The purchase of a new house built by a particular builder is an characteristic of of product-oriented purchasing.
Product-oriented purchasing type of buying behavior is more focused on the characteristics of the product and less focused on the price or brand. The buyer will usually do research to determine which product is best suited to their needs, and they may choose that particular builder due to their reputation for quality construction.
Product-oriented purchasers are often willing to pay more in order to get exactly what they want. Beth and Rob's decision to buy a house only from a certain builder exemplifies this kind of buying behavior, as they are sacrificing potential cost savings in favor of getting a house that meets their expectations in terms of its construction quality.
To know more about Product-oriented visit:
https://brainly.com/question/28360584
#SPJ4
abc, inc.'s expected sales for the first six month of the year are: month expected unit sales january 12,000 february 15,000 march 16,000 april 20,000 may 22,000 june 25,000 if desired ending inventory is 25% of next month's sales, the number of units to be produced in march is blank . multiple choice question. 17,000
When the expected sales for the first six months of the year are given, the number of units to be produced in March is expected to be 17,000.
To calculate the number of units to be produced in March, we can follow these steps:
Determine the desired ending inventory for March
25% of April's expected sales (20,000 units) = 0.25 × 20,000 = 5,000 units.Add March's expected sales 16,000 units (given in the problem).
Subtract the ending inventory from February
25% of March's expected sales (16,000 units) = 0.25 × 16,000 = 4,000 units.Calculate the total units to be produced in March
(5,000 + 16,000) - 4,000 = 17,000 units.The number of units to be produced in March is 17,000.
Learn more about expected sales at https://brainly.com/question/31062906
#SPJ11
which of the following does not function as a barrier to entry into an oligopoly market? group of answer choices predatory pricing. patents. control of distribution outlets. the expense involved in nonprice competition.
Predatory pricing does not function as a barrier to entry into an oligopoly market.
What is an oligopoly market?Oligopoly market is a market that is ruled by a small number of companies or businesses. An oligopoly market is characterized by an industry with a small number of large firms, usually two to ten.
These firms are interdependent, which means that the actions of one company affect the other firms in the market. Entry barriers are usually high in oligopolistic industries, making it difficult for new companies to enter the market.
What are the barriers to entry in an oligopoly market?Patents, control of distribution outlets, and the expense involved in nonprice competition all function as barriers to entry into an oligopoly market. Predatory pricing, on the other hand, does not function as a barrier to entry into an oligopoly market.
Predatory pricing is a strategy used by dominant firms to reduce competition by pricing products so low that other firms cannot match the prices and stay in business. This strategy may result in lower prices for consumers, but it is not a barrier to entry.
Learn more about oligopoly market at
https://brainly.com/question/30751039
#SPJ11
cortez company updates its inventory records perpetually. the company's records showed a beginning inventory of $23,000, cost of goods sold of $31,000, and ending inventory of $25,000. how much inventory was purchased during the year? multiple choice
The amount of inventory that was purchased by the Cortez Company during the year is B) $33,000.
It has been given that
Cost of Goods Sold =$31,000
Ending inventory=$25,000
Beginning Inventory=$23,000
We have to use the formula,
Inventory purchased = Cost of Goods Sold + Ending inventory - Beginning Inventory
Now, putting the information provided in the formula. We get:
Inventory purchased =$31,000+$25,000-$23,000
Inventory purchased=$31,000
In conclusion, the amount of inventory that was purchased during the year is $33,000.
The term "inventory" refers to both the raw materials used in production and the finished goods that are offered for sale. Because the turnover of an organization's inventory is one of the main sources of revenue generation and, consequently, earnings for the company's shareholders, it is one of the most significant assets a company has.
To learn more about inventory: https://brainly.com/question/29459333
#SPJ4
Note that the full question is:
cortez company updates its inventory records perpetually. the company's records showed a beginning inventory of $23,000, cost of goods sold of $31,000, and ending inventory of $25,000. how much inventory was purchased during the year? multiple choice
A) $25,000.
B) $33,000.
C) $15,500.
D) $29,000.
the fundamental source of monopoly power is group of answer choices barriers to entry. profit. decreasing average total cost. a product without close substitutes.
A Monopoly exists when one company controls the entire request. This is option A.
The main fountainhead of monopoly dominion is barriers to entry.
Monopoly power requires that an establishment be suitable to profitably set prices high enough to achieve a superior return on investment. It isn't clear how important price must exceed the borderline cost in the short run before monopoly power emerges.
A monopoly exists when one company and its product dominate the entire assiduity with little or no competition and consumers must buy the good or service from a single company.
Question
The main source of monopoly power is
a) Barriers to entry.
b) useful.
c) Reduction of the average total costs.
d) produced without close backups.
To know more about Monopoly,
brainly.com/question/30031654
#SPJ4
harpeth valley water district has a bond outstanding with a coupon rate of 4.11 percent and semiannual payments. the bond matures in 21 years, with a yield to maturity of 3.75 percent, and a par value of $5,000. what is the market price of the bond?
The market price of the bond is $5,734.71.
To calculate the market price of the bond, we need to use the bond pricing formula. Using the given information, we can calculate the semiannual coupon payment as follows:
Coupon rate = 4.11%
Par value = $5,000
Semiannual coupon payment = Coupon rate * Par value / 2 = 4.11% * $5,000 / 2 = $102.75
We can then use the bond pricing formula to calculate the market price of the bond:
Market price = (Semiannual coupon payment / (1 + Yield to maturity / 2) ^ (2 * Number of years to maturity)) + (Par value / (1 + Yield to maturity / 2) ^ (2 * Number of years to maturity))
Substituting the values, we get:
Market price = ($102.75 / (1 + 0.0375 / 2) ^ (2 * 21)) + ($5,000 / (1 + 0.0375 / 2) ^ (2 * 21))
Market price = $2,268.63 + $3,466.08
Market price = $5,734.71
Therefore, the market price of the bond is $5,734.71.
For more questions like Bond click the link below:
https://brainly.com/question/28489869
#SPJ11
for any given year, the cpi is the price of the basket of goods and services in the a. previous year divided by the price of the basket in the given year, then multiplied by 100. b. base year divided by the price of the basket in the given year, then multiplied by 100. c. given year divided by the price of the basket in the base year, then multiplied by 100. d. given year divided by the price of the basket in the previous year, then multiplied by 100.
The correct answer is c. For any given year, the CPI (Consumer Price Index) is calculated as the ratio of the price of the basket of goods and services in the given year to the price of the same basket in the base year (which is usually set to 100), and then multiplied by 100.
The CPI is used as a measure of inflation, as it reflects the change in the cost of living over time. By comparing the CPI in different years, we can determine whether prices are rising or falling and by how much, and this information can be used by policymakers, businesses, and consumers to make informed decisions.
To learn more about policymakers refer to:
brainly.com/question/14171518
#SPJ4
during november, the production department of a process operations system completed and transferred to finished goods 35,000 units that were in process at the beginning of november and 110,000 that were started and completed in november. november's beginning inventory units were 100% complete with respect to materials and 55% complete with respect to conversion. at the end of november, 40,000 additional units were in process in the production department and were 100% complete with respect to materials and 30% complete with respect to conversion. compute the number of equivalent units with respect to conversion for november using the weighted-average method.
The number of equivalent units with respect to conversion for November using the weighted-average method is 141,250 units.
To calculate the equivalent units with respect to conversion for November using the weighted-average method, we need to add up the equivalent units for the units transferred to finished goods and the units still in process at the end of the month.
First, we need to calculate the equivalent units for the 35,000 units that were in process at the beginning of November:
Materials: 35,000 units x 100% complete = 35,000 equivalent units
Conversion: 35,000 units x 55% complete = 19,250 equivalent units
Next, we need to calculate the equivalent units for the 110,000 units started and completed in November:
Materials: 110,000 units x 100% complete = 110,000 equivalent units
Conversion: 110,000 units x 100% complete = 110,000 equivalent units
Now, we need to calculate the equivalent units for the 40,000 units still in process at the end of November:
Materials: 40,000 units x 100% complete = 40,000 equivalent units
Conversion: 40,000 units x 30% complete = 12,000 equivalent units
Next, we can add up the equivalent units for each category to get the total equivalent units for November:
Materials: 35,000 + 110,000 + 40,000 = 185,000 equivalent units
Conversion: 19,250 + 110,000 + 12,000 = 141,250 equivalent units
Therefore, the number of equivalent units with respect to conversion for November using the weighted-average method is 141,250 units.
Learn more about weighted-average method :
https://brainly.com/question/12253665
#SPJ4
if your nominal rate of return is 14.38 percent and your real rate of return is 3.97 percent, what is the inflation rate? group of answer choices 10.01 percent 18.35 percent 10.54 percent 18.92 percent 8.47 percent
If your nominal rate of return is 14.38 percent and your real rate of return is 3.97 percent, then the inflation rate is 10.01 percent. Therefore, the correct option is 1.
To find the inflation rate when given the nominal rate of return (14.38%) and the real rate of return (3.97%), you can use the Fisher equation:
(1 + nominal rate) = (1 + real rate) × (1 + inflation rate).
Step 1: Convert the rates to decimals:
Nominal rate = 0.1438
Real rate = 0.0397
Step 2: Plug the values into the Fisher equation:
(1 + 0.1438) = (1 + 0.0397) × (1 + inflation rate)
Step 3: Solve for the inflation rate:
1.1438 = 1.0397 × (1 + inflation rate)
Step 4: Divide both sides by 1.0397:
1.1001 = 1 + inflation rate
Step 5: Subtract 1 from both sides to isolate the inflation rate:
0.1001 = inflation rate
Step 6: Convert the decimal to a percentage:
10.01%
The inflation rate is option 1: 10.01%.
Learn more about Inflation rate:
https://brainly.com/question/26922261
#SPJ11
a partial amortization schedule for a 10-year note payable that mabry company issued on january 1, year 1, is shown as follows. accountingperiod principalbalance january 1cashpaymentapplied tointerestapplied toprincipalyear 1 $200,000 $27,174 $12,000 $15,174 year 2 184,826 27,174 11,090 16,084 year 3 168,742 27,174 10,125 17,049 requiredwhat rate of interest is mabry company paying on the note?using a financial statements model like the one shown, record the appropriate amounts for the following two events:(1) january 1, year 1, issue of the note payable.(2) december 31, year 1, payment on the note payable.if the company earned $62,000 cash revenue and paid $45,000 in cash expenses in addition to the interest in year 1, what is the amount of each of the following?(1) net income for year 1.(2) cash flow from operating activities for year 1.(3) cash flow from financing activities for year 1.what is the amount of interest expense on this loan for year 4?
The interest rate on the note can be calculated using the formula:
Interest Expense = Beginning Principal Balance x Interest Rate
From the partial amortization schedule, we can see that the beginning principal balance for Year 1 is $200,000 and the cash payment applied to interest for Year 1 is $12,000.
Therefore, the interest rate on the note for Year 1 is:
$12,000 = $200,000 x Interest Rate
Interest Rate = $12,000 / $200,000 = 0.06 or 6%
Using a financial statements model, the appropriate amounts for the two events are:
(1) January 1, Year 1, Issue of the Note Payable:
Notes Payable .............. $200,000
Cash ..................................... $200,000
(2) December 31, Year 1, Payment on the Note Payable:
Notes Payable .............. $15,174
Interest Expense ........... $12,000
Cash ..................................... $27,174
To calculate net income for Year 1, we need to subtract total expenses (interest expense + cash expenses) from total revenue:
Net Income = Total Revenue - Total Expenses
Net Income = $62,000 - ($12,000 + $45,000) = $5,000
Cash flow from operating activities is calculated using the indirect method by adjusting net income for non-cash items and changes in current assets and liabilities. Since no information is given regarding changes in current assets and liabilities or non-cash items, we can assume that cash flow from operating activities is equal to net income:
Cash Flow from Operating Activities = Net Income = $5,000
Cash flow from financing activities is calculated by summing up all cash flows related to financing, including any issuance or payment of debt or equity. In this case, the only financing activity is the issuance of the note payable:
Cash Flow from Financing Activities = $200,000
To calculate the interest expense on the loan for Year 4, we need to know the beginning principal balance for Year 4, which is not given in the partial amortization schedule. Therefore, we cannot calculate the interest expense for Year 4 with the given information.
Learn more about interest rate
https://brainly.com/question/13324776
#SPJ4
which one of the following unsecured liabilities has the highest priority when an insolvent company is about to be liquidated? group of answer choices employees' claims for salaries. federal income taxes payable. claims for expenses of administering the bankruptcy. bank loans. loans made to the company by its stockholders.
"Employees' claims for salaries" have the highest priority among the following unsecured liabilities when an insolvent company is about to be liquidated. Option A is the correct answer.
An unsecured liability is a type of financial obligation or debt that does not require any collateral or security from the borrower. Unsecured loans, credit card balances, medical bills, unpaid taxes, and personal loans are all examples of unsecured liabilities. Insolvency is a financial state in which a business is unable to meet its obligations to its creditors. When a company becomes insolvent and is unable to pay its debts, it may be liquidated or placed in bankruptcy.
Among the unsecured liabilities listed, employees' claims for salaries have the highest priority when an insolvent company is about to be liquidated. It is because employees are entitled to receive unpaid wages and other employment-related compensation before other unsecured creditors.
The priority of unsecured creditors is determined by bankruptcy laws, which vary by jurisdiction. Claims for expenses of administering the bankruptcy, federal income taxes payable, bank loans, and loans made to the company by its stockholders are examples of other unsecured liabilities.
Option A is the correct answer.
You can learn more about liability at
https://brainly.com/question/14921529
#SPJ11
the cost of grading and spreading gravel on a curvy rural road is expected to be $300,000. the road will have to be maintained at a cost of $16,000 per year. even though the new road is not very smooth, it allows access to an area that previously could only be reached with off-road vehicles. the improved accessibility has led to a 126% increase in the property values along the road. if the previous market value of the property was $900,000, calculate the conventional b/c ratio using an interest rate of 6% per year and a 20-year study period. the conventional b/c ratio is .
The conventional benefit-cost ratio for this project is 23.29
To calculate the conventional benefit-cost (B/C) ratio, we need to first calculate the total present value of the costs and benefits over the study period of 20 years, discounted at an interest rate of 6% per year.
The costs include the initial cost of grading and spreading gravel on the road, which is $300,000, and the annual maintenance cost, which is $16,000 per year.
The benefits include the increase in property values along the road, which is 126% of the previous market value of $900,000, or $1,012,000.
Using a discount rate of 6%, we can calculate the present value of the costs and benefits over the 20-year study period as follows
Present value of costs = $300,000 + $16,000 × [tex]\frac{1-(1+0.06)^{-20}}{0.06}[/tex]
= $567,947.27
Present value of benefits = $1,012,000 × [tex]\frac{1-(1+0.06)^{-20}}{0.06}[/tex]
= $13,232,169.59
Conventional B/C ratio = Present value of benefits / Present value of costs = $13,232,169.59 / $567,947.27 = 23.29
Learn more about Conventional B/C ratio here
brainly.com/question/24065585
#SPJ4
jim is employed as an engineer for a power generating company. at work he came up with an idea that would result in almost unlimited power production with virtually no pollution. he sought to get a patent on his process. the employer took him to court claiming that since he came up with the idea at work, the process belonged to the company which is entitled to the patent. the patent would be worth hundreds of millions of dollars. meanwhile, the company began to use the process in its operations. jim countersued the company demanding they cease using his invention. jim's employment contract said nothing about ownersip of inventions. who wins and why?
The absence of language about ownership of inventions in Jim's employment contract could also play a role in this situation. In the end, the ownership of the patent would be decided by the court taking into account all of the facts and arguments put up by both parties.
The outcome of the case would depend on the laws of the jurisdiction in which the case is being heard, as well as the specific facts of the case. However, in general, if Jim came up with the idea on his own time and without using any of the company's resources, he may have a strong case for ownership of the invention. If the company can prove that Jim used company resources or came up with the idea while on the job, they may have a stronger case for ownership. The fact that Jim's employment contract said nothing about ownership of inventions may also be a factor in the case. Ultimately, the court would need to weigh all of the evidence and arguments presented by both sides to determine who owns the patent.
Learn more about patent from
https://brainly.com/question/30141042
#SPJ4
You charge $298.95 on a credit the card has an annual percentage rate of 18% how long will it take to re-pay your debts if you make monthly payments of $6.75 and what is the total amount of interest you will pay
in a 10-year finance lease, warren company recorded a right-of-use asset of $400,000. if the interest rate charged by the lessor was 8%, what would be the balance in the right-of-use asset after two years?
The balance in the right-of-use asset after two years would be $334,052.
In a finance lease, the lessee records a right-of-use asset and a corresponding lease liability. The lease liability is equal to the present value of lease payments discounted at the interest rate implicit in the lease or the lessee's incremental borrowing rate.
In this case, we know that the interest rate charged by the lessor is 8%, which is also the lessee's incremental borrowing rate.
Using the formula for present value of an annuity due, we can calculate the lease liability as follows:
Lease Liability = $400,000 x [1 - (1 + 0.08)^-10] / 0.08
= $400,000 x 6.7101
= $2,684,040
After two years, the lease liability would be reduced to:
Lease Liability after 2 years = $2,684,040 x [1 - (1 + 0.08)^-8] / 0.08
= $1,142,988
The balance in the right-of-use asset would be equal to the initial balance of $400,000 minus the cumulative lease payments of $807,948 over two years, which gives us:
Right-of-use Asset after 2 years = $400,000 - $807,948
= $334,052
For more questions like Liability click the link below:
https://brainly.com/question/18484315
#SPJ11
true or false. according to get a financial life, if you want to open a 401(k), you are required to max out your contributions every year. sfl 260
The given statement, "According to get a financial life, if you want to open a 401(k), you are required to max out your contributions every year (SFL 260)," is false (F).
This is because you are not required to max out your 401(k) contributions every year according to "Get a Financial Life" (SFL 260).
"Get a Financial Life" is a personal finance book that provides advice on managing money and building wealth. The book states that there is no requirement to max out your 401(k) contributions every year. While contributing the maximum amount to your 401(k) can be a smart financial move, it may not be feasible for everyone.
Factors such as income level, expenses, and other financial obligations may make it difficult or impossible for some people to contribute the maximum amount. It is important to contribute as much as you can comfortably afford, but there is no mandate to max out your contributions every year.
Learn more about financial obligations https://brainly.com/question/15893784
#SPJ11
after the usa introduces a tariff in the market for gigastraps, the price of gigastraps in the usa will: group of answer choices
The correct answer is option B. After the USA introduces a tariff in the market for gigastraps, the price of gigastraps in the USA will: Increase.
The cost of the product is going to go up when the USA imposes a tariff on the gigastraps market. This is so that the cost of making and selling the product will be higher. Tariffs are taxes imposed by governments on imported goods.
As a result, the cost of the tariff will be covered by an increase in the product's price. As a result, customers will pay more for the product, and domestic businesses will be better shielded from overseas rivalry.
he product's increased price may also translate into greater earnings for the domestic industry.
In conclusion, the implementation of a tariff in the market for gigastraps is probably going to result in an increase in the price of the product.
Complete Question:
After the USA introduces a tariff in the market for gigastraps, the price of gigastraps in the USA will:
Group of answer choices
A. Remain the same
B. Increase
C. Decrease
D. Fluctuate unpredictably
To learn more about tariff visit:
https://brainly.com/question/1172085
#SPJ4
in economics, marginal analysis: group of answer choices eliminates incorrect decisions and bad choices. involves examining only the total costs and total benefits of an activity. has no practical applications or real-world uses. guarantees an incorrect decision. involves comparing the additional costs and additional benefits of an activity.
In economics, marginal analysis involves comparing the additional costs and additional benefits of an activity.
Marginal analysis refers to the examination of the additional (marginal) cost and benefit of a particular action. The concept of marginal analysis is commonly used in economics to assist people in making choices among different actions. To put it another way, marginal analysis is a way of evaluating the relationship between the cost of something and the advantage of it. For example, if a firm is considering producing an additional product, they would compare the additional revenue obtained by selling one more product with the additional cost of producing that extra item.In economics, when marginal benefits equal marginal costs, the maximum benefit is achieved. This is because at this point, any further activity beyond the marginal point yields a lower overall profit or benefit. Hence, marginal analysis provides a way to assess the additional costs and benefits of an activity, which aids decision-making. So, in economics, marginal analysis involves comparing the additional costs and additional benefits of an activity.
Know more about Marginal analysis here:
https://brainly.com/question/30111064
#SPJ11
kingston company sells its product for $200 per unit. the company's accountant provided the following cost information: manufacturing costs $25,000 40% of sales selling costs $10,000 20% of sales administrative costs $15,000 10% of sales what is kingston company's contribution margin ratio?
Kingston Company's contribution margin ratio is 82.44%, meaning that for every dollar of sales revenue, 82.44 cents are available to cover fixed costs and generate profits.
The contribution margin ratio is a key financial metric used to assess the profitability of a company's products or services. It represents the percentage of sales revenue that is available to cover a company's fixed costs and generate profits.
To calculate the contribution margin ratio for Kingston Company, we need to first determine its contribution margin, which is the difference between the selling price and variable costs per unit.
The variable costs consist of the manufacturing and selling costs, which are calculated as follows:
Manufacturing costs = $25,000 + (40% x $200) = $25,000 + $80 = $25,080
Selling costs = $10,000 + (20% x $200) = $10,000 + $40 = $10,040
Variable costs per unit = $25,080 + $10,040 = $35,120
Next, we can calculate the contribution margin per unit by subtracting the variable costs per unit from the selling price per unit:
Contribution margin per unit = $200 - $35.12 = $164.88
Finally, we can calculate the contribution margin ratio by dividing the contribution margin per unit by the selling price per unit:
Contribution margin ratio = ($164.88 / $200) x 100% = 82.44%
To learn more about costs click on,
https://brainly.com/question/30508000
#SPJ4
a company decides to reduce its number of distribution centers (logistically postpone). this decision would result in or .
A company decides to reduce its number of warehouse locations (logistically postpone). This decision would result in poorer service to customers or higher transportation cost.
When a step in the production of a product is put off until the customer buys it, this is known as logistics postponement. The five different types of postponement are time, labeling, packaging, assembly, and manufacturing. Utilizing logistic postponement has many benefits.
The ability to offer customers customization is the most significant of these. Offering a product that can be altered through logistic postponement recognizes that no two people's needs are the same. As long as sales are uncertain, this helps to cut costs.
To learn more about postponement: https://brainly.com/question/5141180
#SPJ4
on culture: suppose the people of a european country place a very high value on their economic independence. however, suppose the leaders of that country wish to join the eu and also use the euro instead of their own currency. what objections are leaders likely to encounter from their citizens? do you agree with those objections? g
Answer:
However, suppose the leaders of that country wish to join the EU and also use the euro instead of their own currency.
kruger company was considering adding extra stores in a minor metro area, but it determined that its main competitor already had several locations there so it decided to put its stores elsewhere. according to michael porter, which threat impacted kruger's decision?
The threat which impacted the decision which was made by the Kruger company according to Michael Porter was the rivalry which basically existed between the organizations present in the business.
The correct option is b.
Kruger is a company who wanted to open more stores in a very minor metro area but as it was determined that their main competitors already had their stores in the same area, they decided against it and put their stores in another area.
According to Michael Porter, the reason behind this change in decision was due to the threat of rivalry. Rivalry in businesses can cause a decrease in amount of profit which is obtained.
Hence, the correct option is option b.
To know more about rivalry
https://brainly.com/question/385783
#SPJ4
--The given question is incomplete, the complete question is
"Kruger Company was considering adding extra stores in a minor metro area, but it determined that its main competitor already had several locations there so it decided to put its stores elsewhere. According to Michael Porter, which threat impacted Kruger's decision?
a. the power of large suppliers
b. the level of rivalry among organizations in the industry
c. the potential for entry into the industry
d. the threat of substitute products
e. the power of large customers"--
hulu, a popular television streaming platform, sometimes allows users to select the ad that they want to see during a commercial break. advertisers then receive this data about the selection that consumers made. this exemplifies which pro of ott advertising? multiple choice audience data rapid growth ad blockers selectivity availability
Hulu's feature that allows users to choose the ad they want to see during commercial breaks exemplifies the selectivity pro of OTT advertising.
The example you provided exemplifies the "selectivity" pro of over-the-top (OTT) advertising. By allowing users to choose which ad they want to see during a commercial break, Hulu is providing a more personalized and targeted ad experience for the viewer, while also providing valuable data to advertisers about consumer preferences. This level of selectivity can lead to more effective and efficient advertising campaigns.
The selectivity provided by OTT advertising can lead to more effective and efficient advertising campaigns.
Learn more about Hulu :
https://brainly.com/question/30619806
#SPJ4
a manager anticipates that 2,000 guests will be served next week. the manager's operation serves 2.5 guests per labor dollar expended. what will be the manager's estimated cost of labor next week?
If a manager anticipates 2,000 guests next week and the manager's operation serves 2.5 guests per labor dollar expended, the manager's estimated labor cost next week will be 800 labor dollars.
The given data can be used to compute the estimated labor cost next week. The manager anticipates that 2,000 guests will be served next week. The manager's operation serves 2.5 guests per labor dollar expended.
To determine the manager's estimated cost of labor next week, follow these steps:1. The manager anticipates serving 2,000 guests next week.
2. The operation serves 2.5 guests per labor dollar expended.
3. To find the labor dollars required to serve 2,000 guests, divide the number of guests by the guests served per labor dollar:
2,000 guests / 2.5 guests per labor dollar = 800 labor dollars.
So, the manager's estimated cost of labor next week will be 800 labor dollars.
Learn more about Labor cost:
https://brainly.com/question/30529782
#SPJ11
How do you think the Human Resources department affects the other departments?
Answer:
One way that human resource departments affect organizations is that they manage employee recruiting, which determines which employees are hired. The recruitment process typically involves such tasks as looking at resumes, attending job fairs and conducting multiple interviews.
the antitrust case against ibm was dropped after 13 years of litigation because group of answer choices the celler-kefauver act was passed and it changed the relevant antitrust rules. ibm proved that the firm did not commit bad acts. antitrust laws shifted from a rule of reason to a per se rule. new companies began competing in the market and the political environment changed to a less restrictive interpretation of antitrust laws.
After 13 years of litigation, the antitrust case against IBM was dismissed due to the passage of the Celler-Kefauver Act, which altered the pertinent antitrust laws.
IBM established the company's innocence of wrongdoing. The per se rule replaced the rule of reason in antitrust laws. The market saw the entry of new competitors, and the political climate shifted to a less harsh interpretation of antitrust rules.
In a 1969 lawsuit, IBM was accused of illegally acquiring and maintaining its monopoly over general-purpose digital computers through exclusionary and other business practises. Predatory Behavior Exceeding the 1956 Decree.
In the 1969 lawsuit, IBM was accused of acting in an exclusive and exploitative manner.Data from the experiment up to 1980 were used to establish I.B.M.'s 80% market share.
To know more about antitrust case please check the following link
https://brainly.com/question/3606829
#SPJ4
because information is scarce a) helps explain why equity contracts are used so much more frequently to raise capital than are debt contracts. b) monitoring managers gives rise to costly state verification. c) government regulations, such as standard accounting principles, have no impact on problems such as moral hazard. d) developing nations do not rely heavily on banks for business financing.
b) Monitoring managers gives rise to costly state verification.
In a principal-agent relationship, the principal hires an agent to act on their behalf to accomplish a task or objective. However, the agent may have different objectives or interests than the principal, leading to a potential conflict of interest.
In such cases, the principal may need to monitor the agent's actions to ensure that they are working in the best interest of the principal.
The process of monitoring requires resources and effort, which results in costs to the principal. These costs are referred to as the "costly state verification" problem.
The term "state" refers to the information about the agent's actions and performance, which the principal must obtain to determine whether the agent is fulfilling their duties. The verification process involves checking whether the agent is acting as agreed, and if not, taking corrective action.
The costly state verification problem arises because it can be challenging and expensive for the principal to gather accurate and complete information about the agent's actions.
The principal must devote resources to monitoring the agent, which can be time-consuming and expensive. Moreover, the agent may have an incentive to hide information or misrepresent their actions, making it even more difficult for the principal to obtain accurate information.
To learn more about mangers, refer below:
https://brainly.com/question/17312484
#SPJ11
pooler corporation is working on its direct labor budget for the next two months. each unit of output requires 0.30 direct labor-hours. the direct labor rate is $8.00 per direct labor-hour. the production budget calls for producing 7,000 units in april and 6,800 units in may. if the direct labor work force is fully adjusted to the total direct labor-hours needed each month, what would be the total combined direct labor cost for the two months?
To calculate the total combined direct labor cost for the two months, we need to determine the total direct labor-hours required and then multiply that by the direct labor rate.
First, we need to determine the total direct labor-hours required. Each unit of output requires 0.30 direct labor-hours, so we can calculate the total direct labor-hours required for each month as follows:
April: 7,000 units x 0.30 direct labor-hours per unit = 2,100 direct labor-hours
May: 6,800 units x 0.30 direct labor-hours per unit = 2,040 direct labor-hours
Next, we can calculate the total direct labor-hours required for the two months:
Total: 2,100 direct labor-hours (April) + 2,040 direct labor-hours (May) = 4,140 direct labor-hours
Finally, we can calculate the total combined direct labor cost for the two months by multiplying the total direct labor-hours required by the direct labor rate:
Total direct labor cost = 4,140 direct labor-hours x $8.00 per direct labor-hour = $33,120
Therefore, the total combined direct labor cost for the two months would be $33,120.
To know more about labor rate click here
brainly.com/question/28341634
#SPJ4
under the liquidation provisions of chapter 7 of the federal bankruptcy code, certain property acquired by the debtor after the filing of the petition becomes part of the bankruptcy estate. an example of such property is
Certain property obtained by the insolvent after the petition is filed becomes part of the bankruptcy estate under the liquidation provisions of chapter 7 of the federal bankruptcy code an example of such property is inheritance received by the debtor within 180 days of the filing of the petition.
Debtors should be informed that chapter 7 assistance is not the only option available. For instance, business-operating creditors, such as corporations, partnerships, and single proprietorships, may opt to carry on with operations rather than go through with liquidation. Such creditors ought to think about submitting a chapter 11 claim under the Bankruptcy Code. Under chapter 11, the debtor may ask for a debt modification, such as a debt reduction or an extension of the payback period, or a more thorough restructuring. Chapter 13 of the Bankruptcy Code may also be able to assist sole proprietorships.
Know more about the Bankruptcy code here:
https://brainly.com/question/30395840
#SPJ4
under the liquidation provisions of chapter 7 of the federal bankruptcy code, certain property acquired by the debtor after the filing of the petition becomes part of the bankruptcy estate. an example of such property is ______________
starbucks' ethical sourcing policies are an example of a(n) that benefits multiple stakeholders including shareholders, the environment, local communities, and customers.
Starbucks' ethical sourcing policies serve as a strong example of a Corporate Social Responsibility initiative, benefiting not only the company and its shareholders, but also the environment, local communities, and customers.
Starbucks' ethical sourcing policies are an example of a Corporate Social Responsibility (CSR) initiative that benefits multiple stakeholders including shareholders, the environment, local communities, and customers.
Step 1: Ethical sourcing policies are created
Starbucks develops guidelines and standards for their supply chain to ensure ethical practices, such as fair labor conditions, environmental conservation, and responsible farming.
Step 2: Suppliers and farmers adhere to the policies
By requiring their suppliers and farmers to follow these policies, Starbucks helps promote fair labor practices and environmental conservation in the communities where their products are sourced.
Step 3: Customers become aware of the initiative
Starbucks communicates their commitment to ethical sourcing to customers, showcasing their dedication to CSR and attracting customers who value these practices.
Step 4: Shareholders benefit from the initiative
As a result of the positive public image created by these CSR initiatives, Starbucks' shareholders can benefit from potential increased sales, customer loyalty, and a stronger brand reputation.
Step 5: The environment and local communities see positive effects
Through ethical sourcing policies, Starbucks contributes to the protection of the environment, supports local communities with better labor conditions, and encourages sustainable practices in their supply chain.
For more such questions on ethical.
https://brainly.com/question/27962109
#SPJ11
interest rate derivatives were introduced in response to an increase in the volatility of interest rates in the late 1970s as the federal reserve began to target instead of .
Interest rate derivatives were introduced in response to an increase in the volatility of interest rates in the late 1970s as the Federal Reserve began to target monetary aggregates instead of interest rates.
A financial derivative contract known as an "Interest Rate Derivative" (IRD) derives its value from one or more interest rates, the cost of instruments that track interest rates, or interest rate indices. The value of an Interest Rate Option (IRO) is based on Rupee interest rates or other interest rate instruments.
Over the course of the swap, they typically take the form of exchanging cash flows from a fixed interest rate for cash flows from a floating interest rate. When one leg of the swap pays or receives a fixed rate while the other leg has a floating rate, this type of trade is also referred to as a set for a floating swap.
Learn more about Interest Rate Derivative at:
brainly.com/question/7931716
#SPJ4