The highest price that Walton Toy Company would be willing to pay for additional capacity is $175.50 per hour.
The company may be able to rent additional space to increase capacity. It could also hire additional workers. Walton Toy Company can improve productivity by investing in employee training, technology, and efficiency. These strategies will result in greater output, increased sales, and improved profitability.Walton Toy Company wants to maximize profits. It will evaluate its expenses to determine the highest price it can afford to pay for additional capacity.
The company would compare the cost of additional direct labor hours to the price of additional output revenue. It will only invest in extra capacity if the price it pays is less than the price it receives from selling the extra output.The highest price that Walton Toy Company would be willing to pay for additional capacity is calculated as follows : Direct labor cost per hour=Total labor costs / Total direct labor hours
Total labor costs = $700,000+($60 × 10,000)= $1,300,000. Total direct labor hours=10,000Direct labor cost per hour=$1,300,000/10,000= $130, Additional cost per hour = Direct labor cost per hour × (1+ Markup percentage)Markup percentage=35%, Additional cost per hour=$130 × (1+0.35)= $175.50
Therefore, the highest price that Walton Toy Company would be willing to pay for additional capacity is $175.50 per hour.
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4 steps of brand building
1. connect with consumer (brand identity) 2. build the brand out so it has meaning (brand meaning) 3. how do we get customers motivated/talking? (brand responses) 4. create consumer brand connection (brand relationships)
The four steps of brand building; brand identity, brand meaning, brand response and brand relationship are explained below.
The Brand building is a process that involves several steps, which are designed to help businesses establish and maintain a strong connection with their customers.
The four steps of brand building are:
(i) Connect with consumers:
This step includes developing a brand name, logo, slogan, and other visual and verbal elements that convey the brand's personality and values.
(ii) Build brand meaning:
This step involves creating a brand story, developing a brand voice and tone, and crafting messaging that resonates with the target audience.
(iii) Create brand responses:
This step involve developing marketing campaigns, advertising, promotions, and other activities that encourage customers to interact with the brand.
(iv) Establish brand relationships:
This final step involves creating a sense of loyalty and trust, building relationships with customers through social media and other channels, and engaging in ongoing dialogue to better understand their needs and preferences.
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The given question is incomplete, the complete question is
The 4 steps of brand building are given below, explain all the four steps.
1. connect with consumer (brand identity)
2. build the brand out so it has meaning (brand meaning)
3. how do we get customers motivated/talking? (brand responses)
4. create consumer brand connection (brand relationships)
indicate the source document for each of the following transactions services rendered
The source documents for the transaction services rendered include:
Utilities expense for the month is recorded - Monthly statement from utility companyMonthly statement from utility company - No standard source document would normally be available.Owners contribute cash to start a new corporation. - Stock certificatesThe biweekly payroll is paid. - Time cardsServices are provided in exchange for cash. - Cash register tapeEquipment is acquired on a 30-day open account. - Purchase invoiceService is provided to a customer. - Sales invoiceA building is acquired by signing an agreement to repay a stated amount plus interest in six months. - Promissory noteWhat are some source documents ?A utility company provides a monthly statement that details the charges for the consumption of utilities like electricity, gas, or water. The company may receive a court document or a letter from the legal team, but there is no specific document type that is universally used for such transactions.
When owners invest cash into the company, they receive stock certificates as evidence of their ownership. These certificates serve as the source document for the transaction.
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The full question is:
Indicate the source document for each of the following transactions services rendered
a. Purchase invoice
b. Sales invoic
c. Cash register tape
d. Time cards
e. Promissory note
f. Stock certificates
g. Monthly statement from utility company
h. No standard source document would normally be available. Transactions
1. Utilities expense for the month is recorded.
2. A cash settlement is received from a pending lawsuit.
3. Owners contribute cash to start a new corporation.
4. The biweekly payroll is paid.
5. Services are provided in exchange for cash.
6. Equipment is acquired on a 30-day open account.
7. Service is provided to a customer.
8. A building is acquired by signing an agreement to repay a stated amount plus interest in six months.
How long may information regarding bankruptcy be retained in a consumer's credit report?
According to the Fair Credit Reporting Act (FCRA), credit bureaus may retain bankruptcy data in a consumer's credit report for up to ten years.
Bankruptcies, according to the FCRA, are one of the most serious debts that can appear on a credit report. They typically have a substantial impact on a consumer's credit score because they indicate that the consumer was unable to pay their debts as promised.Lenders and creditors will check a consumer's credit score to determine their creditworthiness.
The better your credit score, the more likely you are to receive a loan, credit, or other financial product. Having bankruptcy on your credit report, on the other hand, will almost certainly result in the lender or creditor denying the application. As a result, it is critical to maintaining a high credit score to maintain healthy finances.
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controls does your company have in place to prevent bribery, corruption, and other unethical conduct?
A company may have controls such as a code of conduct, training programs, internal audits, due diligence processes, whistleblower policies, and enforcement measures to prevent bribery, corruption, and other unethical conduct.
Companies typically have a range of controls, policies, and procedures in place to mitigate these risks, including implementing a code of conduct, providing anti-bribery and anti-corruption training to employees, conducting due diligence on third-party business partners, and implementing internal controls to prevent and detect fraudulent activities.
Additionally, companies may have an independent hotline or other channels for employees to report concerns or potential violations of ethical standards. The exact controls in place will depend on the company's size, industry, and risk profile, as well as the legal and regulatory environment in which it operates.
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The complete question is:
What controls does your company have in place to prevent bribery, corruption, and other unethical conduct?
examples of value-added activities include all of the following except: multiple choice product design. assembly activities. machinery set-up activities. establishing efficient distribution channels.
Examples of value-added activities include all of the options: Establishing efficient distribution channels.
The explanation of value-added activities is provided below:
Value-added activities are the activities that enhance the worth of a product or service to a customer.
It is anything that the customer considers important and is willing to pay for. It increases the value of the product, helps in attracting customers and improving profitability.
Examples of value-added activities include product design, assembly activities, machinery set-up activities, inspection, packaging, advertising, and customer service.
Establishing efficient distribution channels is not an example of value-added activities as it is a part of supply chain management.
According to the given question, establishing efficient distribution channels is not included in the value-added activities.
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during march, the following transactions occurred: the company paid $2,500 cash to rent office space for the month of march. the company received $21,000 cash for repair services provided during march. the company paid $6,700 for salaries for the month of march. the company provided $3,500 of services to customers on account. the company paid cash of $1,000 for utilities for the month of march. the company received $3,600 cash in advance from a customer for repair services to be provided in april. the company purchased $5,500 of land for cash. based on this information, net income for march would be:
Net income for March would be $18,000.
To calculate this, we must first start with the total cash receipts for the month of March. The total cash receipts would be $21,000 + $3,600 = $24,600. Now, subtract the total cash payments of $2,500 + $6,700 + $1,000 = $10,200. This leaves us with a net cash increase of $14,400.
Lastly, subtract the non-cash transactions of $3,500 to arrive at a net income of $18,000. Non-cash transactions occur when goods or services are exchanged but no cash is paid or received.
In this case, the company provided services to customers on account, meaning that no cash was received for these services.
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the advantage of being a limited partner in a limited partnership is the ability to: group of answer choices earn a profit without risking your investment in the firm. limit your losses to the amount invested in the firm. control the daily operations of the firm while limiting your losses to your initial investment. actively manage the firm without losing more than you invested. avoid taxes on your partnership earnings.
The advantage of being a limited partner in a limited partnership is the ability to limit your losses to the amount invested in the firm.
Limited partners in a limited partnership have limited liability, which means that they are only responsible for the debts and obligations of the firm up to the amount of their investment. They are not personally liable for any additional debts or losses incurred by the firm.
However, limited partners do not have control over the daily operations of the firm and are not involved in its management. They also typically cannot actively manage the firm without risking their status as limited partners.
Earning a profit as a limited partner is not guaranteed and depends on the performance of the firm. Taxes on partnership earnings are generally passed through to the partners, regardless of whether they are general or limited partners.
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if a group of stockholders or management obtain all the stock of a previously publicly traded firm for themselves, this is referred to as
If a group of stockholders or management obtain all the stock of a previously publicly traded firm for themselves, this is referred to as "going private."
Going private refers to when a publicly traded firm becomes a privately held company when a group of investors, usually private equity firms or wealthy individuals, purchases all outstanding shares of the company's stock. In simpler words, going private implies the company is no longer listed on the stock exchange, and shares are no longer sold to the public or traded publicly. It means that only the investors who purchased the company's shares can sell or trade them.There are many reasons why a company may choose to go private, such as to avoid costly Securities and Exchange Commission (SEC) regulations, to reduce the short-term financial pressures of investors, or to increase control over the company. Going private will also prevent the company from being influenced by analysts' short-term expectations and investor scrutiny, allowing them to concentrate on long-term goals.
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given an mpc of 0.80, if there are no income taxes or imports and prices are constant, then when investment increases by $50 million and prices are fixed, equilibrium gdp would group of answer choices increase by $50 million. increase by $250 million. increase by $400 million. to answer the question more information on income is needed.
The increase in investment of $50 million would cause an increase in equilibrium GDP of $400 million.
This can be calculated using the formula for equilibrium GDP:
Equilibrium GDP = MPC x Change in Investment.
In this case, MPC = 0.80 and Change in Investment = $50 million, so the Equilibrium GDP = 0.80 x $50 million = $400 million.
Since prices are fixed and there are no taxes or imports, the increase in equilibrium GDP will be the same as the increase in investment, which is $400 million.
Therefore, it can be concluded that an investment increase of $50 million would result in a boost of $400 million to the equilibrium GDP.
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the pricing strategy of marking products below normal markup or even below cost to attract customers to a store where they would not otherwise shop is called pricing
Penetration pricing is a advertising and marketing method used by agencies to attract customers to a new product or provider with the aid of imparting a decrease fee in the course of its initial offering.
The decrease charge helps a new product or carrier penetrate the market and appeal to clients away from competitors.
What is the pricing strategy of marking products under normal markup or even under fee to attract customers to a store?Pricing merchandise under the everyday markup or even under value to attract clients to a save the place they wouldn't otherwise store is leader pricing. A product priced beneath value is referred to as a loss leader. Retailers hope that this kind of pricing will amplify their average sales volume and therefore their profit.
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https://brainly.com/question/6766111#SPJ1an economist would say that the benefits of regional integration are determined by group of answer choices the location of manufacturing facilities. the amount of trade diversion. the formation of a political union. the level of consumer involvement. the amount of trade creation.
An economist would say that the benefits of regional integration are determined by the amount of trade creation and trade diversion.
Trade creation occurs when regional integration leads to increased trade between member countries, resulting in lower prices and increased efficiency due to economies of scale. This can benefit both producers and consumers within the region.
Trade diversion occurs when regional integration leads to a shift in trade away from non-member countries towards member countries, potentially resulting in higher prices and less efficient allocation of resources.
The location of manufacturing facilities, formation of a political union, and level of consumer involvement may all be factors that influence the degree of trade creation and trade diversion, but they are not determinants of the benefits of regional integration in and of themselves.
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Select the correct answer.
Kelly paid salary to her employees at the end of the month. What will be the journal entry for the given financial transaction?
A. Employee Account - Debit
Employee Account - Debit
B.
C. Salary Account - Debit
D. Salary Account - Debit
Cash Account - Credit
Kelly Account - Credit
Cash Account - Credit
Kelly Account - Credit
Reset
Next
Answer:
Explanation
Answer will be
C
Salary Account Debit
Cash Account Credit
rj corporation has provided the following information about one of its inventory items: date transaction number of units cost per unit 1/1 beginning inventory 400 $ 3,200 6/6 purchase 800 $ 3,600 9/10 purchase 1,200 $ 4,000 11/15 purchase 800 $ 4,200 during the year, rj sold 3,000 units. what was cost of goods sold using the fifo cost flow assumption?
Using the FIFO cost flow assumption, the cost of goods sold for RJ Corporation would be $12,600. The cost of goods sold is calculated by taking the cost of the oldest inventory first.
The cost of products sold for an organization's inventory is determined using the "first in, first out" (FIFO) cost flow assumption approach. The cost of the oldest inventory items is applied to the commodities sold first according to the FIFO approach. For RJ Company, the initial cost of inventory was $3,200 per unit, and the first purchase was made on June 6th at a cost of $3,600 per unit. The cost of goods sold would be computed by multiplying the cost of 400 units from the initial inventory by $3,200 per unit and adding it to the cost of 800 units bought on June 6th, multiplied by $3,600 per unit, because the oldest inventory was sold first.
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when you design a process to achieve the mix of friction and flow that you think will most benefit your customer, what should you do before taking that design to market?
Before taking a process design to market, it is important to test and evaluate it thoroughly to ensure that it achieves the desired mix of friction and flow and ultimately benefits the customer.
To guarantee that a process design achieves the appropriate balance of friction and flow that benefits the consumer, it is essential to extensively test and assess it before bringing it to market. This may be accomplished using a variety of techniques, including focus groups, user testing, and feedback gathering. To find any pain spots, places of uncertainty, or joyous moments in the process, user testing entails watching and evaluating how consumers interact with it. Focus groups enable a discussion about the procedure in a group setting to collect insightful feedback and suggestions for improvement. To get feedback and learn more about the consumer experience, questionnaires or online reviews might be used. Investing the time to test and assess a process design before commercialization, businesses can ensure that it delivers the intended benefits and provides a positive experience for customers.
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depreciation is a process of cost , and not a process of valuation. True or False?
FALSE – Depreciation is not an asset valuation process; it is a cost allocation process, and since it distributes the asset's total acquisition cost over its useful life, it has nothing to do with the asset's actual value.
Depreciation is a process of expense allocation rather than asset valuation, hence it is the accurate description.
Depreciation does not determine an asset's current value or market price, hence it is not a valuation method. Instead, it is a cost allocation process that has an impact on a company's financial statements by decreasing the asset's value on the balance sheet and raising the amount of expense on the income statement.
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22) a bond with a 8-year duration is worth $1,077, and its yield to maturity is 7.7%. if the yield to maturity falls to 7.57%, you would predict that the new value of the bond will be approximately . a) $1,075.60 b) $1,077.00 c) $1,087.45 d) $1,078.40
If the yield to maturity falls to 7.57%, we would predict that the new value of the bond will be $1075.6 (A)
To calculate the new value of the bond, we can use the following formula:
New value = Old value / (1 + YTM)n
where YTM is the yield to maturity and n is the number of years remaining until maturity.
Here, the bond has an 8-year duration, which means it has 8 years remaining until maturity. The old value of the bond is $1,077 and the yield to maturity is 7.7%.
Using the formula above, we get:
New value = 1077 / (1 + 0.077)8
New value = $1,075.60 (A)
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suntex limited reported the following information for august: direct materials $125,000 direct labor 80,000 manufacturing overhead 40,000 beginning work-in-process inventory 50,000 ending work-in-process inventory 55,000 the cost of goods manufactured in august is
The Cost of Goods Manufactured (COGM) is a financial statement item that reveals how much it costs to produce and sell products in a given period. The Cost of Goods Manufactured in August is $240,000.
To compute the COGM, one must understand the production cycle's expense stages (material, labor, and overhead). To calculate the COGM, use the following formula: Beginning WIP Inventory + Total Manufacturing Cost - Ending WIP Inventory = Cost of Goods Manufactured (COGM)Now we must apply the figures provided in the problem to the formula given above.
Beginning WIP Inventory = $50,000Direct Materials = $125,000Direct Labor = $80,000Manufacturing Overhead = $40,000Ending WIP Inventory = $55,000Total Manufacturing Cost = $125,000 (Direct Material) + $80,000 (Direct Labor) + $40,000 (Manufacturing Overhead) = $245,000Using the formula, we can calculate COGM:COGM = $50,000 + $245,000 - $55,000= $240,000Therefore, the Cost of Goods Manufactured in August is $240,000.
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has 7.8 percent coupon bonds on the market that have 7 years left to maturity. The bonds make annual payments and have a par value of $1,000. If the YTM on these bonds is 9.8 percent, what is the current bond price? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) Current bond price
The current bond price for the 7.8 percent coupon bonds with 7 years left to maturity is $945.62. This can be calculated by taking the present value of all future coupon payments plus the present value of the par value.
The YTM of 9.8 percent is used to calculate the present value of future payments. The coupon rate is 7.8 percent, so each year the bondholder will receive $78. The par value of the bond is $1,000.
Using a spreadsheet, the present value of all future coupon payments and the par value can be calculated. We first calculate the present value of all future coupon payments. This is done by taking the coupon rate and dividing it by the YTM, then subtracting one.
This gives us 0.798. We then multiply that by the coupon payments to get the present value of all future coupon payments, which is $62.54. We then take the par value of the bond, $1,000, and calculate the present value of the par value by dividing it by the YTM, subtracting one, and then adding one.
This gives us a value of $734.08. We then add the present value of the coupon payments to the present value of the par value to get the current bond price of $945.62.
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The production possibilities frontier is the:
a. boundary between the combinations of goods and services that can be produced and the combinations that cannot be produced when technology is changing.
b. minimum output that can be produced when resources are used inefficiently.
c. boundary between the combinations of goods and services that can be produced and the combinations that cannot be produced, given the available factors of production and the state of technology.
d. maximum output that can be produced at an opportunity cost of zero.
The production possibilities frontier (PPF) is C. the boundary between the combinations of goods and services that can be produced and the combinations that cannot be produced, given the available factors of production and the state of technology.
The PPF illustrates the trade-offs that society faces when allocating resources among different industries and it shows the maximum potential output of two goods given the available inputs. In other words, it shows the maximum combination of outputs of two goods that can be attained with the given resources and technology. Additionally, the PPF highlights the concept of opportunity cost, which is the cost of sacrificing the production of one good in order to produce more of the other. As a result, the PPF also illustrates the optimal point of production.
The PPF is a key economic concept as it reflects the economic reality that finite resources have alternative uses and therefore the cost of producing one good is the opportunity cost of producing another good. This concept of opportunity cost suggests that as one item is produced in increasing amounts, the other item must be produced in decreasing amounts. As resources are shifted from one industry to another, it affects the shape of the PPF. In other words, the PPF is a result of the scarcity of resources, and it is constantly changing as resources are reallocated and technology advances.
Overall, the PPF is a visual representation of the scarcity of resources and the trade-offs a society faces in terms of production. It can be used to make decisions on resource allocation and to identify the most efficient level of production for both goods. Therefore the correct option is C
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a functional manager has come to you and reported that the work due today is going to be three weeks late, but requested that you do not report this to senior management. the functional manager is well respected by everyone with the exception of one senior manager who seems to take every opportunity to make the functional manager look bad. what is your professional and social responsibility in this case? seleccione una: a. report the status in an accurate and timely manner b. delay reporting the slippage in the hope that the project will soon get back on schedule and need not be reported c. report the status in an accurate and timely manner, but eliminate it from the summary, burying it within the detailed report where it would not be noticed d. report the status in an accurate manner, but do not add any details about the expected length of the delay
The professional and social responsibility in this case would be to report the status in an accurate and timely manner. The correct answer is option c.
A functional manager is a professional who is responsible for the management of departments and functions within an organization. A functional manager is in charge of employees in a specific department or functional area of a company. These managers are responsible for ensuring that employees are working productively and efficiently, that budgets are being followed, and that deadlines are being met.
The professional and social responsibility in this case is to report the status in an accurate and timely manner. Burying the report in the detailed report or not adding any details about the expected length of the delay will not solve the problem. The delay may result in more serious issues if it is not reported. Therefore, it is important to report the status in an accurate and timely manner. Therefore, the correct answer is option c.
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what are the strengths of the electric theory of fdi? can you see any shortcomings? How does the eclectic theory influence management practice?
The electric theory of FDI has several strengths, including its comprehensive approach, consideration of various factors, and flexibility.
Strengths of the Electric Theory of FDIThe strengths of the electric theory of FDI include the fact that it recognizes that FDI is a complex phenomenon that can be influenced by many factors, including market conditions, firm-level factors, and institutional factors.
The eclectic theory of FDI also recognizes that different firms have different motives for engaging in FDI and that these motives can vary depending on the firm's industry, location, and stage of development.The electric theory is also useful for understanding the impact of FDI on host countries.
It recognizes that FDI can have both positive and negative effects on the host country's economy, depending on factors such as the level of technology transfer, the type of investment, and the extent of local linkages.
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as an influencer, ntozake's job is to use social media to get her followers to form a strong emotional connection with a product she has been paid to promote. this connection is formed through a process known as:
The process is known as "brand engagement".
Brand engagement is the process of creating an emotional connection between a brand and its consumers by creating meaningful interactions between the two. By creating a strong emotional connection with her followers, Ntozake is able to successfully promote the product she has been paid to promote.
Brand engagement is the process of creating an emotional connection between a brand and its consumers. It involves creating meaningful interactions between the brand and its audience, such as through stories, videos, and other forms of content.
By engaging with her followers, Ntozake is able to get them to form an emotional connection with the product she is promoting. This connection is then used to help her followers make an informed decision on whether or not to purchase the product.
Brand engagement is an important part of any successful influencer marketing campaign, and Ntozake has used it to great success.
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g concentrate producers integrate forward into bottling during the case, what do they need to control?
The concentrate producers need to control several factors when integrating forward into bottling.
These include production costs, raw materials, supplier costs, marketing strategies, distribution channels, and brand image.
Production costs refer to the cost of production of the concentrate and bottling process. Raw materials refer to the quality of ingredients that are used to produce the concentrate and any other associated products. Supplier costs refer to the cost of obtaining the raw materials and concentrate.
Marketing strategies refer to how the product is advertised and how it is positioned within the market. Distribution channels refer to the outlets and retail chains where the concentrate and bottling products are sold. Lastly, brand image refers to the reputation of the company and its products, and how they are perceived by consumers.
To successfully integrate forward into bottling, the concentrate producers must be able to control these various factors, as it is essential for the production process, distribution channels, and the overall reputation of the brand.
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sunset corporation currently has an eps of $2.37, and the benchmark pe for the company is 16. earnings are expected to grow at 7 percent per year. what is your estimate of the current stock price?
The current stock price for Sunset Corporation is estimated to be $37.84, based on its EPS of $2.37 and a benchmark PE ratio of 16.
This calculation is made by dividing the EPS by the PE ratio ($2.37/16 = $0.1485), and then multiplying that number by the current stock price (0.1485 x $25 = $37.84).
To explain further, the Price to Earnings (PE) ratio is a measure of how much investors are willing to pay for every dollar of the company's earnings. This ratio is calculated by dividing the company's stock price by its Earnings Per Share (EPS).
In this case, the benchmark PE ratio of 16 tells us that investors are willing to pay $16 for every $1 of the company's earnings.
By dividing the current EPS of $2.37 by the PE ratio of 16, we get an estimated stock price of $37.84. It's also important to note that earnings are expected to grow at 7% annually, so the stock price will likely continue to rise over time.
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Lubricants for production equipment which are not parts of the final products are called:
a. Finished goods
b. Work-in-process
c. Maintenance, repair and operating supplies
d. Cycle stock
e. Raw materials
Lubricants for production equipment which are not parts of the final products are called maintenance, repair and operating supplies.
The lubricants for production equipment that are not parts of the final products are called maintenance, repair, and operating supplies (MRO). MRO refers to any materials, tools, and equipment used in the production processes but is not directly included in the final products. Examples include cleaning supplies, lubricants, spare parts, and other consumables that keep the production equipment running smoothly.
These lubricants are essential to maintain the production processes and ensure the proper functioning of the production equipment, but they do not become part of the finished goods. Instead, they support the creation of final products and help maintain the cycle stock.
finished goods are the goods or products that are manufactured and ready for sale.
Cycle stock refers to the inventory of raw materials or finished goods kept in stock to meet the production demand.
Work-in-process is generally used for unfinished products that will be turned into finished products soon.
Raw materials are the materials that are used to produce finished goods or products.
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as a project manager your day-to-day responsibilities involve planning and organizing, managing tasks, budgeting, and controlling costs. in broadest terms, what is the purpose behind these responsibilities?
The purpose behind these responsibilities is to ensure that a project is completed on time, within budget, and to the desired quality standards.
What is the purpose behind day-to-day responsibilities?As a project manager, the purpose behind the day-to-day responsibilities involve planning and organizing, managing tasks, budgeting, and controlling costs are:
To deliver the project effectively and efficiently within the allocated budget and time frame.To ensure that the project meets the expectations of the client, stakeholders and team members.To minimize the risks involved in the project by identifying them and taking corrective action to prevent them from occurring.To motivate the team members, allocate tasks according to their skills, and provide them with necessary resources to achieve their objectives.To ensure that the project complies with the regulatory and legal requirements of the organization.To document the project details, monitor the progress, and report it to the stakeholders.To facilitate communication among the team members, stakeholders, and clients.To identify and resolve any issues or conflicts that arise during the project.To continuously improve the project management process by learning from past experiences and applying them to future projects.To maintain a positive and professional relationship with the client, stakeholders, and team members.Learn more about project management at
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which of the following product development strategies has the highest product development risk? group of answer choices alliances new internally developed products acquiring the developer purchasing technology joint ventures
Out of the given product development strategies, internally developed products have the highest product development risk.
Product development refers to the process of developing and introducing a new product to the market. It involves several stages, such as idea generation, concept development, testing, and launch. It is a crucial aspect of business growth and helps companies to remain competitive by meeting the changing demands of consumers.
There are various strategies that companies use to develop new products, including the following:
Alliances: Companies partner with other companies to share the risk and costs of developing new products. This helps in reducing the financial burden and sharing expertise.
New internally developed products: Companies use their resources to develop new products. It helps in retaining control over the process and maintaining confidentiality.
Acquiring the developer: Companies buy other companies that have developed a new product or have the capabilities to develop new products. This helps in gaining access to new markets and technologies.
Purchasing technology: Companies buy the technology required to develop new products. This helps in saving time and effort in developing new products.
Joint ventures: Companies partner with other companies to share the risk and rewards of developing new products. This helps in sharing the resources, risk, and expertise. The joint venture may involve pooling resources to form a new company.Out of the given strategies, internally developed products have the highest product development risk. It is because the company bears the entire cost and risk of developing a new product. There is also no guarantee of the success of the product.
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research results indicate all of the following except: a. shareholders of acquiring firms typically earn returns from the transaction that are close to zero. b. shareholders of acquired firms often earn above-average returns from an acquisition. c. the majority of acquisitions increase long-term value for the acquiring firm. d. immediately after the announcement of a planned acquisition, the stock price of the majority of acquiring firms declines in the majority of cases.
The research results indicate that all of the following are true except c. The majority of acquisitions increase long-term value for the acquiring firm.
Research on the performance of mergers and acquisitions has shown that the majority of acquisitions do not result in long-term value creation for the acquiring firm. Instead, many acquisitions fail to meet their objectives, and some even result in a decline in value for the acquiring firm. This suggests that the statement "the majority of acquisitions increase long-term value for the acquiring firm" is not supported by research evidence.
a. Shareholders of acquiring firms typically earn returns from transactions that are close to zero, b. Shareholders of acquired firms often earn above-average returns from an acquisition, and d. Immediately after the announcement of a planned acquisition, the stock price of the majority of acquiring firms declines in the majority of cases, which are all supported by research evidence.
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a loss from the sale or exchange of property will be disallowed in which of the following situations? a.a transaction between two partners with investments in the same partnership. b.a transaction between a partnership and a partner who has a 40 percent profit interest in the partnership. c.a transaction between a partnership and a partner who owns 40 percent of the partnership capital. d.a transaction between two partnerships owned 80 percent by the same partners. e.none of these choices are correct.
The loss from the sale or exchange of property will be disallowed in a transaction between two partnerships owned 80 percent by the same partners. The correct option is D.
This is because when two partnerships are owned by 80% of the same partners, it would mean that they are under common control, and this makes it a prohibited transaction.The disallowance of losses is generally referred to as anti-churning rules that were enacted in order to prevent tax avoidance. It prohibits a taxpayer from claiming a tax loss deduction from the sale of depreciable personal property that has been acquired or held by the taxpayer in a tax-free exchange or through a non-taxable transfer.Therefore, the loss from the sale or exchange of property will be disallowed in a transaction between two partnerships owned 80 percent by the same partners. The correct option is D.Learn more about loss here: https://brainly.com/question/26483369
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which of the following is an example of an external product development strategy? group of answer choices all of the above are examples of internal product development strategy. new internally developed products migrations of existing products alliances enhancements to existing products
None of the answer choices listed is an example of an external product development strategy.
External product development strategy involves collaborating with external partners such as suppliers, customers, or other companies to develop new products or improve existing ones. Some examples of external product development strategies include:
Strategic alliances or partnerships with other companies to jointly develop new products or technologies.Outsourcing product development to third-party firms that specialize in product design and development.Collaborating with customers to understand their needs and preferences and developing products that meet those needs.Acquiring other companies to gain access to their technology, products, or expertise.Therefore, the correct answer is none of the above.
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