The accounting change is classified into three categories, namely, accounting principle, accounting estimate, and accounting entity.
What is accounting change?Accounting change is the process of accounting where the use of different accounting principles, methods, or estimates can lead to a different financial statement's presentation of the company. There are three categories of accounting change. They are as follows:
-Accounting principle Accounting estimate Accounting entity. Accounting principle This category of accounting change reflects a change in the method of accounting from one accepted principle to another accepted principle. A change from LIFO to FIFO or vice versa is an example of this type of change.
Accounting EstimateA change in accounting estimates is a change that arises as new information comes to light, or as past estimates are proven to be inaccurate. An example of this type of change is changing the percentage of uncollectible accounts from 3% to 5%.
Accounting entity This category of accounting change involves a change in the company's legal structure, such as incorporation or merger. A change in reporting unit is an example of this type of change.
Liability classification Asset classification Accounting structure Accounting principle The correct option among the given alternatives is accounting principle.
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zwick company bought 21,000 shares of the voting common stock of handy corporation in january 2024. in december, handy announced $208,400 net income for 2024 and declared and paid a cash dividend of $9.00 per share on all 205,000 shares of its outstanding common stock. zwick company's dividend revenue from handy corporation in december 2024 would be:
Zwick Company purchased 21,000 shares of the voting common stock in January 2024. In December 2024, Zwick Company's dividend revenue from Handy Corporation would be $189,000.
Common stock that gives shareholders the right to vote on company matters, such as electing the board of directors or making changes to the company's charter, is known as voting common stock. Voting common stockholders have the right to vote on company policies and management issues.
Holders of these shares are generally entitled to one vote per share of stock owned, allowing them to elect members of the board of directors, approve changes to the company's charter or bylaws, and vote on significant company initiatives.
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which of the following auditor concerns most likely could be so serious that the auditor would conclude that a financial statement audit cannot be conducted? a) the entity has no formal written code of conduct. b) the integrity of entity's management is suspect. c) procedures requiring separation of duties are subject to management override. d) management fails to modify prescribed controls for changes in conditions.
it is critical that entities maintain high standards of integrity in their management and have effective internal controls to prevent and detect fraud.
This helps to ensure that the financial statements are reliable and can be used by stakeholders to make informed decisions.
The integrity of management is a crucial factor in determining the reliability of financial statements. If an auditor suspects that management lacks integrity, it can create serious concerns about the accuracy and completeness of the financial information provided. A lack of integrity on the part of management could result in fraudulent financial reporting, which can lead to material misstatements in the financial statements. It could also lead to misappropriation of assets, which can affect the entity's financial position and operating results.
If an auditor concludes that management lacks integrity, it may be difficult or impossible to rely on management representations or obtain sufficient audit evidence to support the financial statements. The auditor may need to modify the audit approach or perform additional procedures to obtain the necessary assurance. In some cases, the auditor may conclude that a financial statement audit cannot be conducted due to concerns about management integrity.
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what are the key issues for starbucks ? what are the problems associated with the decision to offer fair trade coffee from a communications perspective ? what are the problems associated with not offering fair trade coffee ? what should smith do ?
Starbucks’ key issue regarding its decision to offer Fair Trade coffee from a communications perspective is how it will be perceived by consumers. If Starbucks opts to offer Fair Trade coffee, some consumers may view this positively, viewing Starbucks as a socially responsible company. On the other hand, some consumers may be hesitant to embrace this decision, as it could be seen as a sign of corporate responsibility and/or political correctness.
Additionally, Starbucks would face potential problems if they choose not to offer Fair Trade coffee. This could damage their reputation, as customers may believe that Starbucks is ignoring their ethical and social responsibilities. Furthermore, not offering Fair Trade coffee could lead to a loss in customer loyalty.
In order to make an informed decision, Smith should consider all of the potential implications of either offering or not offering Fair Trade coffee. Smith should also analyze public opinion and research the customer’s view on Fair Trade coffee and how it affects their opinion of Starbucks.
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a key component of TQM is continuous improvement an ongoing process through which employees strive to eliminate waste, reduce response time, minimize defects, and simplify the design and delivery of products and services to customers (true or false)
True, a key component of Total Quality Management (TQM) is continuous improvement, which is an ongoing process through which employees strive to eliminate waste, reduce response time, minimize defects, and simplify the design and delivery of products and services to customers.
What do you mean by Total Quality Management ?This approach ensures that businesses maintain high-quality standards and consistently work towards enhancing their processes to achieve better results.
Error detection, reduction, or elimination are continual processes in total quality management (TQM). It is applied to improve customer service, optimise supply chain management, and guarantee personnel training.
The goal of total quality management is to "construct and make permanent a climate where employees enhance their ability to supply on-demand goods and services than customers will find particularly valuable."
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company policy forbids co-workers to become romantically involved. you go to the same church as someone from another department, and you find yourself becoming attracted to this person. do you pursue the relationship? which prescriptive theory does this behavior most align with? why?
The company policy forbids co-workers to become romantically involved, and you go to the same church as someone from another department.
Do you pursue the relationship?The prescriptive theory that most aligns with this behavior is the rule-based theory. The rule-based theory is a kind of ethical theory that emphasizes the importance of following the rules. This theory maintains that moral decision-making should be guided by rules, and it is wrong to violate them.
The company policy forbids co-workers to become romantically involved, and it is essential to follow the rules. You must not pursue the relationship, even if you are attracted to the person from another department. To maintain a good relationship and ethical values at the workplace, it is necessary to avoid such relationships.
One should not mix personal life and professional life in such a way that it affects either life's progress adversely.The rule-based theory states that the right thing to do is to follow the rules, regardless of the consequences. In this situation, the best thing to do is to refrain from pursuing the relationship, as doing so would violate the company's policies and could have adverse consequences.
Hence, to maintain ethical values, one should follow the rules and avoid such relationships.
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a negative externality such as pollution can be corrected by a) a subsidy to producers. b) a tax on producers. c) a subsidy to consumers. d) a stimulus to production.
A negative externality such as pollution can be corrected by a tax on producers.
What is a negative externality?A negative externality is an economic situation that occurs when the cost of a decision made by one party falls on a third party who did not participate in the decision.
An externality exists when the cost of a decision made by one party falls on a third party who did not participate in the decision. Pollution is one instance of a negative externality. This is when a producer emits pollutants into the environment as part of its production process, but the public bears the cost of this pollution in the form of health problems and reduced quality of life.
A tax on producers is used to resolve negative externalities. A tax on production (producers) can be used to address negative externalities like pollution.
The tax creates a financial disincentive for producers to emit pollution by raising the cost of their production. In doing so, the tax is intended to make the expense of pollution mitigation less than the expense of pollution creation.
As a result, producers would be required to incorporate the environmental cost of their production into their decision-making, leading them to reduce their pollution emissions.
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trading that involves purchasing large blocks of securities on the expectation of a favorable price move is called
The trading strategy that involves purchasing large blocks of securities on the expectation of a favorable price move is called "block trading."
Block trading refers to the buying or selling of a large number of shares or securities at one time, typically by institutional investors, such as mutual funds or hedge funds. Block trading can have a significant impact on the price of a security and is often used by investors who believe that a stock is undervalued or poised for a price increase.
However, block trading can also carry risks, such as liquidity concerns and market impact costs, and requires a certain level of expertise and resources to execute successfully.
Block trading is a strategy used by institutional investors to buy or sell a large number of shares or securities in a single transaction. This type of trading is usually done outside of the open market and involves negotiating a price directly with a counterparty, often a broker or another institutional investor.
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9) consider the capm. the risk-free rate is 6%, and the expected return on the market is 13%. what is the expected return on a stock with a beta of 1.4? a) 24% b) 20.6% c) 11.0% d) 15.8%
b) 20.6%
The Capital Asset Pricing Model (CAPM) is a model used to determine the expected return of a security given its risk level. The expected return on a stock with a beta of 1.4 can be calculated as follows:
Expected return = Risk-free rate + (Expected return on the market - Risk-free rate) * Beta
Therefore, the expected return on a stock with a beta of 1.4 is calculated as follows:
Expected return = 6% + (13% - 6%) * 1.4
Expected return = 20.6%
In conclusion, the expected return on a stock with a beta of 1.4 is 20.6%. The CAPM is a useful tool for investors to determine the expected return of a security given its risk level. By using the CAPM, investors can assess the risk and return of a security and make informed decisions.
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the rapid development of internet technologies during the 1990s allowed businesses to produce goods and services more cheaply than before and also gave rise to completely new services. we would show this change in the ad/as model by moving the short-run aggregate:
This increased productivity led to an increase in potential aggregate supply, which would be shown in the AD/AS model by shifting the short-run aggregate supply (SRAS) curve to the right which can lead to a decrease in inflation.
The AD/AS model is a macroeconomic model that is used to show the relationship between aggregate demand (AD), aggregate supply (AS) and the price level of a given economy.
When the SRAS curve shifts to the right, this increases the quantity of output produced at each price level. This can lead to a decrease in price level, which is represented in the AD/AS model as a downward shift of the AD curve. As the AD curve shifts downwards, it can cause a decrease in inflation.
This means that with the rapid development of internet technologies during the 1990s, it allowed businesses to produce goods and services more cheaply than before, and this in turn could lead to a decrease in the inflation rate.
In conclusion, the rapid development of internet technologies during the 1990s led to an increase in potential aggregate supply, which is shown in the AD/AS model by a shift in the SRAS curve to the right. This decrease in price level is then represented by a downward shift of the AD curve, which can lead to a decrease in inflation.
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unexploited profit opportunities a.are quickly eliminated by arbitrage. b.are quick to disappear. c. help investors generate abnormally high returns in the long run. d. are split equally among all investors.
Unexploited profit opportunities are quickly eliminated by arbitrage. The correct option is a.
In the world of finance, unexploited profit opportunities, or market inefficiencies, are temporary disparities between the price of an asset and its underlying fundamental value. These inefficiencies arise due to various factors, such as market imperfections, information asymmetries, or behavioral biases. However, these inefficiencies do not persist for long periods because they are quickly eliminated by arbitrage.
Arbitrage refers to the practice of taking advantage of the price discrepancies between similar assets in different markets or different time periods. It involves buying an undervalued asset and selling an overvalued asset to earn a riskless profit. As a result, arbitrageurs play a crucial role in restoring market efficiency by exploiting and eliminating market inefficiencies.
Therefore, unexploited profit opportunities are quickly eliminated by arbitrage, and investors cannot generate abnormal returns in the long run by exploiting them. Instead, investors need to be vigilant and quick to take advantage of such opportunities before they disappear.
Hence, a. arbitrage is the correct option.
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Managers of corporations need to act in an ethical manner
A. because ethics violations will be punished by the law.
B. because a business must be trusted by investors, customer and the public if it is to succeed.
C. because business managers must answer to a higher authority.
D. because ethical behavior is its own justification.
In the following question, among the given options, The correct option is (B). Managers of corporations need to act in an ethical manner "because a business must be trusted by investors, customers and the public if it is to succeed."
Why do managers of corporations need to act in an ethical manner? The answer is that the managers of corporations need to act in an ethical manner because a business must be trusted by investors, customers, and the public if it is to succeed. Business is about trust, and trust is built through ethical behaviour.
A company that acts ethically is more likely to be trusted by investors, customers, and the public. When a company is trusted, it is more likely to be successful because people will be more willing to do business with it.It is, therefore, essential that managers of corporations act in an ethical manner to ensure that their businesses thrive. If a company is not trusted by investors, customers, and the public, it is unlikely to be successful, and the managers of the company may face serious consequences such as lawsuits, fines, and loss of reputation.
Managers of corporations must, therefore, make ethical decisions and act in an ethical manner to build and maintain trust and ensure the success of their businesses.
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B. Because a business must be trusted by investors, customers, and the public if it is to succeed, is the reason why managers of corporations need to act in an ethical manner.
A corporation's managers must act ethically and responsibly for the following reasons:
Legal reasons:
Managers of corporation must comply with a variety of laws, rules, and regulations. They must ensure that the company's actions are consistent with these laws and regulations.
Managers of corporations must be aware of the rules and regulations in their respective sectors and work to ensure that the business follows them.
Ethical reasons:
Managers of corporations must behave ethically and avoid ethical concerns. They must be honest, fair, and responsible. They must demonstrate respect for their customers, employees, and stakeholders.
Customers' and stakeholders' confidence and trust in a company are critical factors in its success.
Business managers must answer to a higher authority:
Managers of corporations must behave ethically and transparently because they are responsible for the company's performance and results. They must meet the company's goals, but they must also do so while following the company's ethical and moral values.
In other words, managers of corporations are responsible for ensuring that their company operates ethically and responsibly. This is critical for the success of the company.
Ethical behavior is its own justification:
Ethical behavior benefits a corporation in a variety of ways, including increased trust and customer loyalty, improved employee productivity and engagement, and long-term financial success.
Ethical conduct strengthens a corporation's reputation, which is critical to its success. It's a clear reflection of the corporation's values, principles, and vision, and it will help them gain consumer confidence, which is critical to their future success.
Managers of corporations must act ethically for a variety of reasons, including legal requirements, ethical considerations, accountability to a higher authority, and the fact that ethical behavior is critical to a company's long-term success.
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when the expected inflation rate increases, the demand for bonds ________, the supply of bonds ________, and the interest rate ________, everything else held constant.
decreases; increases; rises
"When the expected inflation rate increases, the demand for bonds decreases, the supply of bonds increases, and the interest rate rises, everything else held constant."
When the expected inflation rate increases, people anticipate that the future purchasing power of their money will decrease. As a result, they look for investments that can provide a higher rate of return to compensate for the loss of purchasing power. Bonds are one such investment that offer a fixed rate of return.
Therefore, the demand for bonds increases as investors seek to protect their wealth from the impact of inflation. However, as the demand for bonds rises, the supply of bonds decreases, making them more expensive. To attract investors, the interest rate on bonds needs to increase. Thus, when expected inflation increases, the demand for bonds rises, the supply of bonds decreases, and the interest rate increases, everything else held constant.
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In order for family-managed businesses to survive and prosper, management guru Peter Drucker advises them to:A. fill at least one key position with a nonfamily member.B. discontinue hiring family members.C. allow for minimal performance by family members.D. exclude outsiders while planning succession.E. hire family members alone.
Peter Drucker, a renowned management guru, advised that for family-managed businesses to survive and prosper, they should fill at least one key position with a nonfamily member.
This ensures that the business has the benefit of diverse perspectives, and that family members can focus on core tasks. Additionally, Drucker suggests that family members should not be excluded from planning succession; instead, the focus should be on providing meaningful roles for family members, while still allowing for external input. This ensures that the family business will be able to continue to thrive, even in the event of changes in ownership. Finally, it is important to note that hiring family members alone is not sufficient to ensure the longevity of the business. Instead, the focus should be on finding talented professionals who can help the business succeed.
Hence, Peter Drucker, a renowned management guru, advised that for family-managed businesses to survive and prosper, they should fill at least one key position with a nonfamily member.
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Assume Coleco pays an annual dividend of $1.48 and has a share price of $37.14. It announces that its annual dividend will increase to $1.76. If its dividend yield stays the same, what should be its new share price?
If Coleco increases its annual dividend to $1.76 while maintaining the same dividend yield, its new share price should be approximately $44.22.
To find the new share price of Coleco:We need to keep its dividend yield constant while taking into account the increase in its annual dividend.
1. First, calculate the current dividend yield using the initial annual dividend and share price:
Dividend Yield = (Annual Dividend / Share Price)
2. Plug in the given values:
Dividend Yield = ($1.48 / $37.14)
3. Calculate the Dividend Yield:
Dividend Yield ≈ 0.0398
4. Now, use the new annual dividend of $1.76 and the same dividend yield to find the new share price:
New Share Price = (New Annual Dividend / Dividend Yield)
5. Plug in the values:
New Share Price = ($1.76 / 0.0398)
6. Calculate the New Share Price:
New Share Price ≈ $44.22
So, if Coleco's dividend yield stays the same, its new share price should be approximately $44.22.
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wm. wrigley jr. company once made only chewing gum. when wrigley bought life savers (a line of candy mints) and altoids (a line of breath mints) from kraft, chewing gum then constituted less than 95 percent of revenues. thus, wrigley: a. probably planned to restructure these companies and sell them off. b. became a conglomerate since life savers and altoids are unrelated businesses. c. was moving away from its traditional dominant strategy toward a related linked strategy. d. was moving away from its traditional single-business strategy toward a dominant strategy.
Thus, Wrigley's (option c) was moving away from its traditional dominant strategy toward a related linked strategy.
Wrigley's acquisition of Life Savers and Altoids represents a shift from its traditional single-business strategy focused solely on chewing gum to a related linked strategy that includes other types of candy mints and breath mints. This strategy allows the company to expand its product offerings and capture a larger share of the market for mint-based products.
While the new acquisitions may not be directly related to chewing gum, they are still part of the broader candy and confectionery industry, making them a logical extension of Wrigley's existing business. Therefore, option C is the most accurate answer.
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shockglass company had a beginning inventory of $15,000. during the year, the company recorded inventory purchases of $45,000 and cost of goods sold of $50,000. the ending inventory must equal:
The initial inventory purchases for Shockglass Corporation was $15,000 in value. The company recorded $45,000 in purchases and $50,000 in cost of goods sold during year. $10,000 must be final inventory.
In what category do inventory acquisitions fall?A general ledger account called the purchases is where a company keeps track of its inventory purchases. In a periodic inventory system, the amount of inventory that is available for purchase is determined using this account.
Is the purchase of inventory an expense?When the product is sold, inventory becomes an expense. When a consumer pays you for that item, it ceases to be a "asset" and instead becomes a "expense" on your income statement. That is anything that the company owns up until that moment.
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the process where vendors ship the merchandise prepackaged to the distribution center in the quantities required for each store and then that merchandise is shipped to stores as soon as it is received is called
The process where vendors ship the merchandise prepackaged to the distribution center in the quantities required for each store and then that merchandise is shipped to stores as soon as it is received is called the direct-to-store delivery method.
Direct-to-store delivery is a delivery method in which vendors ship the goods prepackaged to the distribution center in the quantities required for each store, and the goods are then transported to the stores as soon as they are received.
Direct-to-store delivery refers to the distribution method in which vendors send their goods directly to the retailer's stores instead of to a warehouse or distribution center. This approach is commonly used by clothing and shoe vendors in shopping malls, as well as by suppliers to department stores.
The benefits of this delivery method are that it reduces the amount of handling required, lowering transportation costs and allowing vendors to quickly react to demand changes.
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current information for the healey company follows: beginning raw materials inventory$ 14,600 raw material purchases54,000 ending raw materials inventory16,000 beginning work in process inventory21,800 ending work in process inventory27,400 direct labor39,800 total factory overhead29,400 all raw materials used were direct materials. healey company's total manufacturing costs for the year are:
Healey Company's total manufacturing costs for the year were $121,800.
First, we can calculate the cost of raw materials used by using the formula:
Cost of raw materials used = Beginning raw materials inventory + Raw material purchases - Ending raw materials inventory
Plugging in the values in the problem, we get:
Cost of raw materials used = $14,600 + $54,000 - $16,000 = $52,600
Since all raw materials used were direct materials, this represents the total cost of direct materials used in production.
Next, we can add the cost of direct labor and total factory overhead:
Direct labor + Total factory overhead = $39,800 + $29,400 = $69,200
Finally, we can add the costs of raw materials used, direct labor, and total factory overhead to get the total manufacturing costs for the year:
Total manufacturing costs = Cost of raw materials used + Direct labor + Total factory overhead
Total manufacturing costs = $52,600 + $39,800 + $29,400 = $121,800
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if people expected that a tax cut was temporary, then this fiscal policy's effect on the economy will tend to be:group of answer choicesstrongerthe exact opposite of what was intendedweakeras the multiplier effect would predict
If people expected that a tax cut was temporary, then this fiscal policy's effect on the economy will tend to be weaker as the multiplier effect would predict. The correct answer is D.
Why would it be weaker?
The effect of a fiscal policy depends on how the public perceives it. A temporary tax cut would have a weaker impact on the economy as compared to a permanent one. This is because a temporary tax cut would encourage people to spend less and save more as they know that taxes will be back to the same level after a short period of time. Thus, the multiplier effect of a temporary tax cut would be smaller than the multiplier effect of a permanent tax cut.
A temporary tax cut would have a weaker impact on the economy because of the following reasons: Inefficiency: Fiscal policy takes time to implement, and it is not possible to make precise adjustments. A temporary tax cut may take even longer to implement than a permanent one. This would make it difficult for the government to implement the policy effectively.
Uncertainty: A temporary tax cut would lead to uncertainty among people about their future income. This would result in a decrease in the consumption and investment levels of the people. Lower investment: A temporary tax cut would not encourage businesses to invest in long-term projects. As a result, it would not lead to significant growth in the economy. Thus, the multiplier effect of a temporary tax cut would be less than that of a permanent tax cut.
As a result, it can be concluded that if people expected that a tax cut was temporary, then this fiscal policy's effect on the economy will tend to be weaker as the multiplier effect would predict.
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ii. with a nominal interest rate of 5% per year, the present discounted value of $100 to be received in 10 years is a) $50.00. b) $61.39. c) $95.24. d) $150.00. e) $163.89.
With a nominal interest rate of 5% per year, the present discounted value of $100 to be received in 10 years is is b) $61.39.
The present discounted value (PDV) of $100 to be received in 10 years is the present-day value of that amount discounted by the nominal interest rate of 5% per year.
To calculate the PDV, use the following formula:
PDV = Future Value x [tex]\frac{1}{(1+r)^{2} }[/tex]
Where r = interest rate (5%)
and n = number of years (10)
PDV = 100 x (1 / (1 + 0.05)^10)
PDV = 100 x 0.61
PDV = $61.39
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charge users to redistribute the software you are the owner of a small open source software firm. which options are true about ways you can generate revenue?
Selling support and consulting services are ways you can generate revenue. Option E is correct.
As the owner of a small open source software firm, you can generate revenue in the following ways by charging users to redistribute the software:
Licensing Fees: You can charge a licensing fee to users who want to redistribute your software, either in its original form or as part of a larger product.
Customization Services: You can offer customization services to users who want to modify your software to meet their specific needs.
Technical Support: You can offer technical support services to users who need help using or implementing your software.
Training: You can offer training services to users who want to learn how to use your software effectively.
Premium Features: You can offer premium features or additional functionality to users who pay for a premium version of your software.
These revenue streams can help you sustain your business while also contributing to the open source community by making your software available to a wider audience.
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The complete question is:
Charge users to redistribute the software you are the owner of a small open source software firm. Which options are true about ways you can generate revenue?
A. Claiming royalties on software based on open source codeB. Licensing OSS for incorporation into subsequent open source productsC. Selling open source products at prices well below commercial productsD. Marketing versions of open source software masked as proprietary softwareE. Selling support and consulting servicesof the following process costing steps, which must be done last? multiple choice identify the product costs to account for. compute the equivalent units of production. compute the costs per equivalent unit of production. measure the physical flow of resources.
The last step among the following process costing steps is to identify the product costs to account for. A process costing system is used when a company produces a large quantity of homogeneous products.
Companies like these keep track of the costs associated with each production process to compute the overall cost of the final product.
Process costing is a method of accounting that is used to determine the cost of a product that is produced on a large scale by a company.
Steps in the process costing method are as follows:
Measure the physical flow of resources.Compute the equivalent units of production.Compute the costs per equivalent unit of production.Identify the product costs to account for.
Therefore, it can be concluded that the step that must be done last among the given process costing steps is to identify the product costs to account for.
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marginal revenue is equal to price for a firm in a perfectly competitive market and is defined as group of answer choices the change in total revenue that results from a one-unit increase in the quantity sold. the total revenue from the total amount the firm sells. total revenue divided by the total quantity sold. the value of a firm's sales.
The marginal revenue is equal to price for a firm in a perfectly competitive market and is defined as the change in total revenue that results from a one-unit increase in the quantity sold is a correct statement.
The correct statement above means that if a firm sells more than one unit, the marginal revenue would be equal to the selling price.
What is marginal revenue?Marginal revenue (MR) is the additional income earned from selling one additional unit of a good.
Marginal revenue is the change in total revenue that results from a one-unit increase in the quantity sold.
It is calculated as the difference between the revenue obtained from selling the last unit of the good and the revenue obtained from selling the second-to-last unit of the good.
For example, if a firm sells 10 units of a good and makes $100 in total revenue, and then sells 11 units of that good and makes $110 in total revenue, the marginal revenue from selling the 11th unit is $10.
What is the formula for marginal revenue?The formula for marginal revenue is:
MR = ∆TR / ∆Q where MR is the marginal revenue,
∆TR is the change in total revenue, and
∆Q is the change in quantity sold.
Marginal revenue is a crucial concept for firms because it tells them how much extra revenue they will generate by selling one more unit of their product at a particular price.
In a perfectly competitive market, the firm's marginal revenue is equal to the selling price, as the market sets the price, and the firm is a price taker.
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under absorption costing, fixed overhead is treated like a variable cost because a portion of the total cost is allocated to each unit produced, rather than being expensed as one large sum. true/false
The statement "under absorption costing, fixed overhead is treated like a variable cost because a portion of the total cost is allocated to each unit produced, rather than being expensed as one large sum." is true because it is spread out over a certain number of units.
Absorption costing treats fixed overhead as a variable cost as is spread out over a certain number of units. This means that a portion of the fixed overhead cost is allocated to each unit produced, rather than the cost being expensed as one large sum.
In other words, the fixed overhead cost is allocated to each unit produced in order to determine the total cost of that unit. This helps managers to better analyze their production costs and to make better decisions about pricing and production levels.
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suggested pre-requi planning and the marketing mix learning objectives after completing this simulation you should be able to: * discuss how product development is the foundation of the 4 p's * explain how design options impact production costs * analyze the connection between design options and customer interest * apply this information in support of achieving mission goals
Suggested Pre-Requisites in order to get the most out of this marketing mix simulation, you should have a basic understanding of marketing principles and practices, including product development, production costs, customer interest, and mission goals.
This simulation is designed to help you understand how product development is the foundation of the 4 Ps (product, price, place, and promotion) of the marketing mix. You will learn how design options impact production costs and how they can be used to analyze the connection between design options and customer interest. After completing the simulation, you should be able to apply this information in support of achieving mission goals.
Basic understanding of marketing principles: It would be helpful to have a foundational knowledge of marketing concepts, such as the marketing mix (4 P's), customer segmentation, and target marketing.Product development process: Understanding the product development process would be useful, including the stages of ideation, design, testing, and launch.Production and cost analysis: Having a basic understanding of production processes and cost analysis would be beneficial in understanding how design options impact production costs.Consumer behavior: It would be helpful to have an understanding of consumer behavior and how it relates to product design and interest.Organizational mission and goals: Familiarity with the organization's mission and goals would be useful in applying the simulation results to support achieving those goals.By having these prerequisites in place, learners will be better equipped to understand the concepts presented in the simulation and apply them to real-world situations.
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lower of cost or net realizable value (lcnrv) applies to firms that use fifo or average cost. group of answer choices true false
The given statement "lower of cost or net realizable value (LCNRV) applies to firms that use FIFO or average cost" is a false because LCNRV applies to all inventory valuation methods.The lower of cost or net realizable value (LCNRV) is a method of valuing inventory that indicates that inventory should be valued at whichever is lower between the cost of the inventory and the net realizable value (NRV).
The lower of cost or net realizable value (LCNRV) principle applies to all firms, regardless of whether they use the FIFO, LIFO, or average cost method of inventory valuation. Companies may use any of these approaches to value their inventory, but the LCNRV principle applies to all of them.How does the LCNRV principle work?The lower of cost or net realizable value (LCNRV) principle is a financial accounting rule that determines the appropriate value for inventory.
The principle stipulates that inventory should be carried at whichever is lower between the cost of the inventory and the net realizable value (NRV). The net realizable value is the amount of revenue that a firm can expect to receive from selling the inventory in the market, minus the cost of completing the sale.
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you establish a straddle on wmt using call and put options with a strike price of $140 and same expiration date. the call premium is $3.4 and the put premium is $3.4. what is your profit (per share) if the stock price at the expiration date is $121?
If the stock price is $121 at the expiration date, then you will have a net loss of $1.40 per share. The intrinsic value of the options is equal to the difference between the strike price of $140 and the stock price at the expiration date of $121, or $19. Since the combined cost of the options is greater than the intrinsic value, your profit per share is - $1.40.
This is because the combined cost of the call and put premiums was $6.80, and the intrinsic value of the options will be $0 at that stock price. To calculate the total cost of the straddle, add the cost of the call premium of $3.4 to the cost of the put premium of $3.4, for a total cost of $6.80.
Since the stock price is $121 at expiration, the intrinsic value of the options is equal to $19, which is the difference between the strike price of $140 and the stock price of $121. Subtracting the cost of $6.80 from the intrinsic value of $19 gives you a net loss of $1.40 per share.
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the primary objective of procedures performed to obtain an understanding of the entity's internal control is to provide an auditor with:
The primary objective of procedures performed to obtain an understanding of the entity's internal control is to provide an auditor with an understanding of the design, implementation, and effectiveness of the internal control system of the company.
What are internal controls?Internal controls are a collection of policies, procedures, and rules that organizations implement to protect assets, ensure data integrity, and keep their operations running smoothly.Internal controls are a series of systems and policies established by management to protect an organization's assets, ensure accurate financial reporting, and promote adherence to laws and regulations.
The primary objective of an audit is to assess the internal controls of the business being audited. These controls include policies, procedures, and systems that are put in place to ensure that the company's assets are safeguarded, its financial reporting is accurate, and it adheres to all relevant laws and regulations.
By assessing these controls, an auditor can better understand the business and identify any potential weaknesses in the internal control system.
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what is the term used for the person or organization who acts as an intermediary for the purpose of obtaining financing
The term used for the person or organization who acts as an intermediary for the purpose of obtaining financing is a "financial intermediary."
The term used for the person or organization who acts as an intermediary for the purpose of obtaining financing is "financial intermediary." Financial intermediaries are entities such as banks, credit unions, insurance companies, pension funds, and investment funds, which channel funds from savers to borrowers.
Financial intermediaries play a vital role in the economy by connecting those who have excess funds with those who need them. For example, a bank takes in deposits from savers and then lends out those funds to borrowers who need financing. By doing so, the bank earns interest income on the loans it makes, while also providing a return to depositors. Similarly, an investment fund takes in money from investors and then invests that money in various assets, such as stocks and bonds, with the goal of generating a return on investment.
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which of the following statements about embryonic industries is true? group of answer choices they are characterized by very a high initial customer demand. they involve low production costs because of large volumes of production. they are characterized by well-developed distribution channels. they face the challenge of educating customers who are not familiar with their product benefits. they enjoy the abundance of complementary products that help increase sales.
The statement that is true about embryonic industries is: "they face the challenge of educating customers who are not familiar with their product benefits."
Embryonic industries are new and emerging industries that are in the early stages of development. These industries typically face a number of challenges, including the need to educate customers who may not be familiar with their product or service. This challenge arises because the products or services offered by embryonic industries are often new and innovative, and customers may not yet understand the benefits they provide.
The other statements listed in the question are not necessarily true of embryonic industries. While embryonic industries may have high initial customer demand, low production costs due to large volumes of production, and complementary products that help increase sales, these characteristics are not defining features of embryonic industries. Similarly, embryonic industries may or may not have well-developed distribution channels, depending on the specific industry and market conditions.
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