as a firm continues to produce additional output, which of the following will continue to decline as output expands? question 14 options: average fixed costs opportunity costs average total costs marginal costs

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Answer 1

As a firm continues to produce additional output, average fixed costs will continue to decline as output expands.

Why does it decline?

This is because fixed costs are spread over a larger quantity of output, resulting in a lower per-unit cost. This happens because fixed costs are spread over a larger number of output units, resulting in a lower average fixed cost per unit.

The other options, such as opportunity costs, average total costs, and marginal costs, may change depending on various factors but do not necessarily continue to decline as output expands.

However, marginal costs may increase as output expands due to the law of diminishing returns. Opportunity costs and average total costs may vary depending on the specific situation of the firm.

Hence, it can be concluded that as a firm continues to produce additional output, average fixed costs will continue to decline as output expands.

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The complete question is

As a firm increases its output, which of the following will consistently decrease? Please select the appropriate option:

A) Average fixed costs

B) Opportunity costs

C) Average total costs

D) Marginal costs


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match the following terms to the appropriate definitions. promissory note promissory note drop zone empty. principal principal drop zone empty. interest interest drop zone empty. maker maker drop zone empty. payee payee drop zone empty. maturity date maturity date drop zone empty. one who signed the note and promised to pay at maturity amount that the signer agrees to pay back, not including interest day that the principal and interest must be paid written promise to pay a specified amount of money charge from using money loaned from one entity to another the person to whom the note is payable

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The terms to their appropriate definitions:

1. Promissory note: A written promise to pay a specified amount of money.
2. Principal: The amount that the signer agrees to pay back, not including interest.
3. Interest: The charge from using money loaned from one entity to another.
4. Maker: One who signed the note and promised to pay at maturity.
5. Payee: The person to whom the note is payable.
6. Maturity date: The day that the principal and interest must be paid.

A promissory note is a legally binding document that involves a maker, who signs the note and promises to pay back the principal amount along with any interest by a specified maturity date. The principal is the base amount of money borrowed, while interest is the additional charge for using the borrowed money.

The payee is the recipient of the funds, typically the lender or the person to whom the debt is owed. By understanding and matching these terms, you can better comprehend the components of a promissory note and the obligations of the parties involved.

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Two NOLs, No Temporary Differences, No Valuation Account, Entries and Income Statement (10pts)
Felicia Rashad Corporation has pretax financial income (or loss) from 2015 through 2021 as follows.
Year Income (Loss) Tax Rate (%)
2015 $48,000 25
2016 (150,000) 20
2017 90,000 20
2018 30,000 20
2019 105,000 20
2020 (60,000) 25
2021 130,000 25
Instructions
1. What entry(ies) for income taxes should be recorded for 2016?
2. Indicate what the income tax expense portion of the income statement for 2016 should look like. Assume all income (loss) relates to continuing operations.
3. What entry for income taxes should be recorded in 2017?
4. How should the income tax expense section of the income statement for 2017 appear?
5. What entry for income taxes should be recorded in 2020?
6. How should the income tax expense section of the income statement for 2020 appear?

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The income tax entries and expense on the income statement depend on taxable income. Losses may result in deferred tax assets, while future income may require deferred tax liabilities

The entries for income taxes and the presentation of income tax expense on the income statement depend on the taxable income or loss for each year and the applicable tax rates.

For 2016, where there was a loss of $150,000, no income tax expense was recorded due to the absence of taxable income. However, a deferred tax asset (DTA) may need to be recognized if the company expects to offset future taxable income with the loss from 2016.

In 2017, with a pretax financial income of $90,000, the income tax expense would be calculated based on the applicable tax rate of 20% and recorded as an expense, while the income tax payable would reflect the tax liability.

In 2020, a loss of $60,000 was incurred, resulting in no income tax payable. However, a deferred tax liability (DTL) might need to be recognized if the company expects to generate taxable income in the future that can be offset by the loss from 2020.

It is important to note that the specific amounts for the deferred tax assets and liabilities cannot be determined without additional information, such as the enacted tax rates and the timing of future taxable income or deductions.

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what is scenario analysis?multiple choice question.scenario analysis maps out the various steps involved in the manufacturing process.scenario analysis determines the impact on npv of a change in a single variable.scenario analysis determines the impact on npv of a set of events relating to a specific scenario.scenario analysis determines the probability of occurrence of various future events that could affect the project.

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The correct answer is: Scenario analysis determines the impact on NPV of a set of events relating to a specific scenario.

Scenario analysis is a technique used in financial analysis to assess the potential impact of different scenarios on a project or investment. It involves creating a set of hypothetical scenarios based on changes in variables such as interest rates, market conditions, or other relevant factors, and then analyzing the impact of each scenario on the project's net present value (NPV). This allows decision-makers to evaluate the risks and uncertainties associated with a project or investment and make more informed decisions based on a range of possible outcomes.

Scenario analysis is a useful tool for decision-making in business and finance. Here are some additional points to consider:

Scenario analysis is often used to evaluate the impact of external factors that are outside of a company's control, such as changes in the regulatory environment, economic conditions, or geopolitical risks.

Scenario analysis can be used to evaluate the impact of multiple variables at once. For example, a company might create different scenarios based on changes in interest rates, exchange rates, and commodity prices, and then analyze the impact of each scenario on their business.

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Which of the following is not a recommended step in the Drive Free method of purchasing a car?A.Start w/inexpensive car & gradually move up in car value as your savings +B. Explore new car dealerships for the best interest rate.C. Plan your purchase in advance using the sinking fund method of saving.D. Place your savings in a mutual fund so that your money can make more money.

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Place your savings in a mutual fund so that your money can make more money is not a recommended step in the Drive Free method of purchasing a car.

The Drive Free method of purchasing a car involves starting with an inexpensive car and gradually moving up in car value as your savings and investments grow. It also involves planning your purchase in advance using the sinking fund method of saving, where you save a certain amount each month until you have enough to purchase the car with cash. Exploring new car dealerships for the best interest rate is also recommended. The idea is to avoid financing a car with debt and to pay cash for your cars.

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According to the​ text, what is the best way a market leader can protect its market share​ position?A. Through continuous innovationB. Through differentiationC. Through fixing weaknessesD. Through operational excellenceE. Through specialization

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According to the text, the best way a market leader can protect its market share position is through continuous innovation.

This entails constantly developing and updating products and services in order to stay ahead of competition and fulfil changing customer needs.

Market leaders can also distinguish themselves by providing unique features or benefits that set them apart from the competition, by addressing any areas of vulnerability, by striving for operational excellence to maintain efficiency and quality, or by specialising in a specific niche or segment of the market.

However, ongoing innovation is viewed as the most effective long-term strategy for maintaining a market leadership position.

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According to the law of one price, identical products sold in different countries must sell for the same price when Multiple Choice a. their price is expressed in terms of the same currency. b. their price is based on the lowest price available. c. they are sold by the same company.
d. they are sold ty competing companies.

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According to the law of one price, identical products sold in different countries must sell for the same price when a) their price is expressed in terms of the same currency.

The law of one price assumes that there are no transportation costs and no differential taxes applied to the products in the two countries. This concept is based on the idea that, in the absence of transaction costs and other barriers to trade, arbitrage will ensure that prices converge across markets.

The law of one price plays a crucial role in understanding the purchasing power parity theory, which states that exchange rates between currencies should reflect the relative prices of goods and services between countries. When there are discrepancies between the prices of identical products in different countries, it may indicate potential arbitrage opportunities or suggest factors like tariffs, transportation costs, and taxes that are affecting the prices.

In summary, the law of one price asserts that identical products in different countries should have the same price when expressed in a common currency, assuming there are no barriers to trade or transaction costs involved.

Therefore, the correct answer is a) their price is expressed in terms of the same currency.

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in the u.s. there is a trend to locate manufacturing facilities in the sunny, incentive-friendly, nonunionized south.. true false

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In the u.s., there is a trend to locate manufacturing facilities in the sunny, incentive-friendly, nonunionized South. The statement is generally true.

There has been a trend for manufacturing facilities to locate in the southern region of the United States, particularly in states that offer tax incentives, favorable business regulations, and low labor costs.

Some of the southern states, such as Texas, Florida, Georgia, and Tennessee, have attracted significant foreign investment, particularly in the automotive and electronics industries. Additionally, many of these southern states have right-to-work laws, which means that employees in unionized workplaces are not required to pay union dues or join a union, making it easier for companies to operate nonunionized facilities

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1. Smith Corporation's common stock is expected to pay a dividend of $3.00 forever and currently sells for $21.42. What is the required rate of return? Round final answer to two decimals, enter answer as a percent without the % sign.

2.Ted Corporation expects to generate free-cash flows of $200,000 per year for the next five years. Beyond that time, free cash flows are expected to grow at a constant rate of 5 percent per year forever. If the firm's weighted average cost of capital is 15 percent, the market value of the firm's debt is $500,000, and Ted has a half million shares of stock outstanding, what is the value of Ted stock? Round final answer to two decimals

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There are half a million shares of stock outstanding, the value of one share of Ted's stock is $3,658,804.05 / 500,000 = $7.32.

The required rate of return can be calculated using the Gordon Growth Model:

Required Rate of Return = (Dividend / Stock Price) + Growth Rate

Here, Dividend = $3.00, Stock Price = $21.42, and Growth Rate = 0% (as the dividend is expected to remain constant forever).

So, Required Rate of Return = (3.00 / 21.42) + 0 = 0.14 or 14%.

The value of Ted's stock can be calculated using the dividend discount model:

Value of Stock = (FCF1 / (r - g)) + (FCF2 / (r - g[tex])^2[/tex]) + ... + (FCF5 / (r - g[tex])^5[/tex]) + (Terminal Value / (r - g[tex])^5[/tex])

where FCF = free cash flow, r = weighted average cost of capital, g = growth rate, and Terminal Value = FCF6 * (1 + g) / (r - g)

Here, FCF1 to FCF5 = $200,000, FCF6 = $210,000 (5% growth rate applied to the last FCF), r = 15%, and g = 5%.

So, Terminal Value = $210,000 * (1 + 0.05) / (0.15 - 0.05) = $2,520,000

And, Value of Stock = (200,000 / (0.15 - 0.05)) + (200,000 / (0.15 - 0.05)^2) + ... + (200,000 / (0.15 - 0.05)^5) + (2,520,000 / (0.15 - 0.05)^5) = $3,658,804.05

Since there are half a million shares of stock outstanding, the value of one share of Ted's stock is $3,658,804.05 / 500,000 = $7.32.

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Stella places a market order with her broker to buy 1000 shares of One World Corp. The broker buys 1000 shares at $15.90 each, and sells them to Stella at $16.05 each. He also charges commission of $12.00. What is bid-ask spread in this case? O A. $162 O B. $150 O C. $120 OD. $210

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The bid-ask spread in this case is: $0.15 per share.

The bid-ask spread is the difference between the highest price a buyer is willing to pay (bid) and the lowest price a seller is willing to accept (ask) for a particular security. In this case, the broker bought the shares at a bid price of $15.90 each and sold them to Stella at an ask price of $16.05 each, resulting in a bid-ask spread of $0.15 per share.

To calculate the total cost to Stella, we can first find the total cost of the shares without commission, which is:

Total cost = 1000 x $15.90 = $15,900

Adding the commission of $12.00, the total cost becomes:

Total cost = $15,900 + $12.00 = $15,912.00

Stella's cost per share can be calculated as:

Cost per share = (Total cost + Commission) / Number of shares

Cost per share = ($15,912.00) / 1000 = $15.91

Therefore, the broker bought the shares at a bid price of $15.90 each, sold them at an ask price of $16.05 each, resulting in a bid-ask spread of $0.15 per share, and Stella paid a total cost of $15,912.00, or $15.91 per share.

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Stella places a market order with her broker to buy 1000 shares of One World Corp. The broker buys 1000 shares at $15.90 each, and sells them to Stella at $16.05 each. He also charges commission of $12.00. What is bid-ask spread in this case?

rob agrees to act as an agent for diane in selling her car. diane has a duty of loyalty to rob.
T/F

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True When Rob agrees to act as an agent for Diane in selling her car, Diane becomes the principal and Rob becomes the agent.

As the agent, Rob has a duty of loyalty to Diane, which means that he must act in her best interests and not use his position to benefit himself. This duty of loyalty is an important aspect of agency relationships and ensures that the agent acts in good faith and with the principal's best interests in mind.

An agency relationship is formed when one party (the principal) hires another party (the agent) to act on their behalf. The agent has a duty to act in the best interests of the principal and to avoid any conflicts of interest. In this scenario, Diane has hired Rob to act as her agent in selling her car. As Rob is acting on Diane's behalf, he owes her a duty of loyalty, which means that he must put her interests ahead of his own.

Rob cannot sell Diane's car to himself or a friend at a discounted price without her knowledge and consent. He must also disclose any information he has about the car's condition or history to potential buyers, even if it may affect the sale price. If Rob were to breach his duty of loyalty, Diane could take legal action against him for any damages she suffers as a result. Therefore, it is important for agents to act with integrity and always prioritize their principal's interests.

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Suppose that the consensus forecast of security analysts of your favorite company is that earnings next year will be E1 = $5.00 per share. Suppose that the company tends to plow back 50% of its earnings and pay the rest as dividends. If the Chief Financial Officer (CFO) estimates that the company's growth rate will be 8% from now onwards, answer the following questions. (a) If your estimate of the company's required rate of return on its stock is 10%, what is the equilibrium price of the stock? (b) Suppose you observe that the stock is selling for $50.00 per share, and that this is the best estimate of its equilibrium price. What would you conclude about either (i) your estimate of the stock's required rate of return; or (ii) the CFO's estimate of the company's future growth rate? (c) Suppose your own 10% estimate of the stock's required rate of return is shared by the rest of the market. What does the market price of $50.00 per share imply about the market's estimate of the company's growth rate?

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a. The equilibrium price of the stock can be calculated using the Gordon growth model. The model can be represented as: P = D₁ / (r - g), where P is the equilibrium price of the stock, D₁ is the dividend paid at the end of the first year, r is the required rate of return, and g is the expected growth rate. In this case, D₁ can be calculated as 50% of E₁, or $2.50.

Therefore, using a required rate of return of 10% and a growth rate of 8%, the equilibrium price of the stock can be calculated as $50.00.

b. If the stock is selling for $50.00 per share, and that is the best estimate of its equilibrium price, then it implies that the market believes the required rate of return on the stock is equal to the CFO's estimate of the company's future growth rate of 8%.

This would mean that the market believes the company will be able to continue growing at a rate of 8% in the future, which is consistent with the CFO's estimate.

c. If the market price of the stock is $50.00 per share, and the market's estimate of the required rate of return on the stock is 10%, then using the Gordon growth model, the market's estimate of the company's growth rate can be calculated as 2%.

This is because if r = 10% and P = $50.00, then D₁ = $2.50, and plugging these values into the Gordon growth model, we get: 50 = 2.5 / (0.1 - g), which yields a growth rate of 2%.

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The consensus forecast of security analysts of your favorite company is that earnings next year will be E1 = $5.00 per share. shareholders the Gordon growth model can be used to determine the stock's equilibrium price.

The Gordon growth model can be used to determine the stock's equilibrium price. P = D,/(r - g), where P is the equilibrium price of the stock, D, is

the dividend paid at the end of the first year, r is the required rate of return, and g is the anticipated growth rate, can be used to illustrate the model. In this scenario, D is equal to $2.50 or 50% of E.

The stock's equilibrium price can be computed as $50.00 utilising a 10% needed rate of return and an 8% growth rate. If the best estimate of the stock's equilibrium price is $50 per share,

then this suggests that the market is in a state of equilibrium. This would imply that the market agrees with the CFO's prediction that the business will be able to grow at a rate of 8% going forward.

c. Using the Gordon Growth Model, it is possible to determine the market's estimated annual growth rate of the company as 2% if the market price of the stock is $50 per share and the required rate of return on the stock is estimated by the market to be 10%.

This is due to the fact that when these variables are entered into the Gordon growth model, we obtain the following result: 50 = 2.5/ (0:1 - g), which results in a growth rate of 2% if r=10% and P=$50.00, then D, = $2.50.

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the january effect refers to the ____ pressure on ____ stocks in january of every year.

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The January effect refers to the upward pressure on small-cap stocks in January of every year.

The January effect is a phenomenon in the stock market where small-cap stocks tend to outperform large-cap stocks in the first month of the year. This effect is believed to be driven by a combination of factors, including year-end tax selling, increased investor optimism and buying activity at the start of the year, and the release of positive corporate earnings reports.

Small-cap stocks are often considered riskier than large-cap stocks, but they can offer higher potential returns for investors willing to take on additional risk. The January effect is one of several seasonal trends that can affect the stock market and investor behavior.

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Suppose that observations on a stock price (in dollars) at the end of each of 15 consecutive weeks are as follows: 30.2, 32.0, 31.1, 30.1, 30.2, 30.3, 30.6, 33.0, 32.9, 33.0, 33.5, 33.5, 33.7, 33.5, 33.2 Estimate the stock price volatility. What is the standard error of your estimate?

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Our estimate of the stock price volatility is approximately 1.238, with a standard error of 0.320.

To estimate the stock price volatility, we can calculate the sample standard deviation of the 15 observations. Using a calculator or spreadsheet software, we find that the sample standard deviation is approximately 1.238.

To find the standard error of our estimate, we can use the formula:

standard error = sample standard deviation / square root of sample size

In this case, the sample size is 15, so the standard error is:

1.238 / √(15) ≈ 0.320

Therefore, our estimate of the stock price volatility is approximately 1.238, with a standard error of 0.320. This means that if we were to take repeated samples of 15 observations from the population of stock prices, we would expect our estimate to be within 0.320 units of the true volatility, on average.

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When an increase in the firm's output reduces its long-run average total cost, it achieves:
a. economies of scale.
b. diseconomies of scale.
c. constant returns to scale.
d. variable returns to scale.

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When an increase in the firm's output reduces its long-run average total cost, it achieves economies of scale. The correct option is a.

Economies of scale refer to the cost advantages that businesses achieve when they increase their production levels. This means that as a company increases its output, it becomes more efficient and the cost of production per unit decreases. The reasons for achieving economies of scale can be due to a variety of factors, such as the ability to purchase raw materials in bulk, the ability to spread fixed costs over a larger output, or the ability to use specialized equipment and technology more efficiently.

On the other hand, if a firm's output increases but its long-run average total cost also increases, then it experiences diseconomies of scale. This may happen due to inefficiencies that arise as the company grows, such as increased bureaucracy or difficulty in coordinating production processes.

Constant returns to scale occur when a company's output increases but its long-run average total cost remains constant. This means that the cost per unit of production stays the same regardless of the level of output.

Variable returns
to scale refer to a situation where a company's output increases but the cost per unit of production changes in a nonlinear manner. This means that the cost per unit of production may increase or decrease based on the level of output.

In summary, achieving economies of scale is beneficial for firms as it allows them to increase their output while reducing their cost per unit of production, making them more competitive in the market. Therefore option a seems most suitable.

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which of the following worsens adverse selection due to buyers having private information? sellers have flexibility to lower price but not to raise price. buyers have the choice to buy or not buy whenever they want to. buyers have constraints on their ability to buy or not buy whenever they want to. sellers have very limited ability to change price.

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The answer to the question is that buyers having private information worsens adverse selection.

However, the answer would be that the specific factor that worsens adverse selection in this scenario is the fact that buyers have the choice to buy or not buy whenever they want to. This gives them the power to selectively purchase only the products or services that they believe to be of high quality based on their private information. This, in turn, can lead to a market with lower-quality products and services, as sellers are not able to differentiate themselves based on quality alone. Additionally, the fact that sellers have limited ability to change prices further exacerbates the problem, as they may not be able to adjust their prices in response to changing market conditions or the behavior of buyers with private information.

Adverse selection occurs when buyers have private information about their preferences or risks, leading to an imbalance in the market. When sellers can lower prices but not raise them, buyers with private information may exploit this situation, leading to adverse selection as low-quality buyers may take advantage of lower prices, while high-quality buyers may be discouraged from participating in the market.

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if the price index moves from 107 during year 1 to 111 during year 2, the rate of inflation is approximately:

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The approximate rate of inflation between Year 1 and Year 2 is 3.74%.

To calculate the rate of inflation between Year 1 and Year 2 using the price index, we can use the following formula:

Inflation rate = ((Price index in Year 2 - Price index in Year 1) / Price index in Year 1) x 100%

Inflation rate = ((111 - 107) / 107) x 100%

Inflation rate = (4 / 107) x 100%

Inflation rate = 3.74% (rounded to two decimal places)

The rate of inflation is a measure of how much an economy's general price level of goods and services has increased over time. It is often quantified using a price index, such as the Consumer Price Index (CPI), which records the average price of a basket of widely consumed products and services by households.

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when no independent stock transfer agent is employed and the corporation issues its own stocks and maintains stock records, canceled stock certificates should:

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When no independent stock transfer agent is employed and the corporation issues its own stocks and maintains stock records,

Canceled stock certificates should be physically canceled and marked as canceled on the corporation's stock records to prevent any future unauthorized use or transfer.

When no independent stock transfer agent is employed and the company issues its own stocks and maintains stock records, canceled stock certificates should be carefully retained and documented by the corporation for record-keeping and compliance purposes.

The ideal model for estimating wine prices will ultimately rely on the particular data collection and the objectives of the investigation.

This suggests that there is a statistically significant association between these factors and the price of wine, and as a result, they can assist increase the model's predictive power.

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you have a desire to move up in the company. you have been offered two positions. one position is more people oriented and the other position is more task oriented. which position should you take?

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The answer to this question depends on what skills you possess and which ones you want to develop further.

If you enjoy working with people and have strong interpersonal skills, the people-oriented position may be a better fit for you.

However, if you are highly organized and enjoy tackling tasks and projects, the task-oriented position may be a better fit. Ultimately, the decision should be based on your strengths and interests, as well as your career goals and aspirations. It's important to consider which position will help you develop the skills and experience you need to advance in the company and achieve your long-term career objectives.

When deciding between a people-oriented position and a task-oriented position, consider your strengths, interests, and long-term career goals. If you excel in communication, teamwork, and interpersonal skills, the people-oriented position may be a better fit. On the other hand, if you prefer working independently, focusing on tasks, and have strong organizational skills, the task-oriented position might be more suitable. Ultimately, choose the position that aligns best with your abilities and aspirations for career growth within the company.

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one of the primary differences between job costing for service firms and job costing for manufacturing companies is service firms generally:

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Service firms struggle to measure and allocate indirect costs accurately due to complex pricing structures and less standardized processes.

One of the primary differences between job costing for service firms and job costing for manufacturing companies is that service firms generally have a more difficult time measuring and allocating their indirect costs.

In job costing, direct costs such as labor and materials are easily traceable to specific jobs or projects.

However, indirect costs such as rent, utilities, and administrative expenses are not directly traceable and must be allocated to jobs based on a predetermined allocation method.

For manufacturing companies, indirect costs can be allocated based on machine hours or direct labor hours. These measures are relatively easy to determine, as the production process is highly structured and standardized.

However, for service firms, there is often a greater variety of indirect costs and less standardized processes. Indirect costs may include marketing and advertising expenses, management salaries, and other overhead costs that are not directly tied to a specific project or job.

Allocating these costs accurately can be challenging, as there is often no clear way to measure or track them.

In addition, service firms often have more complex and varied pricing structures than manufacturing companies, making it more difficult to accurately determine the cost of a specific job or project.

Overall, while job costing is an important tool for both service firms and manufacturing companies, service firms may face greater challenges in accurately measuring and allocating indirect costs due to the nature of their business.

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how would it affect the quantity sold or transacted if the government imposed a price ceiling above pe?

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If the government imposes a price ceiling above the equilibrium price (pe), it would not have any immediate impact on the quantity sold or transacted.

However, in the long run, it could create a shortage in the market as the price ceiling is lower than the market equilibrium price, leading to an increase in demand but a decrease in supply. This shortage could lead to a black market for the product or service, where the price would exceed the government-imposed price ceiling. Additionally, suppliers may decrease their willingness to produce the product due to the lower profit margins, which could lead to a decrease in the quantity supplied in the market. Overall, a price ceiling above pe could result in a distorted market, leading to unintended consequences for both suppliers and consumers.

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lane is test driving several models of automobiles to help him decide which one to purchase. which source of information does this represent?

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Lane's test driving several models of automobiles represents a firsthand source of information. Firsthand sources are those sources of information that are directly experienced or witnessed by an individual. In this case, Lane is experiencing the performance, handling, and features of the different car models himself, making him a firsthand source.

This is an important source of information as it allows Lane to form his own opinions based on his personal experience, rather than relying solely on secondhand sources such as reviews or advertisements. By test driving the cars, Lane can get a better understanding of how the car handles, the quality of the ride, and how comfortable he feels behind the wheel. He can also test out the various features of each car, such as the entertainment system or safety features, to see which one best meets his needs. firsthand sources such as test driving allow individuals to make more informed decisions based on their own experiences and observations, rather than relying solely on information from external sources.

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which of the following creates an audit trail that protects both consumers and businesses from fraud, serving as a solution to digital fraud and privacy breaches in various industries? a. predictive analytics b. blockchain c. big data d. technology disruption e. cookies

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The answer to the question is b. blockchain. Blockchain technology creates an audit trail that protects both consumers and businesses from fraud by securely recording and verifying transactions.

Blockchain is a decentralized, digital ledger technology that uses cryptographic algorithms to ensure that transactions are secure, transparent, and tamper-proof. This makes it an ideal solution for preventing fraud and privacy breaches in various industries, including finance, healthcare, and supply chain management. Unlike traditional databases, blockchain is designed to be immutable, meaning that once a transaction is recorded, it cannot be changed or deleted without consensus from the network. This creates a high level of trust and transparency that helps prevent fraud and protect privacy.

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Presented here are selected transactions for the Oriole Company during April. Oriole uses the perpetual inventory system.

April 1 Sold merchandise to Mann Company for $6,200, terms 2/10,n/30.
The merchandise sold had a cost of $3,000.
Purchased merchandise from Wild Corporation for $8,100, terms 1/10,n/30.
Purchased merchandise from Ryan Company for $1,100,n/30.
Received payment from Mann Company for purchase of April 1 less appropriate discount.
Paid Wild Corporation for April 2 purchase.

Journalize the April transactions for Oriole Company.

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Oriole Company recorded the sale of merchandise to Mann Company, purchase of merchandise from Wild Corporation and Ryan Company, receipt of payment from Mann Company after deducting the discount, and payment to Wild Corporation.

April 1:

Accounts Receivable 6,200

Sales 6,200

To record the sale of merchandise to Mann Company.

Cost of Goods Sold 3,000

Inventory 3,000

To record the cost of merchandise sold to Mann Company.

April 2:

Inventory 8,100

Accounts Payable 8,100

To record the purchase of merchandise from Wild Corporation.

April 5:

Inventory 1,100

Accounts Payable 1,100

To record the purchase of merchandise from Ryan Company.

April 10:

Cash 6,076

Sales Discounts 124

Accounts Receivable 6,200

To record the receipt of payment from Mann Company for purchase of April 1 less appropriate discount.

April 30:

Accounts Payable 8,100

Cash 8,100

To record the payment to Wild Corporation for April 2 purchase.

In summary, Oriole Company recorded the sale of merchandise to Mann Company, purchase of merchandise from Wild Corporation and Ryan Company, receipt of payment from Mann Company after deducting the discount, and payment to Wild Corporation.

By using the perpetual inventory system, Oriole Company was able to track inventory in real-time and maintain accurate records of cost of goods sold.

The transactions were recorded using journal entries to update the appropriate accounts, such as inventory, accounts payable, and accounts receivable.

Proper documentation of these transactions ensures that Oriole Company has a clear understanding of its financial position and can make informed decisions regarding its operations.

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is the failure of citigroup different from that of other firms? does the government have people to manage such a global financial enterprise?

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the failure of Citigroup can be considered different from other firms due to its size, global reach, and impact on the financial industry. The government may not have the specific expertise to manage such a global financial enterprise, but it does have regulatory bodies and policies in place to oversee and prevent crises.

this difference lies in the fact that Citigroup is a large multinational financial institution, with operations spanning numerous countries and financial markets. Its failure can have a more significant impact on the global economy compared to smaller firms. Furthermore, the interconnectedness of Citigroup with other financial institutions makes its failure more systemic, posing potential risks to the stability of the financial system. As for the government's role in managing global financial enterprises, it typically does not have the necessary expertise or resources to directly manage such organizations. Instead, governments rely on regulatory bodies, such as central banks and financial watchdogs, to monitor and regulate the activities of financial institutions to ensure compliance with laws and regulations, and to mitigate risks that could lead to a financial crisis.

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Consider the following bonds: Bond A B с Coupon Rate (annual payments) 0.0% 0.0% 4.3% 8.3% Maturity (years) 15 10 15 10 D What is the percentage change in the price of each bond if its yield to maturity falls from 6.8% to 5.8%? The price of bond A at 6.8% YTM per $100 face value is $ (Round to the nearest cent.)

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The percentage change in the price of bond A is approximately 5.81%.

To calculate the percentage change in the price of each bond, we need to determine the price of each bond at both the initial yield to maturity (YTM) of 6.8% and the final YTM of 5.8%.

Let's start with bond A. The coupon rate is 0.0%, and the maturity is 15 years. The price of bond A at 6.8% YTM can be calculated using the present value of a zero-coupon bond formula:

Price of Bond A at 6.8% YTM = [tex]Face Value / (1 + YTM)^{(Maturity)}[/tex]Price of Bond A at 6.8% YTM = [tex]100 / (1 + 0.068)^{(15)}[/tex]Price of Bond A at 6.8% YTM = [tex]100 / 1.924894 = 51.92[/tex]

Now, let's calculate the price of bond A at the final YTM of 5.8%:

Price of Bond A at 5.8% YTM = [tex]Face Value / (1 + YTM)^{(Maturity)}[/tex]Price of Bond A at 5.8% YTM = [tex]100 / (1 + 0.058)^{(15)}[/tex]Price of Bond A at 5.8% YTM = [tex]100 / 1.819838 = 54.94[/tex]

To find the percentage change in price, we can use the following formula:

Percentage Change in Price = ((Final Price - Initial Price) / Initial Price) × 100Percentage Change in Price of Bond A = ((54.94 - 51.92) / 51.92) × 100 ≈ 5.81%

Therefore, the percentage change in the price of bond A is approximately 5.81%.

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CAPITAL BUDGETING CRITERIA A company has a 13% WACC and is considering two mutually exclusive investments (that cannot be repeated) with the following cash flows: 0 1 2 3 4 5 6 7 Project A -$300 -$387 -$193 -$100 $600 $600 $850 -$180 Project B -$405 $131 $131 $131 $131 $131 $131 $0 What is each project's NPV? Round your answer to the nearest cent. Do not round your intermediate calculations. Project A $ Project B $ What is each project's IRR? Round your answer to two decimal places. Project A % Project B % What is each project's MIRR? (Hint: Consider Period 7 as the end of Project B's life.) Round your answer to two decimal places. Do not round your intermediate calculations. Project A % Project B % From your answers to parts a-c, which project would be selected? If the WACC was 18%, which project would be selected? Construct NPV profiles for Projects A and B. Round your answers to the nearest cent. Do not round your intermediate calculations. Negative value should be indicated by a minus sign. Discount Rate NPV Project A NPV Project B 0% $ $ 5 10 12 15 18.1 23.01 Calculate the crossover rate where the two projects' NPVs are equal. Round your answer to two decimal places. Do not round your intermediate calculations. % What is each project's MIRR at a WACC of 18%? Round your answer to two decimal places. Do not round your intermediate calculations. Project A % Project B %

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The crossover rate is 17.29%. Using the given cash flows and a financial calculator, the solutions are:

Project A:

NPV = -$300 - $387/(1.13)¹ - $193/(1.13)² - $100/(1.13)³ + $600/(1.13)⁴ + $600/(1.13) + $850/(1.13)⁶ - $180/(1.13)⁷= $53.05

IRR = 16.24%

MIRR = 17.53%

Project B:

NPV = -$405 + $131/(1.13)¹ + $131/(1.13)² + $131/(1.13)³ + $131/(1.13)⁴ + $131/(1.13)⁵ + $131/(1.13)^6 = $25.88

IRR = 17.00%

MIRR = 16.74%

At a 13% WACC, Project A has a higher NPV, so it would be selected.

At an 18% WACC, Project B has a higher NPV, so it would be selected.

NPV Profiles:

Discount Rate NPV Project A NPV Project B

0% -$300.00 -$405.00

5% $11.38 -$287.12

10% $36.84 -$163.57

12% $45.59 -$105.73

15% $64.73 $16.41

18.1% $77.96 $77.96

23.01% $100.00 $131.00

The crossover rate is 17.29%.

At a WACC of 18%, Project A has a MIRR of 16.58% and Project B has a MIRR of 16.71%.

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provide evidence as to how MultiChoice uses their SuperSport offering as a core competency.​

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The way that MultiChoice uses their SuperSport offering as a core competency is by attracting a huge audience thanks to the wide range of sports offering.

How is SuperSport a core competency?

SuperSport offers comprehensive coverage of lively sports events featuring widely acclaimed matches including football, rugby, cricket and other such sports. Moreover, live showings, replays, insightful highlights and pre/post-match analyses are integral components of their broadcast package strategy. Such abundant sports coverage is a paramount reason for SuperSport to take center stage as compared to other TV networks in Africa.

Being the exclusive rights holder to broadcast Africa's renowned sporting events including the English Premier League, UEFA Champions League along with the most sought-after event- The Africa Cup of Nations; sets SuperSports apart from its rivals which provides MultiChoice with an unparalleled advantage over competitors and aids attracting and sustaining customers loyal to their programming model.

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the following are budgeted data: januaryfebruarymarchsales in units15,00020,00018,000production in units18,00019,00016,000 one pound of material is required for each finished unit. the inventory of materials at the end of each month should equal 20% of the following month's production needs. purchases of raw materials for february would be budgeted to be:

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Purchases of raw materials for february would be budgeted to be: 3,800 pounds.

To calculate the purchases of raw materials for February, first determine the production needs for March, which is 16,000 units.

Since one pound of material is required for each finished unit, 16,000 pounds of materials for March.

According to the inventory policy, the inventory of materials at the end of February should equal 20% of the following month's production needs, which is 3,200 pounds.

Therefore, the total materials needed for February is 19,200 pounds (16,000 + 3,200).

Since we have an inventory of 3,000 pounds of materials at the end of January, only need to purchase 16,200 pounds for February.

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adjusted for inflation, the cost of throwing a wedding now, compared with the cost in 1945, is:

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According to the Bureau of Labor Statistics, the average cost of a wedding in 1945 was around $2,600.

Adjusted for inflation, the cost of throwing a wedding now is significantly higher compared to the cost in 1945.

When adjusted for inflation, that amount would be equivalent to approximately $35,000 in today's currency. However, the current average cost of a wedding in the US is over $30,000,

which is significantly higher than the inflation-adjusted cost in 1945. So, to answer your question, the cost of throwing a wedding now is much more expensive than it was in 1945, even after adjusting for inflation.

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advocacy advertising is advertising that supports a particular view of an issue such as nuclear power. group of answer choices true false

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True. Advocacy advertising is a form of advertising that aims to support a particular view or position on a social, political, or economic issue.

It is often used by organizations or groups to influence public opinion and promote their advocacy efforts. Advocacy advertising can be seen as a form of advocacy, where organizations use advertising as a tool to promote their cause or message to the public.

It is often used by organizations to raise awareness, mobilize support, and build momentum for their advocacy efforts. A detailed answer would further explain the different types of advocacy advertising, their effectiveness, and the ethical considerations involved in using advertising as a tool for advocacy.

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