The Departmental overhead rate method uses a three-step process where costs are assigned to cost pools in the first step and overhead is allocated to cost objects in the last step, this statement is true.
There are numerous methods to assign overhead to products or other cost objects. Departmental overhead rate is one of those methods.
It's frequently used by businesses that make a wide variety of goods that need significantly different support activities. The departmental overhead rate is calculated by dividing the overhead assigned to a department by the department's estimated base.
This technique improves the precision of product costs by using various overhead rates for different departments. The overhead costs are allocated to the cost pool according to the percentage of a pool's total costs incurred by each department.
In the last step, the overhead costs are allocated to the cost object. The following is the process involved in the Departmental overhead rate method:
Step 1: Identify the departments and the cost pools where overhead costs will be assigned.
Step 2: For each department, estimate the total cost in each cost pool.
Step 3: Calculate the overhead rate for each department and for each cost pool. The overhead rate is calculated by dividing the overhead cost assigned to each cost pool by the cost driver amount.
Step 4: Assign the overhead costs to each department and cost pool based on the estimated activity driver usage in each department.
Step 5: Assign overhead costs to each cost object by multiplying the overhead rate by the amount of the activity driver used by each cost object in each department.
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what is an important factor to consider when choosing a lifetime physical activity? responses cost cost efficacy efficacy competition competition all of the above
While selecting a lifetime physical activity, all of the above variables - cost, cost efficacy, and competition - must be considered. Cost is an important consideration since it influences .
the activity's accessibility and long-term viability. It is critical to select an activity that works within your budget so that you do not abandon it due to budgetary restraints. Cost effectiveness is also crucial since you want to ensure that you're getting the most out of your time and resources. Thirdly, competition might have an influence on your satisfaction and drive to continue participating in an activity. Picking an activity that you love and can participate in without feeling frightened or overwhelmed will help you remain with it over time.
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according to sarbanes-oxley, accountants performing an audit or review must maintain all engagement documentation for a period of a) 2 years. b) 3 years. c) 5 years. d) 7 years.
The correct answer is D) 7 years. According to the Sarbanes-Oxley Act of 2002, which is a federal law that aims to protect investors from fraudulent accounting practices by public companies,
accountants performing an audit or review of a public company’s financial statements must retain all audit or review work papers for a period of seven years after the conclusion of the audit or review. This requirement is intended to ensure that the audit or review documentation is available for inspection by regulators, investigators, or litigants in case of any disputes or allegations of misconduct. Failure to comply with this requirement can result in civil or criminal penalties for the accountants or their firms.
Benefits:
Increased investor confidence: The Sarbanes-Oxley Act aims to protect investors from fraudulent accounting and financial practices by public companies. By requiring more transparency, accountability, and oversight of corporate governance and financial reporting, the Act enhances the reliability and credibility of financial information and reduces the risk of fraud and misstatements.
Improved internal controls: The Sarbanes-Oxley Act requires public companies to assess and report on the effectiveness of their internal control over financial reporting, and to obtain an attestation from their external auditors on the same. This helps public companies to identify and correct any weaknesses or deficiencies in their internal control systems, and to prevent or detect any errors or irregularities in their financial statements.
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suppose that a pizza vendor at a basketball game can sell 3,000 slices of pizza per night at a price of $3 per slice. if the vendor raises the price to $4 per slice, the number of slices sold falls to 2,000. based on this information, the price elasticity of demand using the is?
The price elasticity of demand for pizza at a basketball game is -0.33, indicating that the demand for pizza is inelastic. A 33% increase in price led to a 33.3% decrease in the quantity demanded
The price elasticity of demand for pizza is -0.33. This number is calculated by taking the percentage change in quantity demanded divided by the percentage change in price. In this case, the price increased from $3 to $4, which is a 33% increase. The quantity demanded fell from 3,000 to 2,000 slices, which is a 33.3% decrease. Dividing the percentage change in quantity by the percentage change in price gives us -0.33.
This number can tell us that the demand for pizza is relatively inelastic. This means that a change in price has a relatively small impact on the amount of pizza purchased. For example, a 33% increase in price led to a 33.3% decrease in quantity demanded, which is not a large change.
In addition, the price elasticity of demand for pizza at a basketball game is likely to be inelastic. People usually come to these games with the intention of purchasing snacks, so even a higher price is unlikely to change their demand for pizza.
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which of the following is an example of fixed formula status reporting? seleccione una: a. 30%/70% rule b. getting status updates from the project team c. the project manager updating the status reports quantitatively d. pv multiplied by % complete
The fixed formula status reporting is denoted by d) PV multiplied by % complete.
Fixed formula status reporting is a method of monitoring a project's progress by calculating what should have been achieved and comparing it to what has been accomplished. It requires the application of certain calculations that should be carried out in a specified manner for each report.It involves the use of formulas that can compute expected outcomes, monitor actual performance, and calculate deviations from the schedule, as well as their impacts on the overall schedule.For instance, PV multiplied by % complete denotes fixed formula status reporting.Therefore, the final answer option is d.Learn more about PV multiplied by % complete: https://brainly.com/question/20813161
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under the equity method, which of the following does not cause a decrease in the investment account? select one: a. the losses of the investee b. dividends paid by the investee c. declines in the fair value of the investment d. all of the choices would decrease the investment account previoussave answersfinish attempt ...
The statement that does not cause a decrease in the investment account under the equity method is dividends paid by the investee. Thus, the correct answer is 'b. dividends paid by the investee'.
The equity method is the accounting technique used to account for investments where the investor possesses significant influence over the investee company. The method involves recording the initial investment as an asset on the balance sheet, and then recognizing a portion of the profits and losses of the investee company in the investor’s income statement.
In the equity method of accounting, dividends received are considered a return on investment (ROI) rather than a reduction of the investment account balance.
Therefore, the payment of dividends does not decrease the investment account balance. Only the realization of losses or declines in the fair value of the investment and losses of the investee would decrease the investment account balance. Thus, option b. dividends paid by the investee does not cause a decrease in the investment account.
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a salesperson purchases the deli's specialty sandwich one day, and a mechanic purchases the deli's specialty sandwich the next day. how would you classify these events? g
The given scenario of the salesperson purchasing the deli's specialty sandwich one day and a mechanic purchasing the deli's specialty sandwich the next day can be classified as two different events in the domain of statistics.
In statistical terms, an event refers to the specific outcome of a random experiment or sample space of an experiment. It can be a simple event or a compound event, depending on its occurrence. The classification of events depends on the following criteria:
Single or multiple occurrences of an event
Independent or dependent occurrence of an event
Mutually exclusive or overlapping event
In the given scenario, the two events of purchasing the deli's specialty sandwich by two different individuals are independent of each other.
As both events are unrelated, and there are no common outcomes between them, they can be classified as two independent events in the domain of statistics.
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What is a primary difference between business and consumer buyers?
a. Consumer buyers require more product information than business buyers.
b. Business purchases are made by one individual whereas families make consumer purchases together.
c. Repeat sales are more common with consumer buyers than business buyers.
d. Consumers primarily buy inexpensive items; businesses only buy expensive items.
e. Business buyers generally make larger orders than consumer buyers.
The biggest difference between corporate and consumer purchasers is that business buyers frequently place larger purchases.
A business buyer of a firm could be an individual, a group of individuals, an institutional investor, a corporation operating in your industry or one closely related to it, or even a competitive company. Each of them has unique traits, objectives, working methods, and financial resources. Consumer buying behavior describes the steps consumers take before making a purchase of a commodity or service, both online and offline. This strategy could entail using search engines for research, taking part in online forums, and a number of other things. Consumer behavior is the result of a consumer's opinions, preferences, intentions, and judgments surrounding their market-based purchasing behavior.
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a company has $150,000 of credit sales during the year and estimates that $1,000 of its accounts receivable will be uncollectible. the adjusting entry will include a credit to: multiple choice question. allowance for doubtful accounts no adjusting entry is needed allowance for bad debts bad debts expense
The adjusting entry for the estimated uncollectible accounts is a credit to the allowance for doubtful accounts.
The allowance for doubtful accounts is a contra-asset account that is used to estimate the amount of accounts receivable that will not be collected. When a company sells products or services on credit, it creates accounts receivable, which represents the amount of money that customers owe the company.
However, not all customers will pay their bills, which is why companies need to estimate the amount of accounts receivable that will become uncollectible.
To estimate the amount of uncollectible accounts, a company can use the percentage of sales method or the aging of accounts receivable method. Once the estimated amount of uncollectible accounts is determined, an adjusting entry is made to debit the bad debts expense account and credit the allowance for doubtful accounts account.
This reduces the accounts receivable account to its net realizable value, which is the amount of money that the company expects to receive from its customers.
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evidence suggests that acquisitions usually lead to favorable financial outcomes, especially for the acquiring firm. true false
The evidence that suggests that acquisitions usually lead to favorable financial outcomes, especially for the acquiring firm, is true. When a company acquires another company, it results in several financial benefits.
However, these benefits might not always be guaranteed. Acquisitions might result in a decrease in the value of a company's stock and might also cause additional burdens and costs for the acquiring company.
What is the acquisition?
An acquisition is the process of acquiring or obtaining something, especially when it is a company or a business. An acquisition occurs when one firm purchases another firm, and the purchasing firm becomes the legal owner of the acquired firm's assets, equity, and operations.
An acquisition may be a strategic move by a company to expand its market reach or product offerings, and it is often done to improve the company's financial situation.
A successful acquisition can result in the following benefits:
Increased profits and revenue streams
Reduced competition
Economies of scale and scope
Diversification of products and services
Improved financial performance
Reduced costs
Improved efficiency and productivity
A successful acquisition can also provide additional intangible benefits like improved brand reputation, access to new markets, and additional management expertise.
What are the consequences of an unsuccessful acquisition?
An unsuccessful acquisition can lead to a variety of negative consequences. The most common ones include:
Increased competition for the company
Additional financial burdens
Loss of customer confidence
Reduced sales and revenue streams
Reduced market share and business value
Decreased employee morale and motivation
Increased employee turnover
It is important to note that acquisitions may not always lead to favorable financial outcomes.
There are many reasons why an acquisition may fail. Therefore, before considering an acquisition, a company should perform a thorough evaluation of the potential benefits and risks involved.
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assume that the economy is in long-run equilibrium. a shift in the aggregate demand curve will change (a) only the price level in the long run (b) only the output level in the long run (c) both the price level and the output level in the long run (d) neither the price level nor the output level in the short run (e) only the price level in the short run and only the output level in the long run
Suppose that long-term equilibrium exists in the economy. In the long run, a change in the aggregate demand curve will only affect the price level.
What does a demand curve mean?This is a result of the law of demand, which stipulates that there must be an inverse relationship between an item or service's price and demand. Quantity demanded decreases as price increases, and increases as price decreases.
What else is the demand curve known as?Demand schedule is another name for a demand curve. That is the quantity requested for each price. When the price is plotted on the y-axis and the amount demanded is plotted on the x-axis, it slopes downward.
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a stock just paid a dividend of $5, and dividends will increase by 10% every year. its required rate of return is 19%. what is the value of the stock?
The value of the stock is $61.11.
To calculate the value of a stock with a dividend payment of $5 and a 10% increase every year and a required rate of return of 19%, you need to use the formula for the dividend discount model.
The formula for the dividend discount model is:
P0 = D1 / (r - g), where: P0 = price of the stock, D1 = dividend payment in year 1, r = required rate of returning = dividend growth rate.
Substitute the given values into the formula:
P0 = $5 x (1 + 10%) / (19% - 10%)
P0 = $5.50 / 9%
P0 = $61.11
Therefore, the value of the stock is $61.11.
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a company purchased equipment on january 1, 2022, for $950,000, estimating a five-year service life and $100,000 residual value. in 2022 and 2023, the company depreciated the asset using the double-declining-balance method. in 2024, the company changed to straight-line depreciation for this equipment. what depreciation would the company record for the year 2024 on this equipment?
The organization would record $ 5,200 of depreciation for the year 2024 on this hardware utilizing the straight-line method.
To ascertain the deterioration for 2024, the resource's book esteem should be determined. As of the finish of 2023, the book worth of the resource is determined as follows:
Depreciation rate under double decline method = (100 / 5) X 2 = 40%
Year 1: Depreciation = $380,000 (40% * $950,000)
Year 2: Depreciation = $228,000 (40% * $570,000)
Year 3: Depreciation = $136,800 (40% * $342,000)
Year 4: Book value = $105,200 (205,200 - 100,000)
Year 5: Book value = $100,000 (residual worth)
To ascertain the straight-line depreciation expense for 2024, we should accept the distinction between the book esteem toward the finish of 2023 ($105,200 ) and the leftover worth ($100,000) and partition it by the excess number of long stretches of administration life (1).$100,000 - $105,200 = $5,200$5,200/1 = $5,200.
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esfandairi enterprises is considering a new three-year expansion project that requires an initial fixed asset investment of $2,710,000. the fixed asset will be depreciated straight-line to zero over its three-year tax life. the project is estimated to generate $3,370,000 in annual sales, with costs of $2,190,000. the project requires an initial investment in net working capital of $190,000, and the fixed asset will have a market value of $225,000 at the end of the project. assume that the tax rate is 24 percent and the required return on the project is 12 percent. what are the net cash flows of the project each year?
The net cash flows of the project for year 1 is $1,153,200, year 2 is $1,153,200, and year 3 is $1,378,200.
It is provided that Esfindari Enterprises is evaluating a new 3-year project that needs an initial fixed asset investment of $2,710,000. The fixed asset will be depreciated straight-line to zero over its three-year tax life. The project is estimated to produce $3,370,000 in yearly sales, with expenses of $2,190,000. The project needs an initial investment in net working capital of $190,000, and the fixed asset will have a market value of $225,000 at the end of the project. Assume that the tax rate is 24 percent and the required return on the project is 12 percent.
The net cash flows of the project each year are:
Fixed asset investment = $2,710,000, Working capital investment = $190,000
Working capital will be released at the end of the project, implying a cash inflow of $190,000.
The tax savings from depreciation are:
$2,710,000/3 years = $903,333 yearly depreciation
Tax savings = $903,333 × 0.24 = $216,800 yearly.
There are no tax consequences for the working capital investment or the disposal of the fixed asset.
Most of the annual cash flows will be produced by the project's revenues: $3,370,000 – $2,190,000 = $1,180,000 yearly operating income ($3,370,000 × 0.35. )When the annual cash flows are summed, they provide the following net cash flow for the project over each of the three years: $717,200, $1,496,800, $1,331,200
Year 1: Total net cash inflow=$190,000+$1,180,000-$216,800=$1,153,200
Year 2: Total net cash inflow=$1,180,000+$190,000-$216,800=$1,153,200
Year 3: Total net cash inflow=$1,180,000+$190,000+$225,000-$216,800=$1,378,200
Hence, the net cash flows of the project each year are $1,153,200, $1,153,200, and $1,378,200 for years one, two, and three, respectively.
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the industry environment directly influences a firm and its competitive actions and responses. true false
True. The competitiveness of a industry is impacted by a variety of variables, including consumer requirements, technological advancements, governmental regulations, and rivals' strategies.
The external elements that influence a firm's strategic choices, such as its competitive activities and reactions, make up the industrial environment. Customers' requirements, interests, and demographics are only a few of the elements that make up the industrial environment. Other elements include technology developments, governmental regulations, and market trends. By impacting the degree of competition, the negotiating power of suppliers and consumers, the danger of new competitors and replacements, and the possibility of collaboration among enterprises, these variables have an impact on the competitive landscape of a firm. As a result, the industry environment directly affects a firm's ability to compete and influences the strategic choices it makes in reaction to changing market conditions and intense competition.
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. on the consolidated financial statements for 2020, what amount should have been shown for consolidated dividends?
The amount of consolidated dividends shown on the consolidated financial statements for 2020 should be the total dividends declared by the parent company and its subsidiaries.
This amount is calculated by summing the dividend payments declared by each company in the group. For example, if the parent company declared a dividend of $100 and the subsidiary declared a dividend of $50, then the total consolidated dividend would be $150.
When calculating consolidated dividends, only the amounts declared by the parent company and its subsidiaries should be considered. Other items, such as related income taxes or capital transactions, should not be included in the consolidated dividend calculation.
In addition, any intercompany transactions or dividend payments to related parties should be excluded. The consolidated dividend should be reported in the parent company’s financial statements and should be disclosed separately in the notes to the financial statements.
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nowell inc. had the following stock issued and outstanding at january 1, year 2: 150,000 shares of no-par common stock. 30,000 shares of $50 par, 4 percent, cumulative preferred stock. (dividends are in arrears for one year, year 1.) on march 8, year 2, nowell declared a $175,000 cash dividend to be paid march 31 to shareholders of record on march 20. required what amount of dividends will be paid to the preferred shareholders versus the common shareholders?
The amount of dividends that will be paid to the preferred shareholders versus the common shareholders are $60,000 and $115,000, respectively.
On March 8, Year 2, Nowell Inc. declared a $175,000 cash dividend to be paid on March 31 to shareholders of record on March 20. The amount of dividends that will be paid to the preferred shareholders versus the common shareholders can be calculated as follows:
Amount of dividends paid to preferred shareholders = Par value of preferred stock * Number of preferred shares outstanding * Preferred dividend rate= $50 * 30,000 * 4% = $60,000
Amount of dividends paid to common shareholders = Total dividends - Amount of dividends paid to preferred shareholders= $175,000 - $60,000 = $115,000.
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The choice of when and how to source capital globally is usually aided early on by the advice of:
A) an investment banker.
B) your stock broker.
C) a commercial banker.
D) an underwriter.
The choice of when and how to source capital globally is usually aided early on by the advice of an investment banker. The correct option is A) an investment banker.
An investment banker is a person who is responsible for giving companies, governments, and other large entities advice and support in regard to various financial matters, such as fundraising, debt structuring, mergers and acquisitions, and stock offerings.
An investment banker can also help companies find potential investors who may be interested in buying a stake in their company or investing money in their business.
The role of investment bankers is often critical in helping companies raise capital, expand their operations, and achieve their strategic goals.
Hence, the choice of when and how to source capital globally is usually aided early on by the advice of an investment banker.
The choice of when and how to source capital globally is usually aided early on by the advice of an investment banker.
The correct option is A) an investment banker.
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true or false, it is important for team members to have different ideas and opinions and to express them to each other.
It is a true statement that it is important for team members to have different ideas and opinions and to express them to each other.
Why should team members have different ideas and opinions?Having a diverse range of opinions within teams is critical for problem solving, as thinking from diverse groups of employees from diverse backgrounds can reduce risks by 30% and improve innovation by 20%.
When handled correctly, disagreements can help you learn more about your colleagues and better understand them. While opposing viewpoints can be unsettling, if you know how to debate civilly, nothing bad is likely to happen.
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All of the following are components of the money supply in the United States EXCEPT:
HINT: The U.S. currency is a "fiat currency", which means its value is not backed by a commodity. Thus, gold bullion (a commodity) is not a part of the money supply, even though it is WORTH money. Every other choice listed here is a more direct form of money, and is a component of the money supply.
Gold bullion is not a component of the money supply in the United States.
Gold bullion is not considered a component of the money supply in the United States, even though it has value and can be exchanged for money.
The components of the money supply in the United States typically include currency (both in circulation and held in bank vaults), demand deposits (checking accounts), savings deposits, and other types of deposits that are considered "money-like."
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the economy is in a recession and the government wants to increase output. if the multiplier equals 3 and the government increases spending by 250, how much will output increase by? group of answer choices
The increase in output is a)750 units due to an increase in government spending.
The increase in output due to an increase in government spending can be calculated by multiplying the government's spending by the multiplier. In this case, the multiplier is given as 3, and the government is increasing its spending by 250.
Therefore, the increase in output can be calculated as follows:
Increase in output = Multiplier x Increase in government spending
Increase in output = 3 x 250
Increase in output = 750
Thus, the output will increase by 750 units in response to the government's increase in spending. This is because the multiplier represents the change in aggregate demand that results from a change in government spending.
In this case, the increase in government spending of 250 will generate an additional 750 units of output due to the multiplier effect.
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Complete question:
the economy is in a recession and the government wants to increase output. if the multiplier equals 3 and the government increases spending by 250, how much will output increase by? group of answer choices
a)750
b)850
c)400
d)600
To whom does the fair use doctrine potentially apply?
A. Persons accused of copyright infringement
B. Persons accused of trademark infringement
C. Persons accused of patent infringement
D. Persons accused of misappropriation of trade secrets
E.Persons accused of invasion of privacy
Persons accused of copyright infringement does the fair use doctrine potentially apply . So the correct option is A.
The fair use doctrine is a legal principle that allows limited use of copyrighted material without acquiring permission from the owner of the copyright. This principle applies to a wide range of works, including literature, music, film, and other artistic works. The fair use doctrine is an exception to the exclusive rights of the copyright owner and is intended to balance the competing interests of creators and users of copyrighted works. Therefore, it does not apply to trademark infringement, patent infringement, misappropriation of trade secrets, or invasion of privacy.
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which of the following is not true about newspapers? group of answer choices by the summer of 2015, print circulation was stabilizing . they are sources of news for electronic news directors and bloggers. the digital revolution has re-invented the newsroom. they are no longer an important medium among public relations professionals .
The statement that newspapers no longer continue to be an important medium of information among Public Relations professionals does not hold true of newspapers. Therefore, the option D holds true.
The newspapers are usually circulated at fixed and regular intervals to make people aware about the current affairs, and the news that is relevant for the readers. The public relations professionals are the ones for whom newspapers continues to be the most important medium, even in the age of internet and social media.
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Complete question
which of the following is not true about newspapers? group of answer choices
by the summer of 2015, print circulation was stabilizing .
they are sources of news for electronic news directors and bloggers.
the digital revolution has re-invented the newsroom.
they are no longer an important medium among public relations professionals .
Serious ethical violations by corporations such as Enron led to the passage of
A. The Dodd-Frank Act.
B. the Insider Trading Act of 1988.
C. The Sarbanes-Oxley Act.
D. All of the above.
Serious ethical violations by corporations such as Enron led to the passage of "The Sarbanes-Oxley Act."
The Sarbanes-Oxley Act was enacted by Congress in 2002 in response to the significant corporate and accounting scandals that had occurred at Enron, Tyco, Adelphia, and WorldCom. This Act is also referred to as the Public Company Accounting Reform and Investor Protection Act or the Corporate and Auditing Accountability and Responsibility Act. The main goal of the Act was to enhance the transparency and accountability of public corporations in the United States, particularly after a string of high-profile corporate and accounting scandals.
The Dodd-Frank Act is a United States law that was passed in 2010 to reform Wall Street and protect consumers. It was created as a result of the global financial crisis of 2008, which was caused in part by the mortgage industry's loose lending standards and subsequent collapse. This law is designed to regulate the financial industry and protect investors and consumers by strengthening accountability and transparency in the financial system, among other things. The Insider Trading Act of 1988, on the other hand, is a federal law that prohibits insider trading.
Insider trading is the act of trading a public company's securities while in possession of material, non-public information about the company. Insider trading is considered a white-collar crime in the United States, and it carries significant penalties if convicted. Therefore, the serious ethical violations by corporations such as Enron led to the passage of The Sarbanes-Oxley Act.
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The GDP Deflator:
I. is used to calculate inflation rates.
II. is an alternative to the CPI.
III. is more accurate than the CPI.
A. Only I is true.
B. I and II are true.
C. I and III are true.
The statement that is correct concerning the GDP deflator is that it is used to calculate inflation rates. This statement is true. The correct option is A. Only I is true.
The Gross Domestic Product (GDP) deflator, like the Consumer Price Index (CPI), is a measure of price changes in an economy's production of goods and services. While the CPI measures the price changes of a basket of goods and services purchased by households, the GDP deflator reflects changes in prices of goods and services purchased by both households and the government, as well as investment goods purchased by firms. Gross Domestic Product (GDP) deflator is a price index used to calculate inflation rates. It is not an alternative to the CPI, and it is not more precise than the CPI, so the second and third statements are false.
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big canyon enterprises has bonds on the market making annual payments, with 15 years to maturity, a par value of $1,000, and a price of $966. at this price, the bonds yield 7.8 percent. what must the coupon rate be on the bonds? (do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
Big Canyon Enterprises has bonds on the marketing making annual payments, with 15 years to maturity, a par value of $1,000, and a price of $966. At this price, The coupon rate on the bond is 7.8%
This question requires determining the coupon rate on the bonds. Since the coupon rate is a constant annual percentage, it is the percentage of the face value that is paid each year. In this scenario, we know that the face value is $1,000, and the bonds are trading at a price of $966, with a yield of 7.8%.
To calculate the coupon rate, we will first find the annual payment, which is the coupon rate times the face value. Next, we will determine the yield, which is the annual payment divided by the bond price. The formula for the coupon rate is: Coupon rate = Annual coupon payment / Face value of bond
The formula for the yield of the bond is: Yield of bond = Annual coupon payment / Bond priceWe can use the following steps to calculate the coupon rate:
Firstly, calculate the annual payment by multiplying the face value with the yield. We get Annual payment = $1,000 * 0.078 = $78. Secondly, calculate the coupon rate by dividing the annual payment by the face value. We get Coupon rate = $78 / $1,000 = 7.8%.Therefore, the coupon rate on the bond is 7.8%.
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according to your text, when a customer undertakes a postpurchase evaluation and decides he or she is satisfied, this often leads to
According to my text, when a customer undertakes a post-purchase evaluation and decides he or she is satisfied, this often leads to positive outcomes for the business. These outcomes can include:
Repeat business: Satisfied customers are more likely to become repeat customers and make additional purchases from the business.
Positive word-of-mouth: Satisfied customers are more likely to share their positive experiences with others, leading to positive word-of-mouth and referrals that can help attract new customers.
Brand loyalty: Satisfied customers are more likely to develop a strong emotional connection with the brand, leading to long-term loyalty and advocacy.
Reduced marketing costs: Satisfied customers can be a valuable marketing asset, as they can help attract new customers at a lower cost than traditional marketing channels.
Overall, customer satisfaction is an important driver of business success, as it can help build a loyal customer base, increase sales, and reduce marketing costs. Therefore, businesses should strive to deliver high-quality products and services that meet or exceed customer expectations to ensure customer satisfaction and foster positive outcomes.
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as a purchasing professional you can trust your suppliers to bid you the right capabilities at the right costs.T/F
False. While suppliers can provide bids and pricing information, it is the responsibility of the purchasing professional to evaluate the bids and ensure that they are receiving the right capabilities at the right cost. Trust should be built through a strong supplier relationship and consistent performance.
while suppliers can give useful information and price, it is ultimately the job of the purchasing expert to review bids and verify that they are obtaining the correct capabilities at the right cost. This calls for a careful evaluation of supplier proposals and a thorough comprehension of the requirements of the organization. Trust between the purchasing professional and suppliers is crucial to achieving successful outcomes. This trust is built through a strong supplier relationship that involves open communication, transparency, and a commitment to meeting the needs of the organization. Consistent supplier performance is also essential in establishing trust, purchasing professionals must exercise due diligence in evaluating supplier bids and building trust through a strong supplier relationship and consistent performance. They cannot solely rely on the supplier to provide the right capabilities and costs.
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the more different the acquired firm is in terms of competencies and resources than the acquiring firm, the more likely the acquisition is to be successful. group of answer choices true false
The statement "the more different the acquired firm is in terms of competencies and resources than the acquiring firm, the more likely the acquisition is to be successful" is false.
When an acquiring firm and an acquired firm have similar competencies and resources, it makes the integration process easier, and the transaction is more likely to be successful. When the two firms have different competencies and resources, it makes the integration process more difficult and can lead to failure.
As a result, the acquiring firm should look for a company that has similar capabilities and resources to its own to ensure that the acquisition is successful. Thus, the statement "the more different the acquired firm is in terms of competencies and resources than the acquiring firm, the more likely the acquisition is to be successful" is a false statement.
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you purchase one mbi march 170 put contract for a put premium of $15. the maximum profit that you could gain from this strategy is . a) $170 b) $1,500 c) $15,500 d) $17,000
The maximum profit that you could gain from purchasing one MBI March 170 put contract for a put premium of $15 is option (C) $15,500.
What is MBI March 170 Put Contract?The MBI March 170 Put Contract is an agreement between a buyer and a seller in which the buyer has the option to sell MBI stock at $170 per share at any time until the option expires in March.
A premium must be paid to purchase the put contract, which is the price of the option. The premium is decided by various factors such as stock price, market volatility, time to expiration, interest rates, and dividends paid by the underlying stock.
A stock option is a derivative, which means its value is derived from the value of the underlying stock. A put option is a bearish strategy that benefits from a decline in the price of the underlying stock. It's advantageous for people who believe the underlying stock price would decrease in the future. When you purchase a put contract, you have the right but not the obligation to sell the underlying asset at a fixed price until the expiration date.
Now, let's calculate the maximum profit that we could gain from this strategy:
Maximum Profit = Strike Price – Put Premium
Maximum Profit = $170 – $15
Maximum Profit = $155
Therefore, the maximum profit that we could gain from purchasing one MBI March 170 put contract for a put premium of $15 is $15,500 (100 shares x $155 per share).
Option (c) is the correct answer.
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suppose a pension fund must have $10,000,000 five years from now to make required payments to retirees. if the pension wants to guarantee the funds are available regardless of future interest rate changes, it should
Given that the pension fund must have $10,000,000 five years from now to make required payments to retirees. If the pension wants to guarantee the funds are available regardless of future interest rate changes, it should invest in an annuity, which would guarantee future funds regardless of any changes in interest rates.
An annuity is a form of investment that is meant to provide a steady stream of income over an extended period. An annuity is a contract between an individual and a financial institution in which the individual pays a set amount of money to the financial institution in exchange for a guaranteed income stream, which is typically paid out in installments over a set period.
Therefore, if the pension wants to guarantee the funds are available regardless of future interest rate changes, it should invest in an annuity, which would guarantee future funds regardless of any changes in interest rates.
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