If, after a deposit outflow, a bank needs an additional $3 million to meet its reserve requirements, the bank can increase loans by $3 million. repay its discount loans from the Fed. sell $3 million of securities. reduce deposits by $3 million

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Answer 1

If, after a deposit outflow, a bank needs an additional $3 million to meet its reserve requirements, the bank can sell $3 million of securities.

A portion of the deposits held by banks and other depository institutions (savings institutions, credit unions, and foreign banking entities) must be held as reserves. Reserves may be kept by depository institutions as bank deposits or as cash in the vault. By increasing the amount of excess reserves it holds, a financial institution can raise its credit rating. As a result of the cash or deposit held not being invested to produce higher returns, particularly over the long term, higher excess reserves also result in higher opportunity costs.

As the required reserve ratio rises, the money multiplier falls, reducing the amount of money in circulation. This occurs because banks are not able to loan out as much money, which means that when you deposit $1 in a bank, less money is created.

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selling inventory for cash affects which of the following financial statements? assume inventory is sold for more than it cost to produce.

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Selling inventory for cash affects both the Income Statement and the Balance Sheet. If the inventory is sold for more than it cost to produce, then the company will have a higher net income.

On the Income Statement, the sale of inventory is recognized as revenue and the cost of goods sold (COGS) is recognized as an expense. The difference between revenue and COGS represents gross profit, which is the company’s earnings before taxes.

On the Balance Sheet, the sale of inventory increases cash, while the reduction of inventory reduces the asset line on the Balance Sheet. The increase in cash and the decrease in inventory is a wash in terms of overall effect on the Balance Sheet.

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a new coffee shop intends to provide several specialty coffee blends. does this represent rarity in terms of competitive advantage? group of answer choices not relevant; specialty blends lead to competitive advantage regardless of rarity. yes; specialty blends are popular. no; many local and national coffee shops offer specialty blends. no; specialty blends drive increased sales.

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the correct option is: No; many local and national coffee shops offer specialty blends.

Rarity is one of the four criteria for a resource or capability to provide a sustainable competitive advantage, according to the resource-based view of the firm. The other three criteria are value, inimitability, and organization. A resource or capability is rare if it is not possessed by many competitors or potential competitors in the industry.

In this case, providing several specialty coffee blends does not represent a rarity in terms of competitive advantage. The correct answer is:

No; many local and national coffee shops offer specialty blends.

This answer explains that specialty coffee blends are not rare because they are widely available from other coffee shops. Therefore, they do not provide a unique or distinctive value proposition for customers.

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all of the following are commonly used estate planning tools except group of answer choices a will. durable power of attorney and joint ownership of assets. life insurance. gifts and trusts. all of the above are commonly used estate planning tools.

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You can utilize estate plans as effective instruments to safeguard your legacy, your estate, your loved ones, and yourself. Yet, there is plenty to learn.

What resources are available in India for estate planning?

The two estate planning tools most commonly utilized worldwide are wills and private trusts. As we all know, a will is a traditional idea and is frequently used to leave property to specified legatees. On the other side, trust is a more sophisticated and organized technique that is typically favoured by wealthier families.

Among the following, which is a component of estate planning?

A will, guardianship designations, healthcare POA, beneficiary designations, durable powers of attorney, and personal intent letters outlining your wishes in the event that you pass away or become incompetent are all examples of estate planning documents.

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a one-time sale that is not considered part of the company's normal ongoing business is referred to as a(n)

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A one-time sale that is not considered part of the company's normal ongoing business is referred to as a(n)  special, order.

What do you mean by a one-time sale that isn't regarded as a part of the company's regular, ongoing business?

A special order is a one-time purchase that is not regarded as a part of the business' regular, ongoing operations. The only factors that matter when examining a special order are the incremental costs and benefits.

When must a business decide whether to sacrifice volume?

When businesses lack the ability to create all of the goods and sales volumes expected by their clients, they are forced to make volume trade-off decisions. In these circumstances, businesses must choose between producing some products over others in order to maximize earnings.

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mariota corporation just paid a dividend of $3.40 per share on its stock. the dividend growth rate is expected to be 4.1 forever and investors require a return of 11.8 percent on this stock. what will the stock price be in 10 years?

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Mariota Corporation has paid a dividend of $3.40 per share on its stock. It is expected that the dividend growth rate will be 4.1 forever, and investors will require a return of 11.8 percent on this stock. The stock price in ten years will be as follows

The formula for the dividend discount model can be utilized to find the stock price of Mariota Corporation. The formula is:P = (D₁ / r - g)Where,P is the stock priceD₁ is the expected dividend for the coming year.r is the investor's required rate of returng is the constant growth rate.Mariota Corporation's dividend in the coming year can be computed using the following formula:D₁ = D₀ (1 + g)Where,D₀ is the current dividendD₁ = $3.40 * (1 + 0.041) = $3.54r is the investor's required rate of returnr = 11.8%g is the constant growth rateg = 4.1%Using the formula for the dividend discount model:P = (D₁ / r - g)P = ($3.54 / 0.118 - 0.041)P = $48.53Therefore, the stock price for Mariota Corporation after ten years is $48.53 (rounded to the nearest cent).

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amanda company purchased a computer that cost $10,000. it had an estimated useful life of five years and a residual value of $1,000. the computer was depreciated by the straight-line method and was sold at the end of the third year of use for $5,000 cash. how much of a gain or loss should amanda record?

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Amanda record  gain on disposal of $400. The correct option is C.

In order to calculate the transaction's gain or loss:

The asset's original cost, less all accumulated depreciation and any accumulated impairment charges, is used to determine the asset's carrying amount.

Next, deduct this carrying amount from the asset's sale price. A gain or loss has been made depending on whether the remainder is positive or negative. The Amanda Company uses straight-line depreciation, and each year's depreciation expense is determined using the formula below:

Depreciation Expense = (Cost of asset − Residual Value )/Useful Life = [tex]($10,000-$1,000)/5 = $1,800[/tex]

At the end of the third year:

The Accumulated depreciation =  $1,800 x 3 = $5,400

The carrying amount of the asset = $10,000 - $5,400 = $4,600

Sale price - Carrying amount of the asset = $5,000 - $4,600   = $400 >0

The company recognized gain on disposal $400,  The correct option is C.

The question is incomplete, complete question "Amanda Company purchased a computer that cost $10,000. It had an estimated useful life of five years and a residual value of $1,000.

The computer was depreciated by the straight-line method and was sold at the end of the third year of use for $5,000 cash.

How much of a gain or loss should Amanda record?

A. A gain of $1,000.

B. A loss of $5,000.

C. A gain of $400.

D. A loss of $400."

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if you join an existing boycott of the internet company amazon to protest the company's business practices, which type of political action are you engaging in?

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If you join an existing boycott of the internet company Amazon to protest the company's business practices, you are engaging in a type of political action that is referred to as consumer activism.

Why are people boycotting Amazon?

Amazon has come under criticism from various groups, including labor unions and environmentalists, for its business practices. Labor unions accuse Amazon of exploiting workers by paying low wages and denying them basic benefits like health insurance and paid leave. Environmentalists have criticized Amazon for its carbon footprint and the waste generated by its packaging. Amazon has also been criticized for its relationship with law enforcement agencies, especially with regards to facial recognition technology, which many experts believe can be used to violate people's privacy and civil liberties.

Conclusion Therefore, if you join an existing boycott of Amazon to protest the company's business practices, you are engaging in consumer activism, which involves using your purchasing power to hold companies accountable for their actions.

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psycwhy is it valuable for entrepreneurs to understand political and regulatory factors? select all that apply. group of answer choices appreciate how governmental factors impact their business. know the laws impacting their future business ideas. know the laws impacting their current business. prepare for potential changes in the market.

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It is valuable for entrepreneurs to understand political and regulatory factors because:

- They can appreciate how governmental factors impact their business.

- They can know the laws impacting their future business ideas.

- They can know the laws impacting their current business.

- They can prepare for potential changes in the market. Options 1, 2, 3 and 4 are correct.

Understanding political and regulatory factors is crucial for entrepreneurs as it can help them navigate the legal and regulatory environment in which they operate. By understanding how governmental factors impact their business, entrepreneurs can identify potential opportunities and risks, and develop strategies to manage them effectively.

For instance, entrepreneurs who understand the political and regulatory environment can anticipate changes in laws and regulations that may affect their current or future business ideas. They can proactively prepare for these changes by modifying their business plans or operations to comply with new regulations or take advantage of new opportunities.

Furthermore, entrepreneurs who are knowledgeable about regulatory factors can avoid legal and financial liabilities by complying with relevant laws and regulations. This can help them build a reputation as a responsible and trustworthy business, which can enhance their brand image and attract more customers. Options 1, 2, 3 and 4 are correct.

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company z uses the allowance method for uncollectible accounts. what is the journal entry for a write-off?

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The journal entry for a write-off of an uncollectible account under the allowance method would be a debit to the Allowance for Doubtful Accounts and a credit to the Accounts Receivable.

The allowance method is used when an account is determined to be uncollectible, and requires the creation of an Allowance for Doubtful Accounts account. This account is used to record the estimated losses from uncollectible accounts.

When a write-off is required, a debit is made to the Allowance for Doubtful Accounts for the estimated amount of the uncollectible account and a credit is made to Accounts Receivable for the same amount.

This decreases the Accounts Receivable balance, as the amount is no longer expected to be collected.  It also increases the Allowance for Doubtful Accounts balance, as the amount is now recorded as a loss. The write-off is then reflected on the financial statements.

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monetary policy to eliminate a recessionary gap can be portrayed as a movement: group of answer choices of the sras to the left. of the ad curve to the right. of the sras to the right of. of the ad to the left.

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One way to conceptualize monetary policy to close a recessionary gap is as a shift to the right of the AD curve.

How is a recessionary gap closed by monetary policy?

The Fed will take action to address recessionary gaps as long as inflation is under control. Expansionary policy, like the Fed's purchase of government assets, tends to drive up bond prices and drive down interest rates, which boosts investment and overall demand.

What would you carry out in order to close a recessionary gap?

Increasing government expenditure and/or lowering individuals taxes might close a recessionary gap. Both of these measures have the effect of increasing total demand and moving total expenditures toward GDP at full employment.

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which author advanced the idea that workers were the ones who created value through their labor, and that business owners used their power to take away most of the value that workers produced?

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The author who advanced the idea that workers were the ones who created value through their labor, and that business owners used their power to take away most of the value that workers produced was Karl Marx.

Marx was a German philosopher, economist, and political theorist who lived in the 19th century. He is best known for his ideas about capitalism and the class struggle between the owners of capital and the working class.

According to Marx, the value of a commodity is determined by the amount of labor that went into producing it. However, in a capitalist society, the owners of the means of production (e.g. factories, machines, etc.) extract surplus value from workers by paying them less than the value they create through their labor. This surplus value is then appropriated by the owners as profit, which further enriches them and perpetuates the exploitation of workers.

Marx believed that this exploitation was an inherent feature of capitalism and that it could only be overcome through the establishment of a socialist system in which the means of production were owned collectively by the workers themselves. Marx's ideas about the exploitation of workers continue to influence political and economic thought to this day.

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samples to test internal controls are intended to provide a basis for an auditor to conclude whether:

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Samples to test internal controls are intended to provide a basis for an auditor to conclude whether the controls are operating effectively. Option 1 is correct.

The purpose of testing internal controls is to determine whether they are functioning effectively to prevent, detect, and correct material misstatements in the financial statements. Sampling techniques are used to select a subset of transactions or activities that have been subject to the control procedures. The auditor then examines the selected items to assess the effectiveness of the controls in achieving their objectives.

If the samples reveal that the controls are operating effectively, the auditor can conclude that the risk of material misstatement is low. On the other hand, if the samples indicate that the controls are not operating effectively, the auditor must determine the nature and extent of any deficiencies and consider their potential impact on the financial statements. Therefore, the samples to test internal controls are intended to provide a basis for the auditor to evaluate the effectiveness of the controls in preventing material misstatements in the financial statements. Therefore Option 1 is correct.

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The complete question is:

Samples to test internal controls are intended to provide a basis for an auditor to conclude whether

The controls are operating effectively.The financial statements are materially misstated.The risk of incorrect acceptance is too high.Materiality for planning purposes is at a sufficiently low level.

kumara corporation reported pretax book income of $1,000,000. kumara also reports an increase in the taxable temporary differences of $200,000, an increase in the deductible temporary differences of $50,000, and favorable permanent differences of $100,000. assuming a tax rate of 21 percent, compute the company's deferred income tax expense or benefit.

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Answer:

To compute Kumara Corporation's deferred income tax expense or benefit, we need to calculate the amount of temporary difference that will reverse in the future and the applicable tax rate.

Temporary differences are differences between the book and tax basis of an asset or liability that will result in taxable or deductible amounts in future years when the book value and tax value of the asset or liability are expected to be equalized.

In this case, Kumara Corporation has an increase in taxable temporary differences of $200,000 and an increase in deductible temporary differences of $50,000. Therefore, the net temporary difference is $150,000 ($200,000 - $50,000).

The applicable tax rate is 21%.

To calculate the deferred income tax expense or benefit, we multiply the net temporary difference by the applicable tax rate:

Deferred income tax expense/benefit = Net temporary difference x Applicable tax rate

= $150,000 x 0.21

= $31,500

Therefore, Kumara Corporation's deferred income tax expense or benefit is $31,500. Since the taxable temporary differences exceed the deductible temporary differences, Kumara Corporation will have a deferred tax liability on its balance sheet.

question content area if the employer is tardy in paying the state contributions, the credit against the federal tax is limited to what percent of the late payments that would have been allowed as a credit if the contributions had been paid on time?

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If the employer is tardy in paying the state contributions, the credit against the federal tax is limited to 90 percent of the late payments that would have been allowed as a credit if the contributions had been paid on time.

The term state contribution refers to the sum of money a corporation has to pay to a specific state to finance various employee benefit schemes. Employers are obligated by law to pay state contributions for various programs, including unemployment insurance, worker's compensation, disability insurance, and paid family leave.

The federal tax is a tax imposed by the United States government on the earnings of individuals and corporations. It is computed as a percentage of the earnings of taxpayers who have a specific level of taxable income. This tax is employed by the federal government to finance various federal programs and initiatives. It is paid to the government on a quarterly basis by people and corporations who are liable for it.

If the employer is tardy in paying the state contributions, the credit against the federal tax is limited to 90 percent of the late payments that would have been allowed as a credit if the contributions had been paid on time. Therefore, it is best for the employer to pay state contributions on time to avoid such circumstances in the future.

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carl patterson likes investing in stocks that pay dividends. carl owns 35 shares of a local utility company. the stock pays a regular annual dividend in the amount of $1.25 per share, and the company has indicated that the dividend will stay the same for a long time. if carl reinvests his dividends each year and the dividends earn a return of 4 percent each year, how much will carl accumulate in 13 years?

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The annual dividend on a single share is $1.25, and Carl owns 35 shares. Since Carl is reinvesting his dividends every year, he is reinvesting $43.75 x 13 = $568.75. If the dividends earn a return of 4% each year, the accumulated amount in 13 years is $945.16.

A dividend is a regular payment that a corporation makes to its shareholders out of its earnings or reserves. A shareholder is someone who owns a share in a company. A dividend is typically distributed as a cash payment or stock.A stock, also known as a share, represents a unit of ownership in a company. Stocks are sold by firms to increase capital, which can be used to expand or develop the company.A public utility company is a company that operates to provide electricity, natural gas, water, and sewage treatment to customers.

The amount of his regular annual dividend is $1.25 x 35 = $43.75.

Dividend received by Carl = 13 years x $43.75 per annum

                                            = $568.75

Let's assume the reinvested dividend earns 4 per cent each year, the accumulated amount in 13 years is as follows: $568.75 ( 1 + 0.04)^13 = $945.16

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a global corporate-level strategy assumes group of answer choices a) efficiency and customization can be achieved simultaneously. b) a rise in income levels across the world. c) increasing levels of cultural differences among nations. d) more standardization of products across country markets.

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A global corporate-level strategy assumes that more standardization of products can be achieved across country markets. The answer is option D.

What is a global corporate-level strategy?

A global corporate-level strategy refers to the overall plan for a multinational corporation (MNC) that manages its operations globally. It outlines how an MNC intends to achieve its objectives and goals on a worldwide basis. A global corporate-level strategy assumes that a multinational corporation can succeed in different country markets by implementing more standardized products.

More standardization of products can be achieved across country markets. Globalization brings efficiency and cost-saving benefits for the multinational corporation. The management style and structure of the MNC should be consistent across all its subsidiaries and operations.

Globalization provides the opportunity for the MNC to access new markets and benefit from different consumer preferences and trends. The global corporate-level strategy must be consistent with the organization's mission and objectives.

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When the government __________ , it encourages a private solution to a __________.
Use letters in alphabetical order to select options
A. imposes taxes; positive-externality problem
B. allows income-tax deductions for charitable contributions; positive-externality problem
C. imposes a command-and-control policy; positive-externality problem
D. requires public ownership of firms that pollute; negative-externality problem

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When the government allows income-tax deductions for charitable contributions, it encourages a private solution to a positive-externality problem. The correct option is option B.

A positive externality is a type of external benefit that an individual or firm offers to another as a result of a productive activity that benefits other people who are not directly involved in it. Positive externalities benefit others without direct compensation, resulting in an economic inefficiency since the external benefit is not completely represented in the free-market price mechanism.

It is advantageous to encourage the creation of positive externalities by various policy instruments, such as subsidizing or giving tax breaks to the companies that generate them. When the government allows income-tax deductions for charitable contributions, it encourages a private solution to a positive-externality problem. This would motivate people and firms to donate more to charity, resulting in a positive externality for society in terms of better social and welfare outcomes.

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the proper matching of what a firm can do with what it might do: a. develops core competencies based on human knowledge. b. balances the internal characteristics of the firm with the characteristics of the external environment. c. overcomes the rigidity and inertia resulting from a history of success. d. yields insights the firm requires to select its strategy.

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The proper matching of what a firm can do with what it might do is known as strategic fit, which involves aligning a company's internal capabilities with the external environment to create a competitive advantage. The correct answer is option b.

Strategic fit is an idea in strategic management and supply chain management that is aimed at aligning a company's operations with its strategic objectives. This approach is built on the idea that a company is most successful when its operational capacity can support and match its strategic goals.

Strategic fit can also help organizations maintain long-term sustainability by creating operational efficiency and reducing costs.

Therefore, Proper matching of what a firm can do with what it might do is balancing the internal characteristics of the firm with the characteristics of the external environment.

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the opportunity cost of something you decide to get is

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The opportunity cost of something you decide to get is, (b) the highest valued alternative you give up to get it.

The Opportunity Cost is a defined as a fundamental concept in economics and is used to make decisions based on the trade-offs between different choices.

The Opportunity Cost refers to the value of the next best alternative foregone in order to pursue a certain action or decision. It is the cost of the best alternative forgone, not necessarily the cost of the chosen option itself.

Therefore, the opportunity cost of something you decide to get is the highest valued alternative you give up to get it, the correct option is (b).

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The given question is incomplete, the complete question is

The opportunity cost of something you decide to get is,

(a) the amount of money you pay to get it.

(b) the highest valued alternative you give up to get it.

(c) the lowest valued alternative you give up to get it.

(d) all possible alternatives that you give up to get it.

which of these statements regarding time-cost tradeoffs in cpm networks is true? question 18 options: crashing a project often reduces the length of long-duration, but noncritical, activities. none of the above activities not on the critical path can never be on the critical path, even after crashing. crashing is not possible unless there are multiple critical paths. crashing shortens the project duration by assigning more resources to one or more of the critical tasks.

Answers

The correct option is: Crashing shortens the project duration by assigning more resources to one or more of the critical tasks. The correct answer is option d.

A time-cost tradeoff is a process of identifying ways to complete a project in less time and at a lower cost. In CPM networks, the critical path is the most critical task that determines the project's overall duration.

Therefore, a time-cost tradeoff is associated with crashing a project to reduce its duration by increasing resources and cost to shorten the critical path.

Among the given options, the true statement regarding time-cost tradeoffs in CPM networks is that crashing shortens the project duration by assigning more resources to one or more of the critical tasks. Hence, option D is correct.

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complete question

which of these statements regarding time-cost tradeoffs in cpm networks is true? question 18 options:

a. crashing a project often reduces the length of long-duration, but noncritical, activities.

b. none of the above activities not on the critical path can never be on the critical path, even after crashing.

c.  crashing is not possible unless there are multiple critical paths. d. crashing shortens the project duration by assigning more resources to one or more of the critical tasks.

what word means a person who invests money hoping to make a profit?

Answers

The word that means a person who invests money hoping to make a profit is "investor."

An investor is someone who puts their money into stocks, bonds, mutual funds, real estate, or other financial instruments with the expectation of earning a return on their investment.

Speculators are individuals who make speculative investments. A speculator is someone who buys assets, financial instruments, commodities, or currencies with the intention of selling them for a profit at a later period.

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one common application of inequalities comes from business and involves profit, revenue, and cost. find the formula that relates these three quantities and using this relationship determine how many units must be sold to obtain a profit of at least $1,650,000? what is the price per unit?

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The price per unit is $1000, and the number of units sold to obtain a profit of at least $1,650,000 is 2450. One common application of inequalities comes from business and involves profit, revenue, and cost. The formula that relates these three quantities can be given as follows:

Profit = Revenue - Cost. We can use this relationship to determine how many units must be sold to obtain a profit of at least $1,650,000. To find this, we need to plug in the given values and solve for the unknown variable. Let's assume that the price per unit is x.

Then, the total revenue can be given as follows: Revenue = price per unit * number of units sold.Since we don't know the number of units sold, we will call it y. Therefore, Revenue = xy .We are given that we want to obtain a profit of at least $1,650,000.

Therefore, Profit = Revenue - Cost1650000 = xy - costFrom the given information, we can infer that:Cost = 500000 + 300xSo,Profit = xy - 500000 - 300xSubstituting the values of Cost and Profit in the previous equation, we get:1650000 = xy - (500000 + 300x)1650000 = xy - 500000 - 300x2150000 = xy - 300x

Now, we need to find the value of y, which represents the number of units sold. Solving for y, we get:y = (2150000 + 300x)/xWe know that the value of y must be a positive integer. Therefore, the value of (2150000 + 300x)/x must also be a positive integer.

To find the price per unit, we can try different values of x until we get a positive integer for y. We can start by trying x = 1000.Substituting x = 1000 in the above equation, we get:y = (2150000 + 300(1000))/1000y = 2450Since the value of y is a positive integer, x = 1000 is a valid solution.

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cost-volume-profit relationships in a service company are measured with respect to a.investors and profit margin. b.units of product sold. c.customers and activities. d.units of product manufactured.

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Cost-volume-profit relationships in a service company are measured with respect to customers and activities. The correct option is c.

Cost-volume-profit analysis (CVP) is a financial analysis tool used to determine how changes in revenue, expenses, and prices affect a company's operating profit and net income. It is a subset of managerial accounting that studies the relationship between a company's revenue, production volume, and fixed and variable expenses.In a service firm, Cost-volume-profit relationships are measured with respect to customers and activities. The cost-volume-profit analysis of a service firm is divided into three components:Cost: The price of providing the service, which includes direct and indirect costs. Direct costs include salaries and wages, supplies, and insurance for the staff members who provide the service, while indirect costs include rent, advertising, and other expenses related to running the business.Volume: The number of customers served in a specified time period, such as a week or a month, is the volume. The larger the number of customers served, the more money the company makes.Profit: The difference between the revenue generated from the services provided and the cost of providing the services is the profit. The higher the profit margin, the better the company's financial situation.Therefore, the correct option is c customers and activities.

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explain why a perfectly competitive firm can sell as much as it wants at the market price but a monopolist must lower its price to sell more

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A perfectly competitive firm is price taker which means it has to accept the market price and can sell as much as it wants at that price.

A monopolist, on the other hand, is a price maker and has control over the market price. It must lower its price to increase sales, because as the price decreases, more people will buy the product.

Perfectly competitive firms are price takers, meaning that they have to accept the market price and are unable to set their own price. This means that they can sell as much as they want at the given price.

Monopolists, however, are price makers, meaning they can set the market price and thus have control over how much they can sell. As the price of the monopolist’s product decreases, more people will be willing to buy it, so the monopolist must lower its price in order to sell more.

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when should the newsvendor model be used? group of answer choices all of the above there is a limited selling season stockout cost information is not available demand is constant

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The Newsvendor model should be used in situations where there is a limited selling season, stockout cost information is not available, and demand is constant. The answer is all of the above.

What is the Newsvendor model?

The Newsvendor model is a statistical tool used in inventory management to determine the optimal stock level for a given product.

This model is used when there is a limited selling season, information is not available, and demand is constant. Additionally, this model can also be used in situations where the cost of stockouts is high.

In summary, the Newsvendor model is used in situations where the demand for a product is constant and the cost of stockouts is high. It is also used when there is a limited selling season, and information is not available.

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a manufacturing company that produces a single product has provided the following data concerning its most recent month of operations: selling price $ 177 units in beginning inventory 100 units produced 7,600 units sold 7,400 units in ending inventory 300 variable costs per unit: direct materials $ 56 direct labor $ 51 variable manufacturing overhead $ 12 variable selling and administrative expense $ 8 fixed costs: fixed manufacturing overhead $ 250,800 fixed selling and administrative expense $ 103,600 what is the total period cost for the month under variable costing?

Answers

The total period cost for the month under variable costing is $467,520.

Variable costs consist of direct materials, direct labor, variable manufacturing overhead, and variable selling and administrative expense.

These costs add up to ($56 x 7,600) + ($51 x 7,600) + ($12 x 7,600) + ($8 x 7,600) = $467,520. Fixed costs are not included in variable costing, as they are treated as period costs and are expensed in the current period.

The total fixed costs for the month are $250,800 + $103,600 = $354,400, which are not part of the variable costing period cost calculation.

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a customer has requested that lewelling corporation fill a special order for 2,200 units of product s47 for $38 a unit. while the product would be modified slightly for the special order, product s47's normal unit product cost is $16.90: direct materials $ 4.60 direct labor 4.00 variable manufacturing overhead 1.70 fixed manufacturing overhead 6.60 unit product cost $ 16.90 assume that direct labor is a variable cost. the special order would have no effect on the company's total fixed manufacturing overhead costs. the customer would like modifications made to product s47 that would increase the variable costs by $1.90 per unit and that would require an investment of $16,000 in special molds that would have no salvage value. this special order would have no effect on the company's other sales. the company has ample spare capacity for producing the special order. the annual financial advantage (disadvantage) for the company as a result of accepting this special order should be:

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The annual financial advantage for the company as a result of accepting this special order is $82,600.

This is calculated by taking the difference between the unit sales price of $38 and the modified unit product cost of $18.80 (the normal unit product cost of $16.90 plus the $1.90 increase in variable costs) and multiplying it by the number of units (2,200).

This is then minus the investment of $16,000 for the special molds:

Annual financial advantage = (38 - 18.80) x 2,200 - 16,000
                                          = 82,600

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which is not a service for most customers of on-line discount brokerages?

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Option B is correct. For the vast majority of clients of online discount brokerages, investment advice from a financial advisor is not a service.

Self-directed investment services are frequently provided by online discount brokerages, allowing clients to trade stocks, bonds, and other assets without the help of a financial advisor. Although a few online discount brokerages might provide access to financial research or instructional materials, they typically do not offer customized investment recommendations or advice.

Customers, however, may have the choice to pay for advisory services or use a hybrid service that combines online trading with advise from a financial advisor if they need investment advice.

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Complete Question:

Which is not a service for most customers of on-line discount brokerages?

A. Access to investment research

B. Investment advice from a financial advisor

C. Low commission fees for trades

D. Online trading platform

E. 24/7 customer service support

in medical billing and reimbursement, inappropriate practices include providing medically unnecessary services, upcoding and/or unbundling, and billing for a teaching physician who has not seen the patient, to name just a few. what is the best way to explain why these types of billing practices are inappropriate?

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Inappropriate medical billing and reimbursement practices include providing medically unnecessary services, upcoding and/or unbundling, and billing for a teaching physician who has not seen the patient.

These types of practices are inappropriate because they do not reflect the true cost of care and can lead to overbilling and fraud. Additionally, these practices can also result in patients receiving unnecessary treatments, which could potentially harm their health and waste money.

The best way to explain why these types of billing practices are inappropriate is to emphasize the fact that these practices are not only unethical, but also can lead to negative financial and health consequences. It is important to understand that these types of practices can cause financial harm to both providers and patients, and should be avoided whenever possible.

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in which of the following scenarios would a firm choose to downsize rather than downscope? a. a firm has excess resources after acquiring another firm. b. a firm wants to cut business units that are unrelated to its core business. c. a firm wants to correct managerial mistakes. d. a firm wants to build resources and expand operations.

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A firm would choose to downsize rather than downscope only when a firm has excess resources after acquiring another firm. Option A is the correct answer.

One or two subsidiaries or operational parts of a company may be sold or reorganized as part of a downsizing. Layoffs or a decrease in the workforce are frequently involved. On the other hand, downscoping entails restructuring or selling off parts of the firm that are less important to the core operations without laying off employees or reducing the workforce. When a firm is having trouble with its cash flow and costs, downsizing may be employed.

When the company has to concentrate on its core competencies to acquire a competitive edge, downsizing may be done. Using a downscoping strategy, the parent firm and the spinoff company may frequently increase performance.

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