughout the supply chain, as well as a lack of coordination between supply and demand.
Order amplification generally increases as one moves back up the supply chain away from the retail customer, as each level of the supply chain seeks to protect itself from potential fluctuations in demand by adding its own forecasts and safety stock.
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Computer Wholesalers restores and resells notebook computers. It originally acquires the notebook computers from corporations upgrading their computer systems, and it backs each notebook it sells with a 90-day warranty against defects. Based on previous experience, Computer Wholesalers expects warranty costs to be approximately 6% of sales. Sales for the month of December are $600,000. Actual warranty expenditures in January of the following year were $13,000. Does this situation represent a contingent liability?
Based on the given information, the situation does not represent a contingent liability.
Warranty expenditures are the amount spent on the repair, replacement, or refund of goods sold or services rendered due to a breach of warranty. It is one of the possible contingent liabilities, and it is a typical cost of doing business for organizations that sell products or services with warranties. When warranty expenditures occur, businesses must report them as an expense in their financial statements. A contingent liability is a potential liability that may arise in the future.
According to the given problem, Computer Wholesalers expects warranty costs to be approximately 6% of sales. The company made $600,000 in sales in December, which means it expects to pay $36,000 in warranty expenditures in the future. However, actual warranty expenditures in January of the following year were $13,000. This means the actual warranty expenditures were lower than expected, and there is no possibility of a future obligation or liability. As a result, this scenario does not represent a contingent liability.
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what is the order quantity that minimizes total annual cost of inventory?
Answer:
The economic order quantity (EOQ)
The economic order quantity (EOQ) is a company's optimal order quantity that meets demand while minimizing its total costs related to ordering, receiving, and holding inventory.
In situations where it is relatively easy for rivals to readily duplicate the successful features of a companys strategy, the chief way for a company to achieve a durable competitive advantage over its rivals is to 8
In situations where it is relatively easy for rivals to readily duplicate the successful features of a company's strategy, the chief way for a company to achieve a durable competitive advantage over its rivals is to continuously innovate and adapt its strategy.
Do following things to achieve this:
1. Identify the company's unique selling points and core competencies.
2. Regularly monitor the market and competitors to stay informed about any changes or advancements.
3. Continuously invest in research and development to create new products or services that meet the evolving needs of customers.
4. Focus on improving the efficiency and effectiveness of the company's operations to reduce costs and increase overall performance.
5. Strengthen the company's brand by offering exceptional customer service and building customer loyalty.
6. Encourage a culture of innovation within the company, which fosters creativity and idea generation.
7. Protect intellectual property by securing patents, copyrights, or trademarks to prevent rivals from copying the company's innovations.
8. Regularly reevaluate and adjust the company's strategy based on market trends and competitor activities to maintain a competitive edge.
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consider an asset that costs $745,000 and is depreciated straight-line to zero over its eight-year tax life. the asset is to be used in a five-year project; at the end of the project, the asset can be sold for $135,000. if the relevant tax rate is 21 percent, what is the aftertax cash flow from the sale of this asset?
The after-tax cash flow from the sale of the asset is calculated by subtracting the tax due from the proceeds of the sale. The after-tax cash flow from the sale of this asset is $65,614.
The amount of depreciation taken each year is the cost of the asset divided by the number of years of its tax life, in this case
$745,000/8 = $93,125.
The total depreciation over the five-year project is
$93,125 x 5 = $465,625.
The taxable gain on the sale of the asset is
$135,000 - $465,625 =$330,375.
The tax due on the sale of the asset is 21% of $330,375, which is $69,386. Therefore, the after-tax cash flow from the sale of the asset is
= $135,000 - $69,386
= $65,614.
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on july 8, sydney's sluggers sold 12 units for $49 each in palm desert, california. calculate the amount recorded in the cost of goods sold account for the 12 units sold using the lifo perpetual inventory method.
The Cost of Goods Sold (COGS) for 12 units sold on July 8 in Palm Desert, California using the LIFO perpetual inventory method is $588.
To calculate the COGS, we must look at the most recent costs of the 12 units sold. Under the LIFO perpetual inventory method, the most recent cost of the 12 units sold is $49 each. This means the total cost of the 12 units sold is 12 x $49 = $588. This amount is then recorded in the Cost of Goods Sold (COGS) account.
In the LIFO perpetual inventory method, the most recent costs of goods sold are the ones that are recognized for each sale.
This method is used to track the latest costs in a business’s inventory, allowing them to accurately account for changes in cost over time. This is beneficial for businesses that deal with volatile costs such as food, energy, or raw materials.
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In which stage would you typically expect to see large negative Financing Cash Flows?
a. Startup
b. Profitable/Growing
c. Mature/Steady
d. Decline
In general, you would typically expect to see large negative Financing Cash Flows in the startup stage of a company.
Financing Cash Flows are one of the three major components of a company's cash flow statement, alongside Operating Cash Flows and Investing Cash Flows. Financing cash flows reflect the cash inflows and outflows that result from the company's financing activities, such as issuing debt or equity, repaying debt, paying dividends, or buying back shares. In general, you would typically expect to see large negative Financing Cash Flows in the startup stage of a company. This is because startups often require significant amounts of capital to get off the ground and may need to raise funds through external financing activities. For example, a startup may need to issue equity or take on debt to fund its operations, invest in product development, or hire employees. As a result, their financing cash flows may be negative as they take on this financing to support their operations and growth. In later stages such as the profitable/growing or mature/steady stages, companies may have established themselves in the market and may generate more cash flow from their operations, which can offset their financing cash flows. For example, a company may have strong revenue growth and profits, which can provide cash inflows that can be used to repay debt, pay dividends to shareholders, or buy back shares. In these stages, financing cash flows may still be negative, but they are more likely to be smaller than in the startup stage. In the decline stage, a company may have reduced financing needs as it may be focused on managing its existing operations and may not be investing in growth initiatives that require significant amounts of capital. For example, a company in the decline stage may have shrinking revenue and profits and may not be generating enough cash from its operations to cover its expenses. In this case, the company may need to raise funds through external financing activities to support its ongoing operations, but the amount of financing needed may be smaller than in the startup stage.
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goodspeed automobiles manufactures 100 disc brake cylinders. at this output level, its marginal revenue is equal to its marginal cost. if the revenue per unit of output is $500 and the per unit cost is $350, its profit is: group of answer choices
The profit of Goodspeed Automobiles at this output level is $15,000. Goodspeed Automobiles manufactures 100 disc brake cylinders at a given output level, where the marginal revenue is equal to the marginal cost.
Marginal revenue is the additional revenue gained by producing one additional unit, while marginal cost is the additional cost incurred by producing one additional unit. In this case, the revenue per unit of output is $500, while the per unit cost is $350.
Thus, the profit of Goodspeed Automobiles can be calculated by subtracting the total cost from the total revenue. The total revenue can be calculated by multiplying the revenue per unit ($500) with the number of units (100), resulting in $50,000. The total cost can be calculated by multiplying the cost per unit ($350) with the number of units (100), resulting in $35,000. Thus, the profit of Goodspeed Automobiles at this output level is $15,000.
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question 4 what is the name of the process that describes what happens when a customer is taken to a separate site to complete a transaction before being sent back to the original site again?
Businesses can easily accept card payments through merchant accounts offered by a third-party payment processor. This implies that in order to manage their transactions, the merchant does not need to go through the process of opening a proprietary merchant bank account.
In this procedure, a third-party payment gateway is used to process payments on the merchant's behalf. In order to enter their payment information and complete the transaction, the customer is forwarded to the payment gateway's website. The customer is directed back to the merchant's website once the transaction is finished.
With the help of a third-party payment processor, a company can accept payments without having to open a merchant account, which is a bank account needed to hold revenue from credit and debit card sales. In order to cut operational costs, these processors typically provide quick setups, impose flat-rate fees, and process transactions from multiple merchants into shared merchant accounts.
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An organization’s culture is kept alive through socialization. For socialization to be successful, the primary requirement is how close the employees’ values are to those of the organization.
Select one:
True
False
The given satement is true because an organization’s culture is kept alive through socialization. For socialization to be successful, the primary requirement is how close the employees’ values are to those of the organization.
Socialization is the process of imparting an organization's values, norms, and practices to new employees. The degree to which employees' values match those of the organization determines the success of socialization. In order to cultivate a strong culture within the organization, the company must foster a sense of community among its workers.
A successful socialization process can aid in the development of such a community by creating shared experiences and values among employees.
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benefits of the crm systembased on the problems you have seen so far at gearon, what type of crm applications will be most helpful to the company?
The Customer Relationship Management (CRM) system is a valuable tool for Gearon to help manage customer relationships.
It will help streamline customer data, automate customer outreach, and provide insights into customer preferences. With a CRM system in place, Gearon can improve customer service and increase sales.
The CRM system will help Gearon better store and manage customer data, such as contact information, orders, customer service tickets, and more. With all of this data easily accessible in one place, Gearon will be able to quickly respond to customers’ requests and provide faster customer service.
Additionally, the CRM system can automate customer outreach such as email campaigns or targeted promotions. This will help Gearon increase sales by engaging with customers in a personalized way.
Lastly, the CRM system can provide valuable insights into customer preferences and trends, allowing Gearon to better tailor their services to customers’ needs.
Overall, the CRM system is a powerful tool that will help Gearon build stronger customer relationships, improve customer service, and increase sales.
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Policies and operating procedures facilitate strategy execution by:
-Providing top-down guidance regarding how things need to be done.
-Helping ensure consistency in how execution-critical activities are performed.
-Promoting the creation of a work climate that facilitates good strategy execution.
Policies and operating procedures facilitate strategy execution by all the options including A, B, and C.
Providing top-down guidance regarding how things need to be done, helping ensure consistency in how execution-critical activities are performed, and promoting the creation of a work climate that facilitates good strategy execution.
A policy is a directive statement that provides guidelines for decision-making and action. It serves as a management tool that helps managers make appropriate decisions and facilitates the implementation of the overall strategy. Policies are usually designed to reflect the organization's values, ethics, and goals. As a result, the organization's policies and procedures should align with its mission and objectives.
Operating procedures are detailed instructions that describe how to perform specific tasks. It provides a set of standardized procedures that ensure consistency in how execution-critical activities are performed. Operating procedures ensure that the day-to-day operations of the organization are carried out efficiently and effectively. By standardizing processes and procedures, employees know what is expected of them and can work towards achieving their goals.
Policies and operating procedures facilitate strategy execution by providing top-down guidance regarding how things need to be done, helping ensure consistency in how execution-critical activities are performed, and promoting the creation of a work climate that facilitates good strategy execution.
The correct options include A, B, and C.
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a bank states that it charges a 21% apr (or annual percentage rate) on credit card balances where the cardholder has been late making a payment. however, the bank compounds monthly. what eff% is the bank charging? a. 21.77% b. 22.45% c. 23.14% d. 23.83% e. 21.12%
To compute the effective interest rate, we must consider the compounding period, which in this case is monthly. As a result, we may apply the following formula.
Annual effective interest rate = (1 + (APR/n))n - 1 Where APR is the annual percentage rate and n represents the number of compounding periods each year. The APR in this situation is 21%, and the compounding period is monthly, thus n = 12. When we enter these values into the formula, we get: Annual effective interest rate = (1 + (0.21/12))12 - 1 = 0.2383 or 23.83% As a result, option (d) 23.83% is the correct answer. If a cardholder fails to make a payment on time, the bank imposes an effective interest rate of 23.83% per year, which is greater than the advertised APR of 21%.
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assume that you purchased general electric company stock at the closing price on december 31, 2008 and sold it after the dividend had been paid at the closing price on january 26, 2009. your capital gains rate (yield) for this period is closest to:
The Capital gains rate is 0.15 or 15% in this period.
To calculate the capital gains rate (yield) for this investment scenario, we need to know the purchase price of the stock on December 31, 2008, the selling price of the stock after the dividend had been paid on January 26, 2009, and the amount of the dividend paid.
Once we have this information, we can calculate the capital gains rate using the following formula: Capital gains rate = (selling price + dividend - purchase price) / purchase price
For example, let's assume that you purchased General Electric Company stock at the closing price of $10.00 on December 31, 2008, and sold it after the dividend had been paid at the closing price of $11.00 on January 26, 2009. The dividend paid was $0.50 per share.
Using the formula above, we can calculate the capital gains rate as follows: Capital gains rate = ($11.00 + $0.50 - $10.00) / $10.00 . Capital gains rate = $1.50 / $10.00 . Capital gains rate = 0.15 or 15%
Therefore, the capital gains rate (yield) for this investment scenario is closest to 15%.
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an interest-only balloon mortgage loan is commonly referred to as a a. bullet loan b. mezzanine loan c. mini-perm loan d. land acquisition loan
An interest-only balloon mortgage loan is commonly referred to as a bullet loan. Thus, the correct answer is A. Bullet Loan.
What is a balloon loan?A balloon loan is a type of loan that requires the borrower to repay the loan balance in one big lump sum after a set amount of time has passed. The borrower will typically make a fixed number of regular payments throughout the term of the loan before the final balloon payment is due. This makes these loans different from most other types of loans.
Balloon loans are often offered for a shorter duration of time than traditional loans, such as 5 or 7 years and may also have a lower interest rate than a traditional loan.. The borrower may be able to refinance the balloon loan to a regular loan before the balloon payment is due. This will allow the borrower to avoid the risk of defaulting on the balloon loan.
What is a bullet loan?
A bullet loan is a type of loan that requires the borrower to make payments for a set amount of time before making a final lump sum payment, similar to a balloon loan. The main difference is that the borrower will pay back the principal and interest during the term of the loan rather than only the interest.
This means that the loan is fully amortized during the term. Bullet loans are often used for short-term lending purposes, such as bridge loans or construction loans. An interest-only balloon mortgage loan is commonly referred to as a bullet loan. So, the correct option is a. bullet loan.
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in year 2, rogers corp. changes its inventory method from fifo to the weighted-average method. under the weighted-average method, the year 2 beginning inventory is $5,000 lower than under the fifo method. the financial statements are revised using the retrospective approach. what are the financial statement effects of the change in accounting principle? (select all that apply.) multiple select question. year 1 ending inventory does not change. year 1 net income will decrease. year 1 ending inventory will decrease. year 1 retained earnings will increase. need help? review these concept resources.
There are a few financial statement effects of the change in accounting principle from FIFO to the weighted-average method by Rogers Corp in year 2.
Here are the following effects:
Year 1 ending inventory does not change.
Year 1 net income will decrease.
Year 1 ending inventory will decrease.
Explanation:When a change in inventory method is made by a company, it results in changes to the financial statements, and in this case, Rogers Corp. had changed its inventory method from FIFO to the weighted-average method. The effect of this change in accounting principle is seen in the revised financial statements using the retrospective approach.
Under the weighted-average method, the year 2 beginning inventory is $5,000 lower than under the FIFO method. Therefore, the year 1 ending inventory does not change, and year 1 net income will decrease due to the change in accounting principle from FIFO to the weighted-average method.
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paula has agreed to make omelets and pancakes at the charity brunch. however, she forgot her pancake maker at home. guests will not be able to order any pancakes, making this a(n) . a.) assumption risk b.) deliverable risk c.) schedule risk d.) resource risk
Resource risk is the right response (d.). The danger of lacking the tools, equipment, or persons required to properly execute a project or assignment is known as resource risk.
Risk is the likelihood that something will happen that could have a negative effect on a person, an organisation, or society. It can come about from a variety of things, such as natural disasters, accidents, monetary unpredictability, and strategic choices. Several aspects of human activity, such as business, economics, healthcare, and safety, are based on the idea of risk. Identification of potential hazards, evaluation of their impact and likelihood, and development of solutions to reduce or control them are all components of risk management. The success and sustainability of organisations as well as the safety and well-being of individuals depend on effective risk management. Although it is impossible to completely eliminate risk, decision-making procedures must strike a balance between risk and benefit.
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you have just started a new job and plan to save $5,200 per year for 36 years until you retire. you will make your first deposit in one year. how much will you have when you retire if you earn an annual interest rate of 9.54 percent?
The amount the person will have when they retire if they earn an annual interest rate of 9.54% is $ 952528.91.
We are given the following:
Amount that needs to be saved every year (PMT) = $ 5,200Time for which the money needs to be saved (n) = 36 years
Deposit is made annually (i.e., compounding period)Annual interest rate = 9.54%
Using the compound interest formula, we can find out the future value of the investment.FV = PMT * (((1 + i)^n - 1) / i)FV = 5200 * (((1 + 0.0954)^36 - 1) / 0.0954)FV = $ 952528.91
Therefore, the amount the person will have when they retire if they earn an annual interest rate of 9.54% is $ 952528.91.
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eve's apples opened its business on january 1, 2024, and paid for two insurance policies effective that date. the policy for equipment damage was $36,360 for 18 months, and the crop damage policy was $13,200 for a two-year term. what is the balance in eve's prepaid insurance as of december 31, 2024?
The balance in Eve's prepaid insurance as of December 31, 2024 is $49,560.
This is the total of the two insurance policies that were paid for on January 1, 2024. The first policy was for equipment damage and cost $36,360 for 18 months.
The second policy was for crop damage and cost $13,200 for a two-year term.
This means that the total cost of both policies is $49,560, and this amount will remain in Eve's prepaid insurance account until the policies expire. At that point, the balance will decrease to zero as the policies are paid out.
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Which form of workplace labor agreement is now considered illegal?
Closed shops are a type of workplace labor agreement that are today regarded as unlawful.
What kind of contract falls under a collective bargaining agreement?An example of a collective agreement would be if a trade union and company reached an agreement allowing all employees to seek flexible hours immediately after starting work rather than waiting 26 weeks.
The term "collective bargaining agreement" has what meaning?Collective bargaining is the process through which employees negotiate contracts with their employers through their unions to establish their terms of employment, including compensation, benefits, working conditions, hours, leave, rules for workplace health and safety, how to manage work and family, and more.
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a production process has two workstations. the first workstation has a capacity of 200 units per hour and the second workstation has a capacity of 150 units per hour. demand for the process is 250 units per hour. what is the utilization of the first workstation in a push process? multiple choice 80% 60% 100% 75%
The utilization of the first workstation in a push process is equivalent to 80%.
This is because the first workstation has a capacity of 200 units per hour and the demand for the process is 250 units per hour.
Therefore, 80% of the capacity of the first workstation is being utilized, as 200 units per hour is 80% of 250 units per hour.
The second workstation has a capacity of 150 units per hour, which is less than the demand of 250 units per hour. This means that the utilization of the second workstation is 100%.
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jane smith currently holds tax-exempt bonds of good samaritan healthcare that pays 11 percent interest. she is in the 38 percent tax bracket. her broker wants her to buy some beverly enterprises taxable bonds that will be issued next week. with all else the same, what rate must be set on the beverly bonds to make jane interested in making a switch?
The rate set on the Beverly bonds must be greater than 11% to make Jane interested in making a switch.
To determine the rate that must be set on the Beverly Enterprises taxable bonds to make Jane interested in making a switch, we need to calculate the after-tax yield on her current tax-exempt bonds and compare it to the yield on the new taxable bonds.
First, let's calculate Jane's after-tax yield on her current tax-exempt bonds:
After-tax yield = Tax-exempt yield x (1 - Tax rate)
After-tax yield = 11% x (1 - 0.38)
After-tax yield = 6.82%
So Jane's after-tax yield on her current tax-exempt bonds is 6.82%.
Now let's assume that Beverly Enterprises' taxable bonds will pay an interest rate of x%.
To make Jane interested in switching to the Beverly bonds, the after-tax yield on the Beverly bonds must be greater than her current after-tax yield of 6.82%.
We can set up the following equation to solve for x:
(1 - Tax rate) x Yield on Beverly bonds > After-tax yield on current bonds
[tex](1 - 0.38) \times x > 6.82%[/tex]
[tex]0.62x > 6.82%[/tex]
[tex]x > 11%[/tex]
Therefore, the rate which makes Jane interested in making a switch must be greater than 11%.
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which type of team possesses significantly more autonomy than traditional work and employee involvement groups, and solves problems for major production/service tasks?
The most autonomous teams are self-designing ones, whereas traditional work groups have the least autonomy.
What are the other names for autonomous teams?A self-managed team, also known as a self-managing team, is a group of employees inside an organization who jointly plan and carry out their job without the guidance of a manager.
What exactly does an autonomous system mean?An autonomous system (AS) is a group of Internet routable IP prefixes that are all managed, controlled, and monitored by the same institution or organization and are a part of a network or collection of networks. An AS makes use of a standard routing policy that is managed by the entity.
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The standardization of marketing activities favors __________ thanks to the accomplishment of economics of scale in R&D, production, marketing, and managerial processes
The standardization of marketing activities favors marketing thanks to the accomplishment of economics of scale. The answer is OPTION C.
A standardization plan implies that all of a company's marketing departments use the same campaigns and methods to achieve the same business objectives. This makes it easy for teams to collaborate and align their efforts across borders. Product adaptation refers to the firm's adaptation of the product to local markets.
It is the process of adapting items for different countries and regions, as well as developing new products for overseas markets. Product standardisation means that the company offers and advertises standardized products on a global scale. Product globalization makes it easy for the corporation to monitor, oversee, and coordinate any brand activity. The answer is OPTION C.
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4. your company decides to use broad communities of people in its new product innovation process. which step of the new product development process is the company most likely in?
If a company decides to use broad communities of people in its new product innovation process, it is most likely in the idea generation stage of the new product development process.
What is a new product development process?A new product development process is a sequence of stages that a company undergoes to conceptualize, develop, and bring a new product to market. The new product development process includes idea generation, idea screening, concept development and testing, business analysis, product development, market testing, and commercialization.
What is idea generation?Idea generation is the first stage in the new product development process. It involves the generation of new product ideas. It involves searching for new ideas through internal and external sources, such as employees, suppliers, customers, competitors, and R&D teams.
What are broad communities?Broad communities are large groups of individuals that represent a wide range of interests, experiences, and perspectives. Companies often use these communities to generate ideas for new products or services.
What is the role of broad communities in idea generation?Broad communities provide companies with a vast pool of ideas that they can use to create new products or improve existing ones. Companies can leverage the diverse perspectives and experiences of broad communities to generate ideas that they may not have considered otherwise.
In conclusion, if a company decides to use broad communities of people in its new product innovation process, it is most likely in the idea generation stage of the new product development process.
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