to american buyers, there is a decrease in the relative price of japanese goods when selected answer will be automatically saved. for keyboard navigation, press up/down arrow keys to select an answer. a the yen appreciates relative to the dollar. b the dollar appreciates relative to the yen. c the inflation rate in the united states is higher than the inflation rate in japan, and there are flexible exchange rates. d the inflation rate in japan is higher than the inflation rate in the united states and there are fixed exchange rates.

Answers

Answer 1

When there are stable exchange rates and Japan's inflation rate is higher than the US inflation rate, the relative price of Japanese goods to American consumers declines. The answer is OPTION D

The solution prices for items purchased with a certain currency can fluctuate when that currency's value changes. Lower effective import prices are the consequence of currency appreciation (when the value rises over time).

While higher import prices are the result of currency depreciation (when the value falls over time). When the value of the dollar increases in relation to the Japanese yen, one dollar may buy more yen. This implies that less US dollars can be purchased with Japanese yen.

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Related Questions

Decision to Discontinue a Product:


On the basis of the following data, the general manager of Featherweight Shoes Inc. Decided to discontinue Children's Shoes because it reduced income from operations by $17,000.


Featherweight Shoes Inc.


Product-Line Income Statement


For the Year Ended April 30, 20Y8


Children's Shoes Men's Shoes Women's Shoes Total


Sales $235,000 $300,000 $500,000 $1,035,000


---------------------- ----------------- -------------------- ---------------


Cost of Goods Sold:


Variable Costs $130,000 $150,000 $220,000 $500,000


Fixed Costs $41,000 $60,000 $120,000 $221,000


---------------------- ----------------- -------------------- ---------------


Total Cost of Goods Sold $171,000 $210,000 $340,000 $721,000


---------------------- ----------------- -------------------- ---------------


Gross Profit $64,000 $90,000 $160,000 $314,000


---------------------- ----------------- -------------------- ---------------


Selling and Administrative Expenses:


Variable Selling and Admin. Expenses $46,000 $45,000 $95,000 $186,000


Fixed Selling and Admin, Expenses $35,000 $20,000 $25,000 $80,000


---------------------- ----------------- -------------------- ---------------


Total Selling and Admin. Expenses $81,000 $65,000 $120,000 $266,000


---------------------- ----------------- -------------------- ---------------


Income (Loss) from Operations $(17,000) $25,000 $40,000 $48,000


============= ========== ============ =========


Required:


1. Prepare a differential analysis to determine the flaw in the general manager's decision.


If an amount is zero, enter "0". Use minus sign to indicate a loss.


Differential Analysis


Continue (Alternative 1) or (Discontinue (Alternative 2) Children's Shoes


Continue Children's Shoes Discontinue Children's Shoes Differential Effect on Income


(Alternative 1) (Alternative 2) (Alternative 2)


Revenues $ $ $


Costs:


Variable Cost of Goods Sold


Variable Selling and Admin. Expenses


Fixed Costs


--------------------------------- ------------------------------------ ----------------------------------


Income (Loss) $ $ $


==================== ====================== =====================


2. What is the flaw in the decision to discontinue Children's Shoes, if it is assumed fixed costs would not be materially affected by the discontinuance?

Answers

a) If the fixed costs would not be materially affected by the discontinuance, then we can deduct the $41,000 from the differential effect on income to arrive at a net differential effect on income of -$64,000.

b) The flaw in the general manager's decision is that the reduction in income from discontinuing Children's Shoes is $64,000 outweighs the savings in variable costs is $130,000.

Looking at the Product-Line Income Statement, we see that Children's Shoes generated $235,000 in sales, and their variable costs (costs that vary with production and sales volume) amounted to $130,000. If Children's Shoes are discontinued, we would lose the $235,000 in revenue, but we would also save $130,000 in variable costs. This results in a differential effect on income of

=> -$105,000 ($235,000 - $130,000).

However, we must also consider the fixed costs of $41,000 associated with Children's Shoes. If the fixed costs would not be materially affected by the discontinuance, then we can deduct the $41,000 from the differential effect on income to arrive at a net differential effect on income of

=> -$64,000 (-$105,000 - $41,000).

This means that discontinuing Children's Shoes would reduce income from operations by $64,000.

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Current sales are $80,000 per year. Advertising expense is $6,500 per year. The owner believes an increase of 10% in advertising over the next 3 years will result in an increase of $8,000 in annual sales. What is the net present value of his decision if he uses 4% as his interest rate?

Answers

Therefore, the net present value of the owner's decision to increase advertising expenditure by 10% over the next 3 years is $42,821.97

To calculate the net present value (NPV) of the decision, we need to first determine the additional sales that will result from increasing the advertising expenditure by 10% over the next 3 years.

The owner believes that the increase in advertising will lead to an increase of $8,000 in annual sales. Therefore, the additional sales over the next 3 years will be:

$8,000 × 3 = $24,000

We can then use the following formula to calculate the net present value:

NPV = (Present Value of Cash Inflows) - (Present Value of Cash Outflows)

In this case, the cash outflows are the additional advertising expenses incurred over the next 3 years. The present value of these cash outflows can be calculated using the following formula:

Present Value = Cash Outflow / (1 + Interest Rate)^n

Where n is the number of years from the present, and the interest rate is the discount rate used to calculate the present value.

In this case, the additional advertising expenses over the next 3 years will be:

$6,500 × 1.1 = $8,143.75

Using an interest rate of 4%, the present value of the cash outflows can be calculated as follows:

Present Value of Cash Outflows = $8,143.75 / (1 + 0.04) + $8,143.75 / (1 + 0.04)^2 + $8,143.75 / (1 + 0.04)^3

= $22,140.39

The cash inflows are the additional sales resulting from the increase in advertising expenditure. We need to calculate the present value of these cash inflows using the same formula as above:

Present Value of Cash Inflows = $24,000 / (1 + 0.04)^1 + $24,000 / (1 + 0.04)^2 + $24,000 / (1 + 0.04)^3

= $64,962.36

Finally, we can calculate the net present value as follows:

NPV = $64,962.36 - $22,140.39

= $42,821.97

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Seth deposits X in an account today in order to fund his retirement. He would like to receive payments of 50 per year, in real terms, at the end of each year for a total of 12 years, with the first payment occurring seven years from now. The inflation rate will be 0. 0% for the next six years and 1. 2% per annum thereafter. The annual effective rate of return is 6. 3%. Calculate X

Answers

Seth needs to deposit $455.99 today to fund his retirement when The annual effective rate of return is 6.3%.

This problem involves calculating the present value of an annuity with a delayed first payment and real payments.

The first step is to calculate the real interest rate by adjusting the nominal rate for inflation using the Fisher equation. The real interest rate for the first six years is 6.3% - 0.0% = 6.3%, and for the subsequent six years, it is 6.3% - 1.2% = 5.1%. The present value of the real annuity is

PV = 50/(1+0.063)⁷ + 50/(1+0.051)⁸ + ... + 50/(1+0.051)¹²

Simplifying this expression yields

PV = 50 * [1/(1+0.063)⁷ + 1/(1+0.051)⁸ + ... + 1/(1+0.051)¹²]

Using a financial calculator or spreadsheet software, the present value of this annuity is approximately $455.99. Therefore, Seth should deposit $455.99 today to fund his retirement.

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5. can be measured only if all special causes have been eliminated and the process is in a state of statistical control. a. measures of central location b. stable process c. customer supplier relations d. measuring process capability

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Measuring process capability can be measured only if all special causes have been eliminated and the process is in a state of statistical control. The correct option is d.

Process capability is the ability of a process to consistently produce output that meets customer specifications. It is typically measured using statistical methods and requires the process to be in a state of statistical control, meaning that all special causes of variation have been eliminated and the process is stable.

Measures of central location, such as mean and median, can be calculated regardless of the process stability. Similarly, stable processes can be observed and monitored even if process capability is not being measured. Customer-supplier relations are an important aspect of quality management but are not directly related to measuring process capability.

Therefore, measuring process capability requires the process to be in a state of statistical control, and all special causes of variation must be eliminated to get accurate results. The correct option is d.

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When a firm experiences economies of scale:group of answer choicesits long-run average total costs increase as output increases.it can take advantage of specialization of resources.has increased monitoring cost and lower team spirit.it runs into bureaucratic red tapeits long-run average total costs remain the same as output increases.

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When a firm experiences economy of scale, it can take advantage of specialization of resources (option B).

This means that the firm can produce more efficiently and at a lower cost per unit as it increases output. However, there may be increased monitoring costs and lower team spirit as the firm becomes larger and more bureaucratic. Despite these challenges, the long-run average total costs remain the same or decrease as output increases.

As the firm's output increases, it is able to utilize specialized resources more efficiently, leading to lower long-run average total costs. In summary, economies of scale allow a firm to benefit from resource specialization, resulting in reduced long-run average total costs as output increases.

Therefore, the correct answer is B. it can take advantage of specialization of resources.

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Question 2 of 20
Noah describes the investment he made as a cross between a stock and a
bond. It offers a high rate of return but is more stable than typical stocks.
This kind of investment is called a
O A. dividend stock
B. government bond
C. preferred stock
D. prospectus

Answers

Noah describes the investment he made as a cross between a stock and a bond. It offers a high rate of return but is more stable than typical stocks. This kind of investment is called a preferred stock. The correct option is c.

Preferred stocks are sometimes called hybrid securities. Preferred stocks are equity securities that share many characteristics with debt instruments. Preferred stock is attractive as it offers higher fixed-income payments than bonds with a lower investment per share. Preferred stock often has a callable feature that allows the issuing corporation to forcibly cancel the outstanding shares for cash.

Corporations that receive dividends on preferred stock can deduct 50% to 65% of the income from their corporate taxes.

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CCL is a container shipping company that provides ocean transportation services between Hong Kong and Rotterdam. The round trip transit time for this route, including the stoppage time at multiple ports along the way, is 8 weeks. After completing a round trip, a vessel spends a negligible amount of time in Hong Kong before going for the next trip. The company offers fixed day weekly service, with one vessel departing Hong Kong every Wednesday. How many vessels does CCL need for the Hong Kong - Rotterdam route? (Choose the option that is closest to the correct answer.)
Group of answer choices
6 vessels
7 vessels
8 vessels
9 vessels
10 vessels
12 vessels

Answers

We need to calculate the total time taken by a vessel to complete one round trip and the frequency of service offered by the company. Then we can find out the number of vessels required for the Hong Kong - Rotterdam route. So, the correct answer is 6 vessels.

How many vessels does CCL need for the Hong Kong - Rotterdam route?

The round trip transit time for the Hong Kong - Rotterdam route is 8 weeks, and the company offers fixed day weekly service, with one vessel departing Hong Kong every Wednesday. Therefore, in 8 weeks, 8 voyages will take place, as there are 7 days in a week and one vessel departs every week. So, one vessel takes 8 weeks to complete one round trip.

Therefore, to have continuous weekly service, we need at least two vessels, as while one vessel is on the trip, the other vessel can depart on the next Wednesday. Therefore, CCL needs at least two vessels for the Hong Kong - Rotterdam route, but the closest option is 6 vessels. So, the correct answer is 6 vessels.

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blunt county needs $700,000 from property tax to meet its budget. the total value of assessed property in blunt is $110,000,000. what is the tax rate of blunt? (round to the nearest ten thousandth. express the rate in mills.)

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If the total value of assessed property in blunt is $110,000,000, the tax rate for Blunt county is 0.00636 mills.

To calculate the tax rate of Blunt county, we need to divide the amount needed from property tax ($700,000) by the total assessed value of property in Blunt county ($110,000,000). We can then convert this result into mills, which is a common way of expressing tax rates.

Tax rate = ($700,000 / $110,000,000) * 1,000

Tax rate = 0.00636 mills

This means that property owners in Blunt county will be required to pay $0.00636 for every dollar of assessed value of their property. For example, a property with an assessed value of $100,000 would be taxed at a rate of $636 per year.

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which of the following statements regarding technical and fundamental analysis is true? a. fundamental analysis is based on supply and demand. b. in fundamental analysis, future cash flows are projected by analyzing a firm's financial statements. c. technical analysis values securities based on expected future cash flows d. technical analysis requires an evaluation of macroeconomic conditions.

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In fundamental analysis, future cash flows are projected by analyzing a firm's financial statements is true regarding technical and fundamental analysis. The correct statement is (b)

Fundamental analysis is a method of evaluating the intrinsic value of an asset by analyzing a variety of factors, such as financial and economic data, industry conditions, and management quality.

This analysis is focused on the company's underlying financial and economic factors, including sales, earnings, assets, liabilities, and growth prospects. The primary goal of fundamental analysis is to determine the value of a security or asset, and then compare that value to the current market price.

On the other hand, technical analysis is a method of evaluating securities by analyzing statistics generated by market activity, such as past prices and volume.

Technical analysts believe that historical price movements can be used to identify patterns and trends, which can then be used to make future predictions. Technical analysis does not rely on fundamental data or financial statements, but rather focuses on charts and other technical indicators to evaluate the market.

In summary, fundamental analysis focuses on financial statements and economic factors to determine the value of an asset, while technical analysis uses market data to identify trends and patterns.

The correct statement is (b).

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burger barn has been named as a plaintiff in a $5 million lawsuit filed by a customer over the addictive nature of the company's burgers. burger barn's attorneys have advised them that the likelihood of a future obligation from the suit is remote. what should burger barn do as a result of the information that is available?multiple choicedisclose the lawsuit in the notes to the financial statementsrecognize a $5 million liability on its balance sheet for the contingencyignore the lawsuit in its financial statementssettle with the customer immediately for $5 million to avoid harmful publicity

Answers

Burger Barn's attorneys have advised them that the likelihood of a future obligation from the lawsuit is remote. This means that there is a low probability that Burger Barn will have to pay the $5 million lawsuit.

Therefore, it would be inappropriate to recognize a $5 million liability on its balance sheet for the contingency. Ignoring the lawsuit in its financial statements is also not recommended as it may be seen as misleading to stakeholders. The best course of action for Burger Barn would be to disclose the lawsuit in the notes to the financial statements. This will ensure that stakeholders are informed about the potential liability and can make informed decisions about the company's financial position.

It is important for Burger Barn to be transparent about the situation and keep stakeholders informed. Settling with the customer immediately for $5 million to avoid harmful publicity may seem like a quick solution, but it may not be the best one. If the likelihood of a future obligation from the lawsuit is remote, then settling for such a large amount may not be necessary. Additionally, settling may set a precedent for future lawsuits and could be seen as an admission of guilt.

In summary, Burger Barn should disclose the lawsuit in the notes to the financial statements and keep stakeholders informed. It is important for the company to be transparent about the situation while also protecting its financial position.

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The grouping of related activities into units is called______.a. coordinationb. division of laborc. unity of command and directiond. departmentalization

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The grouping of related activities into units is called departmentalization.

Departmentalization is the process of grouping activities or tasks into units based on their function, product, customer, process or geographic location. It is a fundamental element of organizational design and involves creating specialized units within a larger organization, each with its own set of responsibilities and objectives.

The choice of departmentalization depends on various factors such as the size and complexity of the organization, the nature of its products or services, and the markets it serves. Effective departmentalization can improve organizational efficiency, facilitate communication and coordination, and enhance the organization's ability to adapt to changing conditions.

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Unemployment that results because the number of jobs available in some labor markets may be insufficient to give a job to everyone who wants one is called:.

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Unemployment that results because the number of jobs available in some labor markets may be insufficient to give a job to everyone who wants one is called structural unemployment.

This type of unemployment occurs due to a mismatch between the skills and qualifications of the available workforce and the job requirements of the available positions.For example, as technology advances, some jobs become obsolete while new jobs emerge that require different skills and qualifications.

Workers who lack the necessary skills and qualifications for the new jobs may find themselves unemployed, creating a structural mismatch between the available jobs and the available workforce.Structural unemployment can also arise due to geographic factors, such as when there are more job opportunities in one region than another. In this case, workers who are unable or unwilling to relocate may be unable to find employment in their local area.

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Citibank need to borrow $1 million for 6 months starting in 2 years. Citibank is concerned about the interest rate would like to lock in the interest rate it pays by going long an FRA with Bank of America. The FRA specifies that Citibank will borrow at a fixed rate of 0. 03 for 6 months on $1 million in 2 years. If the 6 months LIBOR rate proves to be 0. 1. Then to settle the FRA, what is the cash flow to Citibank at the end of 2 years

Answers

The FRA between Citibank and Bank of America is a contract where Citibank agrees to borrow $1 million at a fixed rate of 0.03 for 6 months starting in 2 years. If the 6 months LIBOR rate at the end of 2 years is 0.1, then Citibank will receive a cash flow of $35000 from Bank of America to compensate for the difference between the fixed rate and the actual market rate.

To calculate the cash flow, we need to determine the settlement amount of the FRA. The settlement amount is calculated as:

Settlement Amount = Notional Amount x (Actual Rate - Agreed Rate) x (Day Count / 360)

Where:

Notional Amount = $1 million
Actual Rate = 0.1 (6 months LIBOR rate)
Agreed Rate = 0.03 (Fixed rate in the FRA contract)
Day Count = 180 (Number of days in 6 months)

Substituting the values in the formula, we get:

Settlement Amount = $1 million x (0.1 - 0.03) x (180 / 360)
Settlement Amount = $35,000

Therefore, Citibank will receive $35,000 from Bank of America at the end of 2 years to settle the FRA. This cash flow will help Citibank to lock in the interest rate and mitigate the risk of fluctuating interest rates in the market.

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A magazine provided results from a poll of 500 adults who were asked to identify their favorite pie. Among the 500 ​respondents, 12 ​% chose chocolate​ pie, and the margin of error was given as plus or minus 5 percentage points. What values do Modify

Answers

Based on the poll results and the margin of error, we can estimate that the true number of adults who prefer chocolate pie lies between 35 and 85 respondents, or 7% to 17% of the total respondents.

Let's break down the information provided and analyze the results of the poll.

The poll included 500 adult respondents. Among them, 12% chose chocolate pie as their favorite. With a margin of error of ±5 percentage points, we can determine the range within which the true proportion of adults who prefer chocolate pie lies.

Step 1: Calculate the number of respondents who chose chocolate pie.
12% of 500 = 0.12 x 500 = 60 respondents

Step 2: Determine the lower and upper bounds of the margin of error.
Lower Bound: 12% - 5% = 7%
Upper Bound: 12% + 5% = 17%

Step 3: Convert the percentages to actual numbers of respondents.
Lower Bound: 7% of 500 = 0.07 x 500 = 35 respondents
Upper Bound: 17% of 500 = 0.17 x 500 = 85 respondents

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good company prefers variable to fixed rate debt. bad company prefers fixed to variable rate debt. assume that good and bad companies could issue bonds as follows: given this information: a. an interest rate swap will probably not be advantageous to good company because it can issue both fixed and variable debt at more attractive rates than bad company b. an interest rate swap attractive to both parties could result if good company agreed to provide bad company with variable rate payments at libor 1 percent in exchange for fixed rate payments of 10.5 percent. c. an interest rate swap attractive to both parties could result if bad company agreed to provide good company with variable rate payments at libor 1 percent in exchange for fixed rate payments of 10.5 percents. d. none of the above.

Answers

Option (B). An interest rate swap attractive to both parties could result if good company agreed to provide bad company with variable rate payments at LIBOR 1 percent in exchange for fixed rate payments of 10.5 percent.

         An interest rate swap is a contract in which two parties agree to exchange one stream of future interest payments for another, based on a specified principal amount.

This is because good company can issue fixed-rate debt at 9 percent and variable-rate debt at LIBOR - 0.5 percent, while bad company can issue fixed-rate debt at 11 percent and variable-rate debt at LIBOR + 1 percent. Therefore, good company has a comparative advantage in issuing fixed-rate debt and bad company has a comparative advantage in issuing variable-rate debt.

             By entering into an interest rate swap, good company can effectively borrow at a floating rate of LIBOR - 0.5 percent + 1 percent = LIBOR + 0.5 percent, which is lower than its original floating rate of LIBOR + 1 percent. Similarly, bad company can effectively borrow at a fixed rate of 11 percent - 0.5 percent = 10.5 percent, which is lower than its original fixed rate of 11 percent.

            The net benefit of the swap is 0.5 percent of the principal amount, which can be shared between the two parties according to their negotiation.

The other options are not suitable because:

- A:  Because it can lower its borrowing cost by swapping its fixed-rate payments for variable-rate payments from bad company.

- C: Because this would imply that bad company is paying more than its original borrowing cost and good company is receiving less than its original borrowing cost.

- D: Because option B is correct.

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all of the following are reasons for a narrow span of management except . group of answer choices workers are located far from one another few new problems are expected the manager must do a lot of work other than managing a great deal of interaction between management and workers is needed new problems arise frequently.

Answers

All of the following are reasons for a narrow span of management except few new problems are expected. Therefore, option B is the answer.

A narrow span of management refers to a hierarchical structure in which each manager supervises only a few subordinates. The question is asking for a reason that is not valid for a narrow span of management.

Option B, "few new problems are expected," may actually be a reason for a narrow span of management, as fewer problems can be more easily managed with a smaller group of subordinates. The other options suggest reasons why a narrow span of management may be necessary or desirable.

Option A, "workers are located far from one another," can make communication and supervision more difficult, which may require a wider span of management to ensure effective oversight.

Option D, "a great deal of interaction between management and workers is needed," may also require a wider span of management to allow for more direct communication and interaction between managers and subordinates.

Option C, "the manager must do a lot of work other than managing," may also require a wider span of management if the manager is responsible for a wide range of tasks outside of direct supervision, as this may limit their capacity to effectively manage a large number of subordinates.

Therefore, option B is the answer.

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At Bargain Electronics, it costs $29 per unit ($16 variable and $13 fixed) to make an MP3 player at full capacity that normally sells for $50. A foreign wholesaler offers to buy 3,480 units at $27 each. Bargain Electronics will incur special shipping costs of $1 per unit. Assuming that Bargain Electronics has excess operating capacity, indicate the net income (loss) Bargain Electronics would realize by accepting the special order. (Enter negative amounts using either a negative sign preceding the number e. G. -45 or parentheses e. G. -45. )

Answers

Bargain Electronics would incur a net loss of $66,120 if they accept the special order.

To calculate the net income (loss) of Bargain Electronics, we need to compare the total revenue from the special order with the total cost of fulfilling that order, including the additional shipping costs.

The total revenue from the special order would be:

3,480 units x $27 per unit = $93,960

The total cost of fulfilling the special order would be:

Direct materials cost = 3,480 units x $16 per unit = $55,680

Direct labor cost = 0 (since excess operating capacity is available)

Variable overhead cost = 3,480 units x $16 per unit = $55,680

Fixed overhead cost = 3,480 units x $13 per unit = $45,240

Special shipping cost = 3,480 units x $1 per unit = $3,480

Total cost = $55,680 + $55,680 + $45,240 + $3,480 = $160,080

Therefore, the net loss Bargain Electronics would realize by accepting the special order would be:

Net loss = Total revenue - Total cost = $93,960 - $160,080 = (-$66,120)

So, Bargain Electronics would incur a net loss of $66,120 if they accept the special order.

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Company X provides retailers with products for left-handed consumers. X buys products from a variety of manufacturers and stores the merchandise in its facilities until purchased by small retailers. Company X is an example of:a. Manufacturerb. Wholesalerc. Broker or agentsd. Retailer

Answers

Company X is a b) wholesaler.

Company X is not a manufacturer because it does not produce the left-handed products themselves. Instead, it buys the products from various manufacturers. It is not a broker or agent because it takes possession of the merchandise and stores it in its own facilities.

Finally, it is not a retailer because it does not sell the products directly to consumers. Instead, Company X sells the products to small retailers who will then sell the products to the end consumer.

Therefore, Company X fits the definition of a wholesaler - a business that purchases goods in large quantities from manufacturers and sells them to retailers.

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What benchmark is used for standard pace?What advantages does the continuous method of watch recordingoffer over the snapback method?Why are allowances applied to the normal time?topic: Ergonomic

Answers

The benchmark used for standard pace is typically 120 steps per minute. The continuous method of watch recording offers advantages over the snapback method, such as more accurate measurements and less interruption.

Standard pace benchmark: The standard pace benchmark is typically set at 120 steps per minute for ergonomic purposes. This pace is considered to be the most efficient and effective for normal walking and reduces the risk of musculoskeletal disorders.

Continuous watch recording: The continuous method of watch recording involves measuring the time taken to complete a task continuously, without stopping the watch. This method is more accurate than the snapback method as it records the actual time taken for a task, without interruptions.

Snapback watch recording: The snapback method involves stopping and starting the watch during a task. This method is less accurate than the continuous method as it can result in missed time and interruptions that affect the accuracy of the measurement.

Allowances for normal time: Allowances are applied to the normal time to account for factors such as fatigue, rest breaks, and other factors that may affect the pace of work. These allowances ensure that the standard pace is maintained consistently throughout the workday and reduce the risk of ergonomic injuries.

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Ruth was a server at a fancy restaurant. She took the order of two customers, Tom and Jerry, for steak and lobster dinners. Ruth went back to the kitchen, delivering the order to the chef. What type of contract has been formed in this case? a. Express contract b. Voidable contract c. Quasi-contract d. Implied contract

Answers

In this case, Ruth was a server at a fancy restaurant and took the order of two customers, Tom and Jerry, for steak and lobster dinners. She then delivered the order to the chef.

The type of contract that has been formed in this case is an implied contract.

An implied contract is a legally enforceable agreement that is created by the conduct of the parties involved, rather than through explicit written or verbal agreements. In this situation, Ruth taking the order from Tom and Jerry and delivering it to the chef is an indication that there is an agreement between the restaurant and the customers to provide them with the requested meals. This is in contrast to an express contract, which would involve a clear and direct agreement between the parties, usually in writing or through verbal communication.

A voidable contract is a type of agreement that can be legally voided by one of the parties due to certain reasons, such as misrepresentation or a lack of capacity to enter into the contract. In this case, there is no indication of any such issues, so the contract is not voidable.

A quasi-contract is a legal concept used to impose an obligation on one party to pay another for goods or services, even when no contract exists between them. This is not applicable in this scenario, as an implied contract has been formed through the actions of Ruth, Tom, and Jerry.

In summary, the contract formed in this case is an implied contract, as it was created through the conduct of the parties involved, without any explicit written or verbal agreement.

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Suppose a cohort of 25,000 people become unemployed. You are told that the job finding rate for this group depends on the elapsed duration of the unemployment spell as follows: Job Finding Rate Spell Duration (months) 1 2 3 4 5 0. 60 0. 20 0. 20 0. 20 0. 20 0. 10 6

a) Explain in economic terms why the job finding rate might decline with spell duration. B) Calculate how many unemployment months this cohort will experience in total. C) Compute the fraction of (out of 25,000) who will be "long-term" unemployed, here defined as having unemployment spells of 5 months or longer. D) What fraction of unemployment months do this long-term unemployed group account for? e) For this cohort, does the "unemployment problem" seem to be too many job losses or too many long spells?

Answers

a) The job finding rate might decline with spell duration because as time goes on, the pool of available jobs may become smaller, as some jobs may have been filled by other job seekers or may have been eliminated. Additionally, employers may be more hesitant to hire someone who has been unemployed for a longer period of time, as they may perceive them as less motivated or less skilled than someone who has been employed more recently.

b) To calculate the total number of unemployment months this cohort will experience, we need to multiply the number of people in the cohort by the job finding rate for each spell duration, and sum across all spell durations. Using the information given, we can calculate:
- For spell duration 0: 25,000 x 0.60 = 15,000 employed, 10,000 unemployed
- For spell duration 1: 10,000 x 0.20 = 2,000 employed, 8,000 unemployed
- For spell duration 2: 8,000 x 0.20 = 1,600 employed, 6,400 unemployed
- For spell duration 3: 6,400 x 0.20 = 1,280 employed, 5,120 unemployed
- For spell duration 4: 5,120 x 0.20 = 1,024 employed, 4,096 unemployed
- For spell duration 5: 4,096 x 0.10 = 410 employed, 3,686 unemployed
- For spell duration 6: 3,686 x 0 = 0 employed, 3,686 unemployed

Therefore, the total number of unemployment months this cohort will experience is:
10,000 + 8,000 + 6,400 + 5,120 + 4,096 + 3,686 + 3,686 = 41,988

c) To compute the fraction of the cohort who will be "long-term" unemployed, we need to add up the number of people who have been unemployed for 5 months or longer. Using the information given, we can calculate:
- For spell duration 5: 4,096 x 0.10 = 410 employed, 3,686 unemployed
- For spell duration 6: 3,686 x 1.00 = 0 employed, 3,686 unemployed

Therefore, the fraction of the cohort who will be "long-term" unemployed is:
(3,686 + 0) / 25,000 = 0.1474 or approximately 14.74%

d) To calculate the fraction of unemployment months that the long-term unemployed group accounts for, we need to divide the total number of unemployment months for the long-term unemployed group by the total number of unemployment months for the entire cohort. Using the information given, we can calculate:
- For spell duration 5: 3,686 unemployment months
- For spell duration 6: 3,686 unemployment months

Therefore, the total number of unemployment months for the long-term unemployed group is:
3,686 + 3,686 = 7,372

The fraction of unemployment months that the long-term unemployed group accounts for is:
7,372 / 41,988 = 0.1753 or approximately 17.53%

e) For this cohort, the "unemployment problem" seems to be too many long spells, as the majority of the unemployment months are accounted for by those who have been unemployed for 5 months or longer. This suggests that policies aimed at addressing long-term unemployment, such as job training programs, wage subsidies, and targeted job search assistance, may be particularly effective in reducing unemployment in this cohort.

On November 2, 2018, a U. S. -based company with the $US as its functional currency entered into a 90-day futures contract to purchase 90,000 Swiss francs when the contract quote was $1. 10. The purchase was for speculation in price movement. The following exchange rates existed during the contract period: 30 Day FuturesSpot Rate November 2, 2018$1. 04$1. 05 December 31, 2018$1. 06$1. 08 January 31, 2019$1. 07$1. 09 What amount should the U. S. -based company report as foreign currency exchange loss in its income statement for the year ended December 31, 2018

Answers

Answer: $3,000

Explanation: The US-based company should report a foreign currency exchange loss of $3,000 on its income statement for the year ended December 31, 2018.

Here's how to calculate it:

- The company entered into a 90-day futures contract to purchase 90,000 Swiss Francs on November 2, 2018, when the contract quote was $1.10.

- The company was speculating on the price movement of the Swiss Franc.

- There were three exchange rates that existed during the contract:

 - 30-day future spot rate on November 2, 2018, was $0.041

 - 60-day future spot rate on December 2, 2018, was $0.051

 - 90-day future spot rate on January 31, 2019, was $0.071

- The company's contract expired on January 31, 2019, which means that it had to purchase the Swiss Francs at the prevailing spot rate on that day.

- To calculate the foreign currency exchange loss, we need to compare the contract rate with the prevailing spot rate on January 31, 2019.

- The contract rate was $1.10, which means that the company agreed to purchase 90,000 Swiss Francs for $99,000.

- The prevailing spot rate on January 31, 2019, was $0.071, which means that the company had to pay $6,390 to purchase the 90,000 Swiss Francs.

- The difference between these two amounts is the foreign currency exchange loss: $99,000 - $6,390 = $92,610.

- However, the company only held the contract for 90 days, which means that it only held the contract during November and December 2018.

- To calculate the foreign currency exchange loss for the year ended December 31, 2018, we need to calculate the difference between the contract rate and the spot rate on December 2, 2018, which is $1.10 - $0.051 = $1.049.

- The company agreed to purchase 90,000 Swiss Francs for $99,000, so the notional amount of the contract was $99,000.

- The foreign currency exchange loss for the year ended December 31, 2018, is the notional amount of the contract times the difference between the contract rate and the spot rate on December 2, 2018

Where can you see the number of tags and tag group created

Answers

The number of tags and tag groups created is Banking > Tags.

To see the number of tags and tag groups created in Quickbooks Online, you need to go to the Gear icon, which is located in the top right corner of the screen. Then click on Account and settings. From there, you can select either Expenses or Sales, depending on where you have created your tags. For Expenses, you would click on Bills and expenses, while for Sales, you would click on Sales form content.

Once you have selected either option, you can then click on the Tags tab, and you will be able to see the number of tags and tag groups you have created. Additionally, you can also view your tags by going to the Banking or Sales sections of Quickbooks Online and selecting the Tags option from the menu. This will allow you to easily manage and organize your transactions by assigning them to specific tags or tag groups. The correct option is Banking>Tags.

The complete question is:

Where can you see the number of tags and tag groups created? Quickbooks online

Gear icon > Account and settings > Expenses > Bills and expenses > Tags

Gear icon > Account and settings > Sales > Sales form content > Tags

Banking > Tags

Sales > Tags

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Note that common tasks are listed toward the top, and less common tasks are listed toward the bottom. According to O*NET, what are some common tasks Air Traffic Controllers perform? Check all that apply.



steering and navigating aircrafts


monitoring or directing the movement of aircraft within an airspace or on the ground


issuing landing and takeoff authorizations or instructions


providing flight path changes or directions to emergency landing fields


inspecting aircrafts for conformance to safety standards and regulations


informing pilots about nearby planes or potentially hazardous conditions

Answers

According to O*NET, Air Traffic Controllers perform several common tasks related to the safe and efficient management of air traffic. These tasks are listed toward the top of their job description as they are essential to the role.

Some of the common tasks that Air Traffic Controllers perform include monitoring or directing the movement of aircraft within an airspace or on the ground, issuing landing and takeoff authorizations or instructions, providing flight path changes or directions to emergency landing fields, and informing pilots about nearby planes or potentially hazardous conditions. These tasks involve constant communication with pilots and other air traffic personnel to ensure that all flights operate safely and efficiently.

Another common task of Air Traffic Controllers is steering and navigating aircraft. They are responsible for providing pilots with information on the best routes to take and helping them avoid potential hazards. They also need to be familiar with various weather conditions and how they can impact air traffic. Additionally, Air Traffic Controllers inspect aircrafts for conformance to safety standards and regulations. They ensure that all aircrafts meet safety regulations before they take off and report any discrepancies to maintenance personnel.

Overall, the common tasks of Air Traffic Controllers are critical to the safety and efficiency of air travel. They require excellent communication and decision-making skills, as well as attention to detail and the ability to work well under pressure. Air Traffic Controllers play a vital role in ensuring that air travel remains safe and efficient, and their work is essential to the functioning of the aviation industry.

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Answer:

It’s B,C,D,F.

Explanation:

your welcome

The owner of a bike shop would like to analyze the sales data to determine if the business is growing, declining, or remaining flat. The owner has the following data:

Sales Revenue Last Year =$125,000

Sales Revenue Current Year = $150, 000

What is the Sales Growth?

Do not forget to type the % symbol after multiplying your result by 100 to convert to percentage!

Hint: Your answer will NOT have decimal point.

Example: 75%

Answers

The sales growth is 20%.

To calculate the sales growth, you can use the following formula:

(Sales Revenue Current Year - Sales Revenue Last Year) / Sales Revenue Last Year x 100%

Plugging in the numbers, we get:

($150,000 - $125,000) / $125,000 x 100% = 20%

Therefore, the sales growth is 20%.
To calculate the Sales Growth, we need to find the difference between the Sales Revenue Current Year and Sales Revenue Last Year, divide that difference by Sales Revenue Last Year, and then multiply by 100 to convert to a percentage:

Sales Growth = (Sales Revenue Current Year - Sales Revenue Last Year) / Sales Revenue Last Year × 100%
Sales Growth = ($150,000 - $125,000) / $125,000 × 100%
Sales Growth = $25,000 / $125,000 × 100%
Sales Growth = 0.2 × 100%
Sales Growth = 20%

Therefore, the Sales Growth is 20%.

An antigrowth view would be that there may be a significant tradeoff between productivity and: a. education. b. employment. c. economies of scale. d. the quality of life.

Answers

An antigrowth view would suggest that there may be a significant tradeoff between productivity and the quality of life. Therefore, the correct answer is "D".

This view holds that economic growth, as measured by increases in gross domestic product (GDP), can lead to negative social and environmental consequences, such as increased pollution, depletion of natural resources, and inequality.

Proponents of the antigrowth view argue that society should prioritize environmental sustainability, social justice, and quality of life over economic growth, and that efforts should be made to reduce consumption, increase efficiency, and promote alternative measures of progress and well-being that go beyond GDP. Therefore, the correct answer is "D".

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which of the following is an example of a retail business? a. modular homebuilder b. book publisher c. hospital d. supermarket

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Supermarket is an example of a retail business. Convenience stores, specialty stores, supermarkets, drug stores, eCommerce stores, and discount stores are some examples.

A retail firm sells things and services in small numbers to clients in-store or online. Retail includes supermarket, clothes, and medicine businesses. Retail stores play an important part in the lives of modern people. Retailers provide consumers with global access to a diverse range of products and services. The retail industry contributes to the country's economy by creating new jobs.

Customers' convenience is important in the retail business. Retailers provide consumers with ready-to-consume items and enable them to obtain all they want for a happy life. Customers do not have to wait long. They can go to a supermarket, clothes, convenience, or medicine store to get the items they require right away. Furthermore, retailers frequently offer delivery to the customer's door.

Option D is the correct answer.

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Javier and Anita Sanchez purchased a home on January 1 of year 1 for $1,000,000 by paying $200,000 down and borrowing the remaining $800,000 with a 6 percent loan secured by the home. The Sanchezes made interest-only payments on the loan in years 1 and 2. (Leave no answer blank. Enter zero if applicable. ) Problem 14-46 Part a a. Assuming year 1 is 2017, how much interest would the Sanchezes deduct in year 2?

Answers

Sanchezes would be able to deduct $48,000 interest in 2 years.

Based on the information provided, Javier and Anita Sanchez purchased a home for $1,000,000, paying a $200,000 down payment and borrowing $800,000 with a 6% loan. They made interest-only payments in years 1 and 2.

To determine how much interest the Sanchezes would deduct in year 2, we need to calculate the interest they paid on their loan for that year. Since their loan is a 6% interest-only loan, we can calculate the interest as follows:

1. Find the annual interest rate: 6% of the borrowed amount
2. Calculate the interest for year 2: 0.06 * $800,000

Now, let's perform these calculations:

1. 0.06 * $800,000 = $48,000

So, the Sanchezes paid $48,000 in interest during year 2. Assuming there are no changes in tax laws, the Sanchezes would be able to deduct the full $48,000 in interest in year 2.

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The secondary market for corporate stock is closely watched because stock market movements are sometimes seen as

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Due to the perception that stock market trends may be used to forecast future economic activity, the secondary market for company shares is frequently monitored.

The secondary market, which is similar to stock exchanges, is where investors purchase and sell securities from other investors. For instance, if you wanted to purchase Apple shares, you would do it via investors who already held it, rather than directly from Apple. Investors trade with one another rather than the issuing business in secondary markets.

The secondary market moves securities' prices in the direction of their true worth through a huge network of separate but related exchanges. The two main categories of secondary markets are over-the-counter marketplaces and stock exchanges. Stock exchanges are centralised marketplaces where trading in securities occurs without any interaction between the buyer and seller.

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What bankruptcy provision has the bank chosen?



Daniel’s company suffers from losses and eventually files for bankruptcy. Since Daniel’s company deals in artifacts, the bank decides to opt for the


(BLANK) provision for bankruptcy. Through this provision, the company decides to auction the goods and recover a portion of the debt

Answers

The bank has chosen the liquidation provision for bankruptcy.

What bankruptcy provision did the bank choose for the company?

The bank opted for liquidation provision for Daniel's artifact company which involves the sale of all assets to pay off creditors. In this case, the company will auction off its artifacts to recover some of the debt owed to the bank.

The provision is often used when a company is unable to restructure its operations and is no longer viable. While the provision may result in a lower recovery for creditors compared to other provisions, it allows for a quick resolution of the bankruptcy proceedings.

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