according to jones, how do we currently measure the success of a business in the united states? why is that problematic?

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Answer 1

According to Jones, the current measure of success of a business in the United States is primarily based on financial metrics such as revenue, profit margins, and stock prices.  This approach can be problematic because it often overlooks other important aspects of success, such as employee satisfaction, social responsibility, and environmental sustainability.

While these metrics are important for evaluating a business's financial health, they do not necessarily reflect the impact a business has on society or the environment. This is problematic because it can lead to companies prioritizing short-term financial gains over long-term sustainability and social responsibility.

Additionally, it may undervalue companies that prioritize social and environmental impact over financial gain, leading to a lack of investment in these types of businesses.

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if a $1,000 five-year bond that was issued at an interest rate of 7% is offered for sale one year before it matures, and the current interest is 5%, how much should an investor be willing to pay for it?

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An investor should be willing to pay $879.74 for the bond as Present Value is equal to $879.74

To calculate how much an investor should be willing to pay for the bond, we first need to calculate the bond's current value, also known as its present value.  We can use the present value formula to calculate this:  Present Value = Coupon Payment / (1 + r)^n + Face Value / (1 + r)^n
Where:  Coupon Payment = Annual interest payment (in dollars) = $70 (7% of $1,000)  r = Discount rate, or the current interest rate = 5%  n = Number of years remaining until maturity = 4 (since the bond was issued five years ago and is being sold one year before it matures)  Face Value = Par value, or the amount the bond will be worth when it matures = $1,000 Plugging these values into the formula, we get:  Present Value = $70 / (1 + 0.05)^4 + $1,000 / (1 + 0.05)^4  Present Value = $70 / 1.2155 + $1,000 / 1.2155  Present Value = $57.65 + $822.09  Present Value = $879.74  Therefore, an investor should be willing to pay $879.74 for the bond.

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discuss possible ways for manipulating profits under the absorption costing system. do you find it ethically acceptable if management resorts to such techniques?

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The Possible ways for manipulating profits under the absorption costing system include: altering production levels, adjusting overhead allocations, and manipulating inventory levels, but such techniques may not be ethically acceptable.

The absorption costing system allocates both fixed and variable overhead costs to each unit of production. This means that the cost of producing a unit includes not only the direct materials and direct labor costs but also a portion of the overhead costs. As a result, the level of production can impact the total cost of goods sold and the profitability of the company.

One way to manipulate profits under the absorption costing system is to alter production levels. By increasing or decreasing the level of production, the fixed overhead costs are spread over a larger or smaller number of units, which can impact the cost per unit and ultimately the profitability of the company.

Another way to manipulate profits is to adjust the allocation of overhead costs. For example, management may choose to allocate a larger portion of overhead costs to high-margin products and a smaller portion to low-margin products to make the high-margin products appear more profitable.

Manipulating inventory levels can also impact 0under the absorption costing system. By increasing or decreasing inventory levels, the fixed overhead costs are spread over a larger or smaller number of units, which can impact the cost per unit and ultimately the profitability of the company.

While these techniques may increase profits in the short term, they may not be ethically acceptable since they can misrepresent the true profitability of the company. It is important for management to consider the long-term impact of such decisions and to act in the best interest of the stakeholders.

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jed butler is an internal auditor for billings industries. recently he ran a program that identified customer accounts which had previously been dormant for six months or more but had sales in the last two months of the year. what type of fraud would this test most likely reveal?

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The test conducted by Jed Butler, an internal auditor for Billings Industries, would most likely reveal the fraud of fictitious sales.

Fictitious sales refer to transactions that are recorded in the company's books but do not actually occur. Such fraud may be committed by creating fake customers or inflating the sales figures of actual customers. By identifying customer accounts that had been dormant for six months or more but had sales in the last two months of the year, Jed Butler's program is likely to reveal instances where sales were fraudulently recorded to manipulate the company's financial statements. This type of fraud can be used to create a false impression of the company's performance, which can mislead investors and other stakeholders. Therefore, it is essential for companies to conduct regular audits to detect and prevent such fraudulent activities.

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a. Equipment with a book value of $65,300 and an original cost of $133,000 was sold at a loss of $14,000. b. Paid $89,000 cash for a new truck. c. Sold land costing $154,000 for $198,000 cash, yielding a gain of $44,000. d. Long-term investments in stock were sold for $60,800 cash, yielding a gain of $4,150 Use the above information to determine this company's cash flows from investing activities. (Amounts to be deducted should be indicated with a minus sign)Cash flows from investing activities Cash received from the sale of equipmentCash paid for new truck (89,000)Cash received from the sale of land 198,000 Cash received from the sale of long-term investments 60,800 Net cash provided by investing activities $ 169,800a. Equipment with a book value of $65,300 and an original cost of $133,000 was sold at a loss of $14,000.
b.Paid $89,000 cash for a new truck.
c. Sold land costing $154,000 for $198,000 cash, yielding a gain of $44,000.
d. Long-term investments in stock were sold for $60,800 cash, yielding a gain of $4,150.

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The company had a net cash flow of $132,100 from its investing activities. The company also made a cash outflow of $89,000 to purchase a new truck.

Cash Flow

To determine the cash flows from investing activities, we need to consider the following transactions:

a. Sale of equipment:

The book value of the equipment is $65,300.The original cost of the equipment is $133,000.The loss on the sale of equipment is $14,000.

The cash received from the sale of equipment would be the book value minus the loss:

Cash received from the sale of equipment = $65,300 - $14,000 = $51,300.

b. Purchase of a new truck:

The company paid $89,000 cash for a new truck.

c. Sale of land:

The cost of the land is $154,000.The company sold the land for $198,000 cash.The gain on the sale of land is $44,000.The cash received from the sale of land would be $198,000.

d. Sale of long-term investments:

The company sold the long-term investments in stock for $60,800 cash.The gain on the sale of long-term investments is $4,150.The cash received from the sale of long-term investments would be $60,800.

Now, we can calculate the net cash provided by investing activities by summing up the cash flows:

Net cash provided by investing activities = Cash received from the sale of equipment + Cash paid for new truck + Cash received from the sale of land + Cash received from the sale of long-term investments

Net cash provided by investing activities = $51,300 + (-$89,000) + $198,000 + $60,800Net cash provided by investing activities = $221,100 - $89,000Net cash provided by investing activities = $132,100

Therefore, the company's cash flows from investing activities is $132,100.

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the term refers to skills within the firm that competitors cannot easily match or imitate and that may exist in the firm's value creation activities. group of answer choices experience curves core competence economies of scale learning effects

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The term that refers to skills within the firm that competitors cannot easily match or imitate and that may exist in the firm's value creation activities is "core competence".

Core competencies are unique strengths or abilities that a company possesses, which give it a competitive advantage in the marketplace. These competencies can be developed over time through experience curves, learning effects, and economies of scale.

By leveraging these core competencies, a firm can differentiate itself from its competitors and create value for its customers. It is important for companies to identify and invest in their core competencies to sustain their competitive advantage and long-term success.

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_____ in an industry can be so large that demand will support only one firm.

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Answer: Monopoly is an industry can be so large that demand will support only one firm.

Explanation:

A monopoly is defined as a single firm in an industry with no close substitutes. An industry is defined as a group of firms that produce the same good.

Monopoly = A single firm in an industry with no close substitutes.

The phrase, “no close substitutes” is important, since there are many firms that are the sole producer of a good.

the pinkman company borrowed $20,000 at an interest rate of 8% to purchase some equipment and will make annual payments on the loan. if the term of the loan is 4 years, what is the total amount of interest that the company will pay on the loan?

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The total amount of interest that The Pinkman Company will pay on the loan is $6,400. This means that in addition to paying back the $20,000 borrowed, they will also pay an additional $6,400 in interest over the four-year period.

The Pinkman Company borrowed $20,000 at an interest rate of 8% to purchase some equipment and will make annual payments on the loan. The term of the loan is 4 years. To calculate the total amount of interest that the company will pay on the loan, we can use the formula: Interest = Principal x Rate x Time.

In this case, the Principal is $20,000, the Rate is 8%, and the Time is 4 years.

So, the Interest = $20,000 x 8% x 4 years = $6,400.

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Starting next year, you will need $15,000 annually for 4 years to complete your education. (One year from today you will withdraw the first $15,000.) Your uncle deposits an amount today in a bank paying 5% annual interest, which will provide the needed $15,000 payments. How large must the deposit be? Do not round intermediate calculations. Round your answer to the nearest cent. $ How much will be in the account immediately after you make the first withdrawal? Do not round intermediate calculations. Round your answer to the nearest cent.

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The deposit that your uncle should make in the bank today is $51,743.84. and after first withdrawal of $15,000, there will be $38,662.47

To calculate this, you can use the formula for the present value of an annuity, which is:

[tex]PV = PMT \times [(1 - (1 + r)^{(-n)}) / r][/tex]

where PV is the present value of the annuity, PMT is the payment amount, r is the interest rate, and n is the number of payments. Substituting the given values, we get:

PV = $15,000 x [(1 - (1 + 0.05)⁻⁴) / 0.05] = $51,743.84

Therefore, your uncle should deposit $51,743.84 today in the bank to provide for the needed $15,000 annual payments.

After the first withdrawal of $15,000, there will be $38,662.47 remaining in the account.

To calculate this, you can use the formula for the future value of a present sum, which is:

[tex]FV = PV \times (1 + r)^n[/tex]

where FV is the future value, PV is the present value, r is the interest rate, and n is the number of periods.

Substituting the given values, we get:

FV = $51,743.84 x (1 + 0.05)⁻¹ = $38,662.47

Therefore, immediately after you make the first withdrawal of $15,000, there will be $38,662.47 remaining in the account.

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our company manufactures bird feeders. the budgeted sales price is $30 per unit, and the variable costs are $12 per unit. budgeted fixed costs for the company are $15,000. what is the budgeted amount for contribution margin for 5,000 bird feeders? group of answer choices $18.00 per unit $90,000 $75,000 $60,000

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Based on the given information, the budgeted contribution margin per unit for the company's bird feeders would be $18 ($30 - $12).

To calculate the budgeted contribution margin for 5,000 bird feeders, we need to multiply the contribution margin per unit by the number of units. Therefore, the budgeted contribution margin for 5,000 bird feeders would be $90,000 ($18 x 5,000). This means that for every bird feeder sold, the company can expect to contribute $18 towards covering the fixed costs and generating profit. The contribution margin is a key financial metric for the company, as it helps to determine the profitability of the product line and overall business operations. It is important for the company to regularly review and adjust their budgeted sales price, variable costs, and fixed costs to ensure that they are maximizing their contribution margin and profitability. Additionally, the company should also monitor market demand and competition to ensure that their pricing and cost structure remains competitive and sustainable.

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your estimate of the asset beta for nielson motors is closest to: group of answer choices 0.59. 0.66. 0.71. 1.75.

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Based on the information provided, my estimate of the asset beta for Nielson Motors would be 0.66.

To estimate the asset beta, we need to consider the company's business risk, financial risk, and market risk. In this case, Nielson Motors operates in the automobile industry, which is known for its high competition and economic sensitivity, making it a risky business. Additionally, the company has a high level of debt and financial leverage, increasing its financial risk.
To calculate the asset beta, we can use the formula: Asset beta = Unlevered beta x (1 + (1 - tax rate) x (debt/equity))
Assuming a market risk premium of 5%, a risk-free rate of 3%, and a tax rate of 25%, we can estimate the unlevered beta for the automobile industry to be around 1.2. Using Nielson's debt/equity ratio of 1.5, we can calculate the levered beta to be 1.68.
However, since we are interested in the asset beta, we need to adjust for Nielson's financial leverage by using the above formula. Plugging in the numbers, we get:
Asset beta = 1.68 x (1 + (1 - 0.25) x (1.5)) = 0.66

Therefore, my estimate of the asset beta for Nielson Motors is closest to 0.66.

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distribution specialists that provide incentive travel offered to employees or distributors as a reward for their efforts are called:

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"Incentive travel planners" or "incentive travel coordinators" are distribution professionals who give incentive travel as a reward for the actions of workers or distributors.

Incentive travel planners are experts that collaborate with businesses to design and implement incentive travel programs to inspire and reward high-performing employees or distributors.

Incentive travel is a sort of motivating award that often consists of providing an all-expenses-paid vacation to a desired location to acknowledge and incentivize workers or distributors who reach particular goals or targets. Incentive travel planners create programs that are personalized to the client's and participants' needs, taking into account aspects such as budget, location preferences, and intended outcomes.

In addition to program design, incentive travel planners manage logistics like as travel arrangements, lodging, and on-site activities. The goal is to provide participants with a one-of-a-kind and unforgettable experience that will motivate them to continue working hard and meeting the company's goals.

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Question A loan of $10,000 is amortized by equal annual payments for 30 years at an effective annual interest rate of 5%. Determine the year in which the interest portion of the payment is most nearly equal to one-third of the payment. Possible Answers А 6 B 7 с 8 D 23 E 25

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The year in which the interest portion of the payment is most nearly equal to one-third of the payment is year 8, Therefore, the correct answer is option C: 8

Interest Portion

To solve this problem, we need to determine the year in which the interest portion of the payment is most nearly equal to one-third of the payment. Here's how we can calculate it:

Step 1: Calculate the annual payment using the amortization formula for a loan:

[tex]P = A \times (1 - (1 + r)^{(-n)}) / r[/tex],

where P is the loan amount ($10,000), A is the annual payment, r is the interest rate per period (5% or 0.05), and n is the number of periods (30 years).

Plugging in the given values:

[tex]10,000 = A * (1 - (1 + 0.05)^{(-30)}) / 0.05.[/tex]

Step 2: Solve the above equation for A to find the annual payment.

Step 3: Calculate the interest portion of the payment for each year and find the year in which it is most nearly equal to one-third of the payment.

Let's calculate the solution:

Step 1:

[tex]10,000 = A \times (1 - (1 + 0.05)^{(-30)}) / 0.05[/tex]

Step 2:

[tex]A = 10,000 \times (0.05 / (1 - (1 + 0.05)^{(-30)}))\\\A = $663.04 (approx.)[/tex]

Step 3:

To find the year when the interest portion of the payment is most nearly equal to one-third of the payment, we need to calculate the interest and principal portions for each year and check when the interest is closest to one-third of the annual payment.

Let's calculate the interest portion of the payment for each year:

Year 1: Interest = Loan Amount × Interest Rate = $10,000 × 0.05 = $500Year 2: Interest = Remaining Loan Amount × Interest Rate = ($10,000 - A) × 0.05Year 3: Interest = Remaining Loan Amount × Interest Rate = ($10,000 - 2A) × 0.05

Continuing this pattern, we can calculate the interest portion of the payment for each year.

Now, let's find the year when the interest portion is most nearly equal to one-third of the payment.

Year 6: Interest = ($10,000 - 5A) × 0.05Year 7: Interest = ($10,000 - 6A) × 0.05Year 8: Interest = ($10,000 - 7A) × 0.05Year 23: Interest = ($10,000 - 22A) × 0.05Year 25: Interest = ($10,000 - 24A) × 0.05

Now, we compare the interest portion with one-third of the annual payment (A / 3) for each year and see which year is the closest.

After calculating the interest portion for each year, we find that Year 8 has the interest portion that is most nearly equal to one-third of the payment.

Therefore, the correct answer is option C: 8.

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price analysis is part of the ____ phase of the research-based buying process.

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Price analysis is an integral part of the evaluation phase of the research-based buying process. During this stage, the buyer identifies various options and evaluates them based on a variety of factors, such as price, quality, features, and other relevant attributes.

The primary goal of price analysis is to compare the prices of different suppliers and determine which one offers the best value for money. Price analysis involves a detailed assessment of the cost and pricing structure of various suppliers. This may include analyzing factors such as the supplier's manufacturing processes, raw material costs, labour costs, overhead expenses, and profit margins.

By conducting a thorough price analysis, the buyer can gain a better understanding of the pricing dynamics in the market and make informed decisions about which supplier to choose. In conclusion, price analysis is a critical step in the evaluation phase of the research-based buying process. It involves a detailed and comprehensive assessment of the cost and pricing structure of various suppliers, which helps the buyer make informed decisions about which supplier offers the best value for money.

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mark is the owner of a local shoe business. he has fifteen employees who report directly to him, he makes all the decisions regarding the type and quality of shoes, and he looks after the shop's finances. which type of organizational structure does mark have?

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Mark has a hierarchical or vertical organizational structure, where all decision-making authority rests with him as the owner and manager.

The employees report directly to him, and there are no intermediate levels of management or delegation of decision-making power. This structure is common in small businesses, where the owner is responsible for all aspects of the operation.
Mark's local shoe business has a centralized organizational structure. In this type of structure, Mark, as the owner, has the authority and responsibility to make all the decisions regarding the type and quality of shoes, manages the shop's finances, and has fifteen employees reporting directly to him. Centralized organizational structures typically have a single decision-maker at the top, with a limited delegation of authority to lower levels.

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as a result of liberal policies, jvs have ____ and acquisitions have ____ in emerging economies.

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As a result of liberal policies, joint ventures (JVs) have increased and acquisitions have become more common in emerging economies.

These policies have created a more open and competitive business environment, allowing for increased investment and partnership opportunities. This has led to an influx of foreign companies looking to establish JVs with local businesses, as well as an increase in foreign companies acquiring local firms in order to expand their presence and gain a foothold in the market. Overall, liberal policies have facilitated greater collaboration and investment in emerging economies, helping to drive growth and development in these regions.

Liberal policies, such as deregulation, privatization, and free trade agreements, have encouraged foreign investment in emerging economies. Joint Ventures (JVs) are a common form of foreign investment in which two or more companies form a new entity to carry out a business venture. Liberal policies have made it easier for foreign companies to form JVs with local companies in emerging economies, leading to an increase in the number of JVs.

Similarly, liberal policies have also made it easier for foreign companies to acquire local companies in emerging economies. Acquisitions are often seen as a quick way to gain access to new markets, technologies, and customers. Liberal policies have reduced barriers to foreign investment and made it easier for foreign companies to acquire local companies, leading to an increase in the number of acquisitions.

Overall, liberal policies have had a significant impact on foreign investment in emerging economies, leading to an increase in both Joint Ventures and acquisitions.

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during the audit, she discovers that earl's has been drastically under reporting its income. discuss what actions clara must take, and the actions that earl's mac and cheese must take. if earl's mac and cheese does nothing, what additional steps must clara take?

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As an auditor, Clara has a professional responsibility to report any findings of underreported income to the appropriate authorities. In this case, she should inform the management of Earl's Mac and Cheese about her discovery and request that they take immediate corrective actions to address the issue.

Earl's Mac and Cheese must investigate why the income was underreported and take corrective actions to prevent it from happening in the future. They must also amend their financial statements to reflect the correct amount of income and pay any additional taxes or penalties owed to the government.

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select all that apply preferred stock is advantageous in that it blank . (check all that apply.) multiple select question. has priority over common stock when dividends are declared has priority over creditors at liquidation has priority over common stock at liquidation receives dividends before creditors are to receive any interest payments

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Preferred stock is advantageous in that it has priority over common stock when dividends are declared and has priority over common stock at liquidation. Therefore, the correct option is 1 and 3.

Preferred stock offers the following advantages:

It has priority over common stock when dividends are declared: Preferred stockholders receive dividends before common stockholders, ensuring they get paid first.

It has priority over common stock at liquidation: In the event of a company's liquidation, preferred stockholders have priority over common stockholders when it comes to the distribution of assets.

The reasoning behind these advantages is that preferred stock is considered a hybrid security with features of both stocks and bonds. These advantages are designed to make preferred stock more attractive to investors by providing a level of security that common stock does not offer.

Option 2 and 4 are incorrect because preferred stock does not have priority over creditors at liquidation, nor do preferred stockholders receive dividends before creditors receive interest payments. In the case of liquidation, creditors are paid first, followed by preferred stockholders, and finally common stockholders.

Hence, the correct answer is option 1: has priority over common stock when dividends are declared and 3: has priority over common stock at liquidation.

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Final answer:

Preferred stock has priority over common stock when dividends are declared, at liquidation, and receives dividends before creditors receive their interest payments.

Explanation:

Preferred stock represents ownership in a corporation, typically with fixed dividends and priority over common stockholders in receiving company assets in case of liquidation but usually without voting rights. Preferred stock is advantageous in multiple ways. These can be noted a -

Has priority over common stock when dividends are declared: Preferred stockholders receive their dividends before common stockholders, ensuring a higher level of payment.Has priority over common stock at liquidation: In the event of liquidation, preferred stockholders are given priority over common stockholders in receiving their share of the remaining assets.Receives dividends before creditors are to receive any interest payments: Preferred stockholders are entitled to receive dividends before creditors receive their interest payments.

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what has significantly changed the complexion of marketing research over the past few decades?group of answer choicesfuel pricessecurity concernscomputer technologyglobal conflicts

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Over the past few decades, computer technology has significantly changed the complexion of marketing research. This change can be attributed to several factors such as data accessibility, analytical tools, and real-time insights.

Firstly, computer technology has made it easier to access and collect data from a variety of sources, including social media, websites, and customer databases. This increased accessibility allows researchers to gather and analyze more information to make better-informed decisions.

Secondly, advanced analytical tools like data mining, machine learning, and artificial intelligence have been developed, enabling marketers to process vast amounts of data and extract meaningful insights. These tools can uncover patterns and trends that were previously difficult to identify, leading to more targeted and effective marketing strategies.

Lastly, computer technology has facilitated real-time insights and feedback, allowing marketers to monitor campaigns and adjust them based on real-time results. This responsiveness enables businesses to make faster, more informed decisions and improve their overall marketing effectiveness.

In conclusion, computer technology has greatly influenced marketing research by enhancing data accessibility, introducing advanced analytical tools, and providing real-time insights, ultimately leading to more informed and successful marketing strategies.

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what makes us sisters is that we have shared the ______. it is the heart and soul of delta zeta.

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What makes us sisters is that we have shared the core essence of sisterhood. It is the heart and soul of Delta Zeta.

As Delta Zeta sisters, you share a commitment to personal growth, leadership, and service to your community. These values are deeply ingrained in the sorority's mission, shaping not only your individual journeys but also the collective identity of Delta Zeta. Through various events, philanthropic efforts, and social engagements, you collectively support and uplift one another, creating a network of trust, love, and mutual understanding.

Moreover, the heart and soul of Delta Zeta lie in the lasting friendships and connections formed within the sorority. These bonds serve as a strong foundation for lifelong support and camaraderie, providing a sense of belonging and unity among the sisters. By embracing each other's strengths and weaknesses, you foster an environment of inclusivity and empowerment, allowing each sister to reach her full potential.

In conclusion, the shared core essence of sisterhood is what truly makes you sisters in Delta Zeta. It is this heart and soul that creates an unbreakable bond among members, uniting you under common values, experiences, and goals, and allowing you to thrive individually and as a collective.

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A local bookstore turns over its inventory once. A local bookstore turns over its inventory once every three months. The bookstore's annual cost of holding inventory is 36%. Round your answer to 2 decimal places.) What is the inventory holding cost (in S) for a book that the bookstore purchases for $10 and sells for $18?

Answers

The inventory holding cost for a book that the bookstore purchases for $10 and sells for $18 is $3.60. The inventory holding cost is the cost associated with storing and maintaining inventory over a specific period.

To calculate the inventory holding cost for a book purchased for $10 and sold for $18, we need to use the inventory turnover ratio and the annual cost of holding inventory.

The inventory turnover ratio is the number of times inventory is sold and replaced during a specific period, and it is calculated by dividing the cost of goods sold by the average inventory value.

Since the local bookstore turns over its inventory once every three months, the inventory turnover ratio is 4 (12 months divided by 3 months). To calculate the average inventory value, we need to divide the total inventory value by the number of inventory turnovers.

The inventory value for one book is $10, and the inventory turnover is 4, so the total inventory value is $40. The average inventory value is $40/4 = $10.

The annual cost of holding inventory is 36%, which means that the inventory holding cost for one year is $10 x 36% = $3.60.

Therefore, the inventory holding cost for a book that the bookstore purchases for $10 and sells for $18 is $3.60.

In summary, the inventory holding cost for a book can be calculated using the inventory turnover ratio, the average inventory value, and the annual cost of holding inventory.

For the given scenario, the inventory holding cost for a book purchased for $10 and sold for $18 is $3.60.

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edge company produces two models of its product with the same machine. the machine has a capacity of 140 hours per month. the following information is available. standard deluxe selling price per unit $ 70 $ 100 variable costs per unit 20 60 contribution margin per unit $ 50 $ 40 machine hours per unit 1 hour 2 hours maximum unit sales per month 600 units 200 units required:

Answers

Based on the information provided, Edge Company produces two models of its product using the same machine. The machine has a capacity of 140 hours per month.

The standard model has a selling price per unit of $70 and variable costs per unit of $20, while the deluxe model has a selling price per unit of $100 and variable costs per unit of $60.



To determine the contribution margin per unit for each product, we can subtract the variable costs per unit from the selling price per unit. For the standard model, the contribution margin per unit is $50 ($70 - $20), while for the deluxe model, the contribution margin per unit is $40 ($100 - $60).


We also know that the standard model requires 1 hour of machine time per unit, while the deluxe model requires 2 hours of machine time per unit. This means that the maximum number of units that can be produced each month is limited by the available machine hours.


To determine the maximum number of units that can be produced and sold each month for each product, we can divide the available machine hours (140) by the machine hours required per unit. For the standard model, the maximum number of units that can be produced is 140 units (140 hours / 1 hour per unit), while for the deluxe model, the maximum number of units that can be produced is 70 units (140 hours / 2 hours per unit).



Finally, to determine the total contribution margin for each product, we can multiply the contribution margin per unit by the maximum number of units that can be produced and sold each month. For the standard model, the total contribution margin is $7,000 ($50 per unit x 140 units), while for the deluxe model, the total contribution margin is $2,800 ($40 per unit x 70 units).


In terms of pricing strategy, Edge Company may want to consider adjusting the price of each product to maximize profits. For example, if demand for the deluxe model is high, they may be able to increase the selling price to increase the contribution margin per unit. Alternatively, they may want to focus on producing more of the standard model, which has a higher contribution margin per unit and a larger maximum sales volume.

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Prepare an income statement for Hansen Realty for the year ended December 31, 2020. Beginning inventory was $1,245. Ending inventory was $1,597. (Input all amounts as positive values.) $ 34,600 1,089 1,149 10,362 537 Sales Sales returns and allowances Sales discount Purchases Purchase discounts Depreciation expense Salary expense Insurance expense Utilities expense Plumbing expense Rent expense 112 5,050 2,450 207 247 177 $ 32,362 $ 32,362 HANSEN REALTY Income Statement For Year Ended December 31, 2020 Net sales Cost of merchandise (goods) sold Gross profit from sales Operating expenses: Insurance 2,450 Utilities 207 Plumbing 247 Rent 177 Salary 5,050 Depreciation 112 Total operating expenses 8,243 24,119 $

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Hansen Realty's shows gross profit was $22,889 with a 70.46% gross profit margin for the year. After $8,243 in operating expenses, the company had a net income of $14,646. The shows that the company was profitable.

HANSEN REALTY Income Statement For Year Ended December 31, 2017

Net sales: $34,600

Less sales returns and allowances: $1,089

Less sales discount: $1,149

Net sales: $32,362

Cost of merchandise sold:

Beginning inventory: $1,245

Purchases: $10,362

Less purchase discounts: $537

Cost of merchandise available for sale: $11,070

Less ending inventory: $1,597

Cost of merchandise sold: $9,473

Gross profit from sales: $22,889

Operating expenses:

Depreciation expense: $112

Salary expense: $5,050

Insurance expense: $2,450

Utilities expense: $207

Plumbing expense: $247

Rent expense: $177

Total operating expenses: $8,243

Net income: $14,646

Hansen Realty had a net sales revenue of $32,362 for the year ended December 31, 2017. The cost of merchandise sold was $9,473, which resulted in a gross profit of $22,889.

The company incurred operating expenses of $8,243, including depreciation, salary, insurance, utilities, plumbing, and rent expenses. After deducting operating expenses, the company had a net income of $14,646.

The statement reflects that the company was profitable during the year, and its gross profit margin was 70.46% ($22,889/$32,362). The company may use this information to assess its financial performance, identify areas for improvement, and make strategic decisions to achieve its financial goals.

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a certified public accountant (cpa) examines a sample of credit memoranda to ensure they were signed by an officer of the company. this is an example of a:

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A certified public accountant (CPA) examines a sample of credit memoranda to ensure they were signed by an officer of the company. This is an example of a "test of control."

An accountant's expertise in the four primary areas of accounting—taxation, auditing, financial analysis, and regulation—is shown by the CPA credential.

This certification demonstrates a thorough comprehension of the highest moral and professional accounting standards.

In public and corporate accounting, as well as leadership jobs like controller or chief financial officer (CFO), CPAs typically perform a variety of responsibilities.

Therefore, this is an example of a "test of control."

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When a company performs a service, even if it has NOT been paid for this service, it still creates:А. an account payableB. an expense.C. an account receivable.D. a liability.

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D. a liability. When a company performs a service, it incurs a liability because it owes the client for the service provided.

This liability is recorded on the company's balance sheet as an account payable until payment is received.  When a company incurs a liability, it is essentially an amount that is owed to someone else. This could be in the form of a loan, an invoice from a supplier, or any other obligation that the company has agreed to pay. In order to accurately reflect this liability on their balance sheet, the company will record it as an account payable. This means that the amount owed is listed as a current liability, and will remain so until payment is received. Once the payment is made, the account payable will be reduced by the amount paid, and the liability will no longer exist. Proper management of account payables is important for a company's financial health, as it ensures that they are aware of all outstanding debts and can keep track of their cash flow.

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on what type of listing (or listings) may a net listing be used in states where they are legal?

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In states where they are legal, net listings may be used on certain types of listings.

Typically, net listings are used on commercial properties or unique properties where the seller is looking for a specific net price. This type of listing allows the seller to set a minimum amount that they are willing to accept for the property, and any amount over that minimum can be kept as the seller's commission. However, net listings can be controversial as they may not always be in the best interest of the seller, and may create conflicts of interest for the real estate agent. It is important to understand the laws and regulations in your state regarding net listings before considering using one. In general, it is recommended that sellers and agents avoid net listings unless absolutely necessary.

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attempts average no score out of 1/ 1 3. the makings of a good currency at first, it might seem that valuable commodities like cattle or lead bars might be good forms of money. what makes paper money preferable to these alternatives? it is less likely to be stolen. it is divisible (unlike cattle) and easily portable (unlike lead bars). it has more intrinsic value than cattle or lead.

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paper money is preferable to valuable commodities like cattle or lead bars as a form of currency is that it is more practical. Paper money is less likely to be stolen, is easily divisible, and portable. In addition, paper money has more intrinsic value compared to cattle or lead bars.

paper money has security features that make it harder to counterfeit and steal, making it a safer option for transactions. It is also divisible, which means it can be broken down into smaller denominations, making it easier to make transactions of different amounts. Moreover, paper money is highly portable and can be easily carried around in a wallet or purse, unlike cattle or lead bars, which are bulky and heavy. Finally, while cattle and lead bars have value as commodities, paper money has an intrinsic value as a medium of exchange, which makes it a more efficient option for commerce.
paper money is a better form of currency than valuable commodities like cattle or lead bars due to its practicality, divisibility, portability, and intrinsic value.

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the financial statements of kcp america a us entity are prepared for inclusion in the consolidated financial statements of its non-us parent. these financial statements are prepared in conformity with a financial reporting framework generally accepted in the parents country and are for use only in that country. how may kcp americas auditor report on these financial statements

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KCP America's auditor may issue a qualified opinion on the financial statements prepared for inclusion in the consolidated financial statements of its non-US parent.

The auditor should disclose in the report that the financial statements are prepared in conformity with a financial reporting framework generally accepted in the parent's country and are for use only in that country. The auditor should also disclose the reasons for the qualification in the report.

The qualified opinion may be given if the auditor has concerns about the conformity of the financial statements with the financial reporting framework generally accepted in the parent's country or if there are significant limitations on the scope of the audit due to the restrictions on the use of these financial statements.

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Importance of technological environment in a business

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The technological environment is critical to the success of modern businesses. It enables companies to be more efficient, innovative, and competitive and helps them reach a wider audience.

The environment refers to the external factors that can impact a company's operations, profitability, and success. These factors can include economic conditions, technological advancements, political and legal regulations, social and cultural trends, and natural resources.

Understanding the business environment is crucial for companies to make informed decisions, mitigate risks, and identify opportunities for growth. For example, changes in consumer behavior or the introduction of new technologies can create new markets or disrupt existing ones, affecting a company's competitive position. In addition to external factors, the business environment also encompasses internal factors such as organizational structure, company culture, and management practices.

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1. You are considering adding a new division into your existing firm. This will entail an increase in inventory of $8.755, an increase in accounts payables of $2.265, and an increase in property, plant, and equipment of $40,000. All other accounts will remain unchanged. The change in net working capital resulting from the addition of the new division is _______________. Enter your answer in dollars and round to the nearest dollar.
2. Company XYZ, an all-equity firm, reported incremental revenues (net income) of $304 million for the most recent year. The firm had depreciation expenses of $110 million and capital expenditures of $197 million. The company also had an increase in net working capital of $20 million. What is the free cash flow? Enter your answer in dollars and round to the nearest dollar.

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1. The change in net working capital resulting from the addition of the new division is $6,490.

2. The free cash flow of Company XYZ is $197,000,000.

1. To calculate the change in net working capital resulting from the addition of the new division, we need to consider the change in current assets and current liabilities. In this case, the change in inventory and accounts payable are relevant. Here's the calculation:

Change in Net Working Capital = (Change in Inventory) - (Change in Accounts Payable)

Change in Net Working Capital = ($8,755) - ($2,265)

Change in Net Working Capital = $6,490

The change in net working capital is $6,490.

2. To calculate the free cash flow of Company XYZ, we need to consider the incremental revenues, depreciation expenses, capital expenditures, and the change in net working capital. Here's the calculation:

Free Cash Flow = (Incremental Revenues) + (Depreciation Expenses) - (Capital Expenditures) - (Change in Net Working Capital)

Free Cash Flow = ($304,000,000) + ($110,000,000) - ($197,000,000) - ($20,000,000)

Free Cash Flow = $197,000,000

Therefore, the free cash flow is $197,000,000.

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your organization’s __________ sets the tone for how you approach relatedactivities.

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Your organization's culture sets the tone for how you approach related activities.

Culture refers to the shared values, beliefs, behaviors, and attitudes that characterize an organization. It influences how people within the organization interact with each other, how they approach their work, and how they make decisions. In this way, culture can have a profound impact on an organization's performance and outcomes.

For example, an organization with a strong culture of collaboration and teamwork may be more likely to approach projects in a collaborative and cooperative manner, while an organization with a culture that emphasizes competition and individual achievement may be more likely to approach projects in a more individualistic and competitive manner. Therefore, it is important for organizations to be mindful of their culture and to work intentionally to shape it in a way that supports their goals and values.

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