product j has a contribution margin of 40 whereas product k has a contribution margin of 50. which product is the most efficient to sell

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Answer 1

The contribution margin is the difference between the selling price of a product and its variable cost per unit. It represents the amount of money available to cover fixed costs and generate a profit.

Now, coming back to your question, we have two products - J and K, with contribution margins of 40 and 50, respectively. Based on this information, we can say that product K is more efficient to sell than product J.

This is because product K generates a higher contribution margin per unit than product J. This means that for every unit of product K sold, there is more money left over to cover fixed costs and generate a profit than for every unit of product J sold.

However, it is important to note that there may be other factors that can influence the decision of which product to sell. For example, product J may have a higher demand or a lower variable cost than product K, which could make it a more attractive option.

In summary, while product K is the most efficient to sell based on its contribution margin, other factors may need to be considered before making a final decision.
In order to determine which product is the most efficient to sell between Product J with a contribution margin of 40 and Product K with a contribution margin of 50, we can compare their respective contribution margins.

Step 1: Identify the contribution margins of both products.
- Product J: 40
- Product K: 50

Step 2: Compare the contribution margins.
- Product K has a higher contribution margin (50) than Product J (40).

In conclusion, Product K is the most efficient to sell as it has a higher contribution margin of 50 compared to Product J's contribution margin of 40. This means that for every unit of Product K sold, the company will generate more profit in comparison to selling Product J.

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Related Questions

If a loss of $25200 is incurred in selling (for cash) office equipment having a book value of $89000, the total amount reported in the cash flows from investing activities section of the statement of cash flows is

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The total amount reported in the cash flows from investing activities section of the statement of cash flows would be a cash outflow of $114,200 ($89,000 book value + $25,200 loss on sale).

To determine the total amount reported in the cash flows from investing activities section of the statement of cash flows, we need to consider the book value of the office equipment and the loss incurred from selling it.

1. Book value of the office equipment: $89,000
2. Loss incurred: $25,200

Now, we need to find the cash received from selling the office equipment. We'll subtract the loss from the book value:

Cash received = Book value - Loss
Cash received = $89,000 - $25,200
Cash received = $63,800

Therefore, the total amount reported in the cash flows from investing activities section of the statement of cash flows is $63,800.

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If Shiny Things Company bases its ethical decisions exclusively (solely) on staying true to its corporate character, it risks reducing ethics to what

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If Shiny Things Company bases its ethical decisions solely on staying true to its corporate character, it risks reducing ethics to what is convenient for the company rather than what is morally right or wrong.

Ethics should not be based solely on the interests of the company, but rather on universal principles that prioritize the well-being and rights of all stakeholders, including employees, customers, shareholders, and the community.

This means that ethical decisions should be guided by principles such as honesty, fairness, respect, and responsibility. Failing to consider these principles in ethical decision-making can lead to unethical behavior, reputational damage, and legal consequences.

Therefore, companies should prioritize ethical decision-making based on a broader ethical framework that goes beyond their corporate character.

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All of the following are commonly used forms of EFT EXCEPT ______. Multiple choice question. savings and Loans ATMs automated clearinghouses home banking systems

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All of the given choices are commonly used forms of Electronic Funds Transfer (EFT) except Savings and Loans

Electronic Funds Transfer (EFT) refers to the electronic transfer of money from one account to another, usually between financial institutions. The common forms of EFT include:

1. ATMs (Automated Teller Machines): These machines allow customers to access their bank accounts, withdraw or deposit cash, and conduct other transactions.

2. Automated Clearinghouses (ACH): These are centralized networks that facilitate the transfer of funds between banks and financial institutions, such as direct deposit or online bill payment.

3. Home Banking Systems: These systems enable customers to manage their finances and make transactions through digital channels, such as online banking or mobile apps.

Savings and Loans, on the other hand, are not a form of EFT. Savings and Loan institutions (S&L) are financial institutions that primarily provide services related to accepting deposits and making mortgage loans.

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Terence Corporation budgeted sales on account of $120,000 for July, $211,000 for August, and $198,000 for September. Experience indicates that none of the sales on account will be collected in the month of the sale, 50% will be collected the month after the sale, 40% in the second month after the sale, and 10% will be uncollectible. The cash receipts that should be budgeted for September would be:

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Terence Corporation should budget $252,500 in cash receipts for the month of September based on the given collection pattern.

we need to calculate the expected collections for each month based on the given collection pattern.

For July sales of $120,000, no collections will be received in July. 50% of collections will be received in August ($60,000), 40% will be received in September ($48,000), and 10% will be uncollectible ($12,000).

For August sales of $211,000, no collections will be received in August. 50% of collections will be received in September ($105,500), 40% will be received in October ($84,400), and 10% will be uncollectible ($21,100).

For September sales of $198,000, no revenue will be received in September. 50% of collections will be received in October ($99,000), 40% will be received in November ($79,200), and 10% will be uncollectible ($19,800).

Adding up the expected collections for September, we have:

$48,000 (July collections for September sales) + $105,500 (August collections for September sales) + $99,000 (September collections for September sales) = $252,500.

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At the start of the current year, a company paid for the following in cash: Copyrights, $1,500,000 Equipment, $25,000,000 Goodwill, $4,500,000 Inventory, $1,500,000 Land, $15,000,000 Patents, $2,500,000 Research and development, $1,500,000 Supplies, $4,000,000 Trademarks, $1,200,000 It amortizes its intangibles over 10 years. Determine its current year amortization expense.

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The current year amortization expense for the company is $520,000.

To determine the current year amortization expense, we first need to identify which intangible assets are amortizable. Among the items listed, Copyrights, Patents, and Trademarks are intangible assets subject to amortization. Goodwill and Research and Development are intangible assets but not amortizable. Equipment, Inventory, Land, and Supplies are not intangible assets.

Now, we will calculate the amortization expense for each amortizable intangible asset:

1. Copyrights: $1,500,000 / 10 years = $150,000 per year
2. Patents: $2,500,000 / 10 years = $250,000 per year
3. Trademarks: $1,200,000 / 10 years = $120,000 per year

Next, we will sum the annual amortization expenses for these intangible assets:

Total Amortization Expense = $150,000 (Copyrights) + $250,000 (Patents) + $120,000 (Trademarks)
Total Amortization Expense = $520,000

So, the current year amortization expense for the company is $520,000. This amount represents the portion of the cost of the company's amortizable intangible assets that is allocated to the current year as an expense, reducing the assets' carrying value on the balance sheet and impacting the company's income statement.

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The _____ curve shows how the quantity of output depends on the quantity of the variable input, for a given quantity of the fixed input.

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The term you are looking for is "short-run production." In the short run, firms are constrained by at least one fixed input, while the variable input can be adjusted to produce different levels of output.

The short-run production function illustrates the relationship between the variable input and output, while holding the fixed input constant. The resulting curve is known as the short-run production curve.

The production curve shows how the quantity of output depends on the quantity of the variable input, for a given quantity of the fixed input. The production curve illustrates the relationship between input factors (like labor or capital) and the output produced, keeping fixed inputs constant.

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The one-year forward rate one year from now and two years from now is listed below. The yield on a 1-year zero-coupon bond today is 6%.Compute the price and yield of 2 and 3-year zero-coupon bonds today.

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The price and yield of a 2-year zero coupon bond today are $85.54 and 7.88%, respectively. The price and yield of a 3-year zero coupon bond today are $76.05 and 8.42%, respectively.

To calculate the price of a zero coupon bond, we use the formula:

Price = [tex]Face Value / (1 + Yield/2)^{(2*n)[/tex] , where n is the number of periods until maturity.

For a 2-year zero coupon bond, n=2, face value=100, and yield is calculated as the average of the 1-year and 2-year forward rates: (8%+10%)/2 = 9%. Substituting these values in the formula, we get:

Price = [tex]100 / (1 + 0.09/2)^{(2*2)}[/tex] = $85.54

Similarly, for a 3-year zero coupon bond, n=3, face value=100, and the yield is calculated as the 2-year forward rate plus the difference between the 1-year forward rate and the 2-year forward rate:

10% + (10% - 8%) = 12%.

Substituting these values in the formula, we get:

Price = 100 / (1 + 0.12/2)²ˣ³ = $76.05

To calculate the yield, we rearrange the formula and solve for yield:

Yield = [tex](Face Value / Price)^{(1/(2*n))} - 1[/tex]

Substituting the values for the 2-year zero coupon bond, we get:

Yield = (100 / 85.54)¹/⁴ - 1 = 7.88%

Similarly, substituting the values for the 3-year zero coupon bond, we get:

Yield = (100 / 76.05)⁽¹/ ⁶⁾ - 1 = 8.42%

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Complete Question:

The one year forward rate one year from now and two years from now is listed below :

time (t) || Forward rate

1 year ||  8%

2years || 10%

The yield on a 1-year zero coupon bond today is 6%. Compute the price and yield of a 2 and 3-year zero coupon bonds today.

When a company has a production bottleneck, it should use __________ to determine how to maximize its profits. a.the return on investment (ROI) b.residual income c.the unit contribution margin per production bottleneck constraint d.target costing

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Option c: When a company has a production bottleneck, it should use unit contribution margin to determine how to maximize its profits.

You can use gross basis or unit basis to express contribution margin. It shows the additional revenue generated for each product or unit sold after deducting the variable portion of operating expenses. The contribution margin is/is stated as the selling price per unit minus the variable cost per unit.   Also known as dollar contribution per unit, this metric shows how a particular product impacts a company's overall profit.

It provides a way to show the profit potential of a particular product offered by a company and shows the percentage of sales that are used to pay the company's fixed costs. Profit is the amount left over after deducting fixed costs.

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In the context of marketing, the formation and change of consumer attitudes under varying conditions of involvement are explained by a theory known as the

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In the context of marketing, the formation and change of consumer attitudes under varying conditions of involvement are explained by a theory known as the Elaboration Likelihood Model (ELM).

In the context of marketing, the theory that explains the formation and change of consumer attitudes under varying conditions of involvement is known as the Elaboration Likelihood Model (ELM). This model was developed by Richard E. Petty and John Cacioppo in the 1980s and is based on the idea that consumers process information differently depending on their level of involvement with a product or service.

According to the ELM, there are two routes to persuasion: the central route and the peripheral route. The central route involves careful and thoughtful consideration of the information presented, while the peripheral route involves more superficial processing, such as being influenced by the credibility of the source or the attractiveness of the message.

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You want to have $200,000 when you retire in 20 years. If you can earn 3% interest compounded monthly, how much would you need to deposit now into the account to reach your retirement goal

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We can use the present value formula to calculate the amount that needs to be deposited now to reach the retirement goal:

PV = FV / (1 + r/n)^(n*t)

where PV is the present value, FV is the future value (retirement goal), r is the annual interest rate, n is the number of times the interest is compounded per year, and t is the number of years.

Plugging in the given values, we get:

PV = 200,000 / (1 + 0.03/12)^(12*20)

Simplifying the equation:

PV = 200,000 / (1.0025)^240

PV = $91,493.25 (rounded to the nearest cent)

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when a credit card company advertised that it would donate 3 cents per transaction to non profit anti-hunger groups over two month period for all charges against its credit card,it was an example of:

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The credit card company's advertisement was an example of cause-related marketing. Cause-related marketing refers to a marketing strategy where a company partners with a non-profit organization and donates a portion of its profits to support a social or environmental cause.

In this case, the credit card company partnered with anti-hunger groups and pledged to donate 3 cents per transaction for all charges made on its credit card over a two-month period.

The explanation of this strategy is that cause-related marketing can be beneficial for both the company and the non-profit organization. For the company, it can increase customer loyalty, attract new customers, and enhance its reputation by demonstrating its commitment to social responsibility. For the non-profit organization, it can raise awareness about the cause and provide a new source of funding. However, it is important to note that cause-related marketing should be genuine and transparent, and the company should choose a cause that aligns with its values and business objectives. Otherwise, it can lead to accusations of cause-washing or green-washing, where companies use social or environmental issues as a marketing tool without actually making a meaningful impact.

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Long-term interest rates and short-term interest rates:Question 8 options:a) always move closely together.b) are independent of one another.c) usually move in lockstep.d) don't always move closely together.

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Long-term interest rates and short-term interest rates do not always move closely together. Option D

In fact, they often move independently of one another or even in opposite directions. This is because they are influenced by different factors.

Short-term interest rates are determined by the Federal Reserve, which sets the federal funds rate – the rate at which banks lend money to each other overnight. This rate affects the cost of borrowing for consumers and businesses, and therefore influences spending and investment decisions.

On the other hand, long-term interest rates are influenced by market expectations of future economic growth, inflation, and other factors that affect the demand for credit. Bond investors demand higher yields on longer-term bonds to compensate for the risk of inflation and other economic uncertainties over time.

Thus, while short-term interest rates may be influenced by the Federal Reserve's monetary policy, long-term interest rates are more closely tied to broader economic conditions. Therefore, they often move independently of one another.

In some cases, however, long-term and short-term interest rates may move in lockstep, particularly when economic conditions are stable. For example, during periods of economic growth, both short-term and long-term interest rates may rise as demand for credit increases.

In summary, long-term interest rates and short-term interest rates do not always move closely together, and their movements are influenced by different factors.

While short-term interest rates are influenced by the Federal Reserve's monetary policy, long-term interest rates are more closely tied to broader economic conditions. So Option D is correct

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People within an organization will feel more informed and empowered to make good marketing decisions when research results provide a deeper or broader understanding of

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Research results can provide valuable insights into the target audience, market trends, and competition, which can help employees make informed marketing decisions.

For example, understanding consumer behavior, preferences, and attitudes can help companies create more effective advertising campaigns, develop new products that meet customer needs, and improve customer service. In addition, analyzing market data and competitive intelligence can help organizations identify new market opportunities, differentiate themselves from competitors, and develop strategies for growth.

Furthermore, research results can empower employees by providing them with the information and knowledge they need to make strategic decisions. This can increase their confidence in their abilities and their sense of ownership and responsibility for the success of the organization. When employees feel empowered, they are more likely to take initiative, be innovative, and contribute to the overall success of the company.

In summary, research results can provide a deeper or broader understanding of the market and audience, which can empower employees to make informed marketing decisions, leading to better results for the organization.

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Assume that there is no Coasian bargaining but that the government could put a subsidy in place for apples and a subsidy for honey. What per unit subsidies would cause the agents to choose the socially optimal quantities

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The per unit subsidies required for the socially optimal quantities are the ones that equalize the marginal external benefits of apples and honey production.

To determine the per unit subsidies, follow these steps:
1. Calculate the marginal external benefits (MEBs) of apples and honey by assessing the positive externalities they provide to society.
2. Set the MEBs of apples and honey equal to each other to find the socially optimal quantities.
3. Determine the difference between the current market price and the socially optimal price for each good.
4. The per unit subsidies should be equal to these differences, ensuring that the agents choose the socially optimal quantities.

By implementing these subsidies, the government can encourage the production of the socially optimal quantities of apples and honey, considering the absence of Coasian bargaining.

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Compliance with ______ goes to the heart of the CSR debate because it largely dictates the degree to which a firm is accepted by society.

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Compliance with ethical and socially responsible practices goes to the heart of the Corporate Social Responsibility (CSR) debate because it largely dictates the degree to which a firm is accepted by society.

Corporate Social Responsibility (CSR) refers to the responsibility of businesses to operate ethically and contribute positively to society. It encompasses a range of practices that consider the social, environmental, and economic impact of business operations. Compliance with ethical and socially responsible practices is crucial in determining how a firm is perceived and accepted by society.

When a company adheres to ethical standards and engages in responsible business practices, it demonstrates a commitment to meeting societal expectations and addressing social and environmental concerns. This enhances the firm's reputation and credibility among stakeholders, including consumers, employees, investors, and the wider community. On the other hand, non-compliance with ethical and responsible practices can lead to reputational damage, legal issues, and loss of trust and support from stakeholders.

Thus, compliance with ethical and socially responsible practices is central to the CSR debate as it significantly influences a firm's standing in society and its ability to contribute positively to sustainable development.

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An engineer in 1950 was earning $5,200 a year. In 2017 she earned $98,000 a year. However, on average, prices in 2017 were higher than in 1950. What was her real income in 2017 in terms of constant 1950 dollars

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Inflation is the increase in the general price level of goods and services in an economy over time. This means that the same amount of money in 1950 could buy more goods and services than the same amount of money in 2017.

Therefore, to compare the engineer's earnings in 1950 and 2017, we need to adjust the 2017 earnings for inflation to get the value of those earnings in 1950 dollars. To do this, we can use the Consumer Price Index (CPI), which is a measure of the average change in prices of goods and services consumed by households over time. According to the CPI, the average price level in 1950 was 24.1, while in 2017 it was 245.12. This means that the general price level in 2017 was about ten times higher than in 1950.

To find the engineer's real income in 2017 in terms of constant 1950 dollars, we need to adjust her 2017 earnings for inflation using the CPI. We can do this by dividing her 2017 earnings by the CPI for 2017 and then multiplying the result by the CPI for 1950. This will give us her earnings in terms of constant 1950 dollars.

So, the calculation is:

Real income in 2017 = (Nominal income in 2017 / CPI in 2017) x CPI in 1950
Real income in 2017 = ($98,000 / 245.12) x 24.1
Real income in 2017 = $38,519.18

Therefore, the engineer's real income in 2017 in terms of constant 1950 dollars was $38,519.18. This means that her purchasing power in 2017 was lower than in 1950, even though her nominal income was much higher. I hope this long answer explains how to adjust for inflation and calculate the real income in terms of constant dollars.

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Which is an example of a demand account?
savings account
investment account
credit account
checking account

Answers

Checking accounts
Unlike a savings account, a checking account is a type of demand deposit account that doesn't limit the number of transactions you can make without paying

________ analysis tends to be more a short-term trading approach to buying and selling stocks. Group of answer choices Modern portfolio theory Fundamental Technical Discounted cash flow Cost of capital

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Technical analysis tends to be more a short-term trading approach to buying and selling stocks.

Technical analysis is a method of evaluating securities by analyzing statistics generated by market activity, such as past prices and volume.

Technical analysts believe that past trading activity and price changes of a security can be valuable indicators of the security's future price movements.

They use charts, trend lines, and various other tools to identify patterns and trends that can help them determine when to buy and sell securities.

Technical analysis is often used by traders who are interested in short-term trading and are looking for opportunities to profit from short-term price movements in the market.

In contrast, fundamental analysis focuses on analyzing the underlying financial and economic factors that affect the long-term value of a security.

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Davidson Industrial bonds have a current market price of $992 and a 5% coupon. The bonds pay interest semiannually on March 1 and September 1. Assume today is January 1. How many months of accrued interest are included in the dirty price of these bonds

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To calculate the dirty price of the Davidson Industrial bonds, we need to add the accrued interest to the clean price.

Some processes need to be followed-

1. Identify the most recent interest payment date: The bonds pay interest semiannually on March 1 and September 1. Since today is January 1, the most recent interest payment date is September 1.

2. Calculate the number of months since the most recent interest payment: From September 1 to January 1, there are 4 months.

Since the bonds pay interest semiannually on March 1 and September 1, and today is January 1, there are two months of accrued interest included in the dirty price. Therefore, the total dirty price of the bonds would be:

Dirty price = Clean price + Accrued interest
Dirty price = $992 + (5% / 2) x ($1,000 / 12) x 2
Dirty price = $992 + $8.33
Dirty price = $1,000.33

So, the answer to your question is that there are two months of accrued interest included in the dirty price of the Davidson Industrial bonds.

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A(n) ____ is any benefit that comes to a firm because it exploits an opportunity before any other firm does

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A "first-mover advantage" is any benefit that comes to a firm because it exploits an opportunity before any other firm does.

This concept refers to the advantage a company gains by being the first to enter a new market, introduce a new product, or implement a new process. By being first, a company can capture a larger market share, establish brand recognition, and create barriers to entry for competitors. In addition, a first-mover can often benefit from economies of scale, which can lead to lower production costs and higher profit margins.

However, there are also risks associated with being a first-mover, such as the potential for high research and development costs and uncertainty about customer acceptance.

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A firm has $1,200,000 in sales, a Lerner index of 0.63, and a marginal cost of $35, and competes against 800 other firms in its relevant market. Instruction: Enter your responses rounded to two decimal places. a. What price does this firm charge its customers

Answers

The firm charges its customers $94.59 per unit.

To find the price that this firm charges its customers, we need to use the formula for the Lerner index:
Lerner index = (P - MC) / P

Where P is the price charged by the firm and MC is the marginal cost.


We can rearrange this formula to solve for P:
P = MC / (1 - Lerner index)

Plugging in the values given:
P = 35 / (1 - 0.63)
P = 94.59

So the firm charges its customers $94.59 per unit.

It's important to note that we don't have enough information to determine the number of units sold by the firm.

We only know the total sales, which could be the result of selling a high quantity of low-priced items or a low quantity of high-priced items.

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A narrowly defined market will tend to make concentration appear _________, while a broadly defined market will tend to make it appear _________ Group of answer choices

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A narrowly defined market will tend to make concentration appear higher, while a broadly defined market will tend to make it appear lower. Therefore, the correct option is B

This is because in a narrow market, there are fewer competitors, and therefore a few dominant players can control a larger share of the market. Hence in a narrowly defined market, there are fewer products and services, leading to fewer competitors and higher concentration.

In a broad market, there are more competitors, making it harder for any one player to have a significant share. Hence, a broadly defined market includes a wider range of products and services, resulting in more competitors and lower concentration. Hence, the correct answer is option B:

Note: The question is incomplete. The complete question probably is: A narrowly defined market will tend to make concentration appear _________, while a broadly defined market will tend to make it appear _________ . A) higher, higher B) higher, lower, C) lower, higher D) lower, lower.

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If you know that the substitution effect dominates the income effect when Jasper's wage rises, you can tell that his labor supply curve is

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If the substitution effect dominates the income effect when Jasper's wage rises, then his labor supply curve is relatively elastic.  This is because the increase in wage has a significant impact on his decision to work more, meaning that he is relatively responsive to changes in wage rates.

If the substitution effect dominates the income effect when Jasper's wage rises, this means that the increase in wage encourages him to work more hours as the opportunity cost of leisure increases. In other words, Jasper would prefer to work more hours to take advantage of the higher wage instead of enjoying more leisure time. This is the substitution effect.
On the other hand, the income effect suggests that a rise in wage may increase Jasper's income, which may lead to an increase in his leisure time as he could afford to work less and still maintain his standard of living. However, since the question states that the substitution effect dominates the income effect, this means that the increase in wage has a greater impact on Jasper's decision to work more hours, and the impact of the increased income on his leisure time is negligible.
Therefore, in terms of the labor supply curve, the substitution effect dominating the income effect would suggest that Jasper's labor supply curve is relatively elastic. This is because the increase in wage has a significant impact on his decision to work more, meaning that he is relatively responsive to changes in wage rates. Therefore, if Jasper's wage were to rise, his labor supply would increase significantly, and if his wage were to fall, his labor supply would decrease significantly. This is indicative of an elastic labor supply curve.

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An error in the physical count of goods on hand at the end of a period resulted in a $10600 overstatement of the ending inventory. The effect of this error in the current period is

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The error in the physical count of goods on hand at the end of the period resulted in an overstatement of the ending inventory by $10600.

This overstatement means that the current period's financial statements will also be affected. The overstatement of ending inventory will result in an overstatement of cost of goods sold, and thus, an understatement of gross profit for the current period. This could potentially mislead investors, creditors, and other stakeholders in the business as the financial statements would not accurately represent the company's financial performance. It is important for companies to ensure accurate physical counts of inventory to avoid such errors and ensure the integrity of their financial statements.
When an error in the physical count of goods on hand at the end of a period resulted in a $10,600 overstatement of the ending inventory, it affects the financial statements for that period.

In the current period, the effect of this error will be:

1. Overstated assets: The ending inventory will be overstated by $10,600, causing the total assets to be overstated as well.
2. Understated cost of goods sold (COGS): Due to the overstatement of the ending inventory, the COGS will be understated by $10,600.
3. Overstated net income: As a result of the understated COGS, the net income for the current period will be overstated by $10,600.

In summary, the error in the physical count resulted in an overstatement of the ending inventory, which subsequently led to overstated assets, understated cost of goods sold, and overstated net income for the current period.

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Complete the MRP record using EOQ lot sizing technique. The holding cost is $3 per unit per period and the ordering cost is $500 per order. What is the ordering cost and holding costs using end inventory values

Answers

In order to reduce a company's overall ordering and inventory holding expenses, the Economic Order Quantity (EOQ) formula is used to find the best order quantity. To complete the MRP record using the EOQ lot-sizing technique, we need to first calculate the Economic Order Quantity (EOQ). The formula for EOQ is:

EOQ = √((2 * demand rate * ordering cost) / holding cost per unit per period)

Using the given data, we can calculate the EOQ as follows:

EOQ = √((2 * 6000 * 500) / 3)
EOQ = √2000000
EOQ = 1414.21 (rounded to the nearest whole number)

Next, we can use the EOQ to calculate the number of orders and the order quantity required for each period. Assuming a total demand of 6000 units over 12 periods, we can calculate the following:

Number of orders = Total demand / EOQ
Number of orders = 6000 / 1414
Number of orders = 4.24 (rounded up to 5 orders)

Order quantity per period = EOQ
Order quantity per period = 1414 units

Using the EOQ and the order quantity per period, we can calculate the ordering cost and holding costs using end inventory values.

Assuming an initial inventory of zero and a desired end inventory of 200 units for each period, we can calculate the following:

Ordering cost per period = Number of orders * Ordering cost per order
Ordering cost per period = 5 * 500
Ordering cost per period = $2500

Holding cost per period = (Beginning inventory + Ending inventory) / 2 * Holding cost per unit per period
Holding cost per period = (0 + 200) / 2 * 3
Holding cost per period = $300

Therefore, the ordering cost and holding costs using end inventory values are $2500 and $300, respectively.

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John is a graduate student who works in a lab that screens tissue samples for various biomedical research projects. John learns of a new drug study that is proposed for funding by the NIH for which he will do tissue screening and contribute as an author on a journal article. The PI and Co-PI on the proposal work in a different department, and John has little day-to-day contact with them. John does not believe that any portion of his salary will be paid directly by the NIH grant, but wonders if he has an obligation to disclose the fact that his wife is a senior vice president for the start-up pharmaceutical company that is developing the drug being tested. Must John disclose his wife’s position?

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Yes, John has an obligation to disclose the fact that his wife is a senior vice president for the start-up pharmaceutical company that is developing the drug being tested.

This is because there is a potential conflict of interest due to his wife's position, which could potentially influence his work in the lab and his contribution to the journal article. It is important for John to disclose this information to the PI and Co-PI on the proposal, as well as to his supervisor in the lab. This will allow them to assess the situation and determine if any actions need to be taken to manage the conflict of interest, such as recusing John from working on certain aspects of the project or involving an independent researcher to review his work.

Transparency and disclosure in this situation is essential to maintaining the integrity of the research and ensuring that any potential conflicts of interest are appropriately managed.

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When there is congruence between managers' societal values of power distance and the culture of the organization in which the managers work, what is the impact on the organization

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When there is congruence between managers' societal values of power distance and the culture of the organization in which they work, the impact on the organization can be positive or negative.

On one hand, if the managers' values align with the culture of the organization, there may be less conflict and more efficient communication and decision-making. The managers may be more effective in motivating employees and achieving organizational goals.

On the other hand, if the societal values of power distance are high and the culture of the organization promotes hierarchy and top-down decision-making, there may be negative consequences. This could lead to a lack of innovation and creativity, as employees may feel less empowered to take risks and share their ideas.

It could also lead to a lack of employee engagement and satisfaction, as employees may feel undervalued and disrespected.
Overall, it is important for managers to understand their own societal values and how they align with the culture of the organization in which they work. This can help them to be more effective leaders and create a positive work environment that fosters innovation, collaboration, and employee engagement.

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Alternatively, will companies like P&G be able to use their sophisticated global supply chains to expand into new territories similar to what Alibaba and Amazon did not too long ago?

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P&G has a strong global supply chain that has helped the company expand its reach and improve its efficiency. However, the question remains whether this supply chain can help the company expand into new territories like Alibaba and Amazon did.

While it's possible, it's important to note that expanding into new markets requires more than just a sophisticated supply chain. Alibaba and Amazon both had to invest heavily in marketing, logistics, and customer service to succeed in new markets. P&G would need to do the same.

Additionally, P&G's business model is different from that of Alibaba and Amazon. The latter two are primarily e-commerce companies, while P&G is a consumer goods company. This means that P&G would need to work with retailers in new territories, which could be challenging if the company doesn't have established relationships in those markets.

In conclusion, P&G could use its supply chain to expand into new territories, but it would need to invest heavily in marketing, logistics, and customer service. It would also need to work closely with retailers in new markets to succeed.

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In the short run, the costs associated with variable inputs are _____, and the costs associated with _____ inputs are _____.

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In the short run, the costs associated with variable inputs are flexible or changeable, and the costs associated with fixed inputs are inflexible or fixed.

Variable inputs refer to the inputs that can be easily adjusted in the short run. These inputs include labor, raw materials, and supplies. Since these inputs are flexible, the costs associated with them can be adjusted easily in response to changes in production levels. For example, if a company needs to increase its production, it can easily hire more workers or purchase additional raw materials to meet the demand. The cost of these variable inputs will increase accordingly. On the other hand, fixed inputs refer to inputs that cannot be easily adjusted in the short run. These inputs include capital, land, and equipment.

Since these inputs are inflexible, the costs associated with them remain constant regardless of changes in production levels. In conclusion, the costs associated with variable inputs are flexible in the short run, while the costs associated with fixed inputs are inflexible. Understanding the differences between these two types of inputs is crucial for companies to make informed decisions about their production processes and manage their costs effectively.

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If a firm borrows $50 million for one year at an interest rate of 10 percent, what is the present value of the interest tax shield

Answers

The present value of the interest tax shield is approximately $1.62 million.

To calculate the present value of the interest tax shield, we need to first determine the amount of interest expense that will be tax deductible.

In this case, the firm's interest expense is $50 million x 10% = $5 million.

Assuming a tax rate of 35%, the tax shield from this interest expense is $5 million x 35% = $1.75 million.

To calculate the present value of this tax shield, we need to discount it back to its present value using the appropriate discount rate. Let's assume a discount rate of 8%.

PV of interest tax shield = $1.75 million / (1 + 0.08) = $1,620,370.37

Therefore, the present value of the interest tax shield is approximately $1.62 million.

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