We can see here that: -Bread division operating income = $4,700,000
-Cake division operating income = -$400,000
-Doughnuts division operating income = $4,450,000.
What is operating income?Operating income, also known as operating profit or operating earnings, is a measure of a company's profitability from its core operations before considering interest income or expenses, taxes, and non-operating items.
Here are the steps on how to allocate the indirect costs of Forber to each division equally:
The total indirect costs to be allocated:
Total indirect costs = $1,900,000 + $1,400,000 + $1,200,000 + $600,000 = $5,100,000
The total indirect costs by the number of divisions:
Number of divisions = 3
Per-division indirect cost allocation = $5,100,000 / 3 = $1,700,000
The indirect costs to each division:
Bread division indirect cost allocation = $1,700,000
Cake division indirect cost allocation = $1,700,000
Doughnuts division indirect cost allocation = $1,700,000
The division operating incomes after allocation of headquarter costs:
Bread division operating income = $6,400,000 - $1,700,000 = $4,700,000
Cake division operating income = $1,300,000 - $1,700,000 = -$400,000
Doughnuts division operating income = $6,150,000 - $1,700,000 = $4,450,000
As you can see, the bread and doughnuts divisions are profitable after allocation of headquarter costs, while the cake division is not. This is because the cake division has a lower number of employees and a smaller amount of square footage than the other two divisions.
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The complete question is:
Forber Bakery makes baked goods for grocery stores and has three divisions: bread, cake, and doughnuts. Each division is run and evaluated separately, but the main headquarters incurs costs that are indirect costs for the divisions. Costs incurred in the main headquarters are as follows:
Human resources (HR) costs $1,900,000
Accounting department costs 1,400,000
Rent and depreciation 1,200,000
Other 600,000
Total costs $5,100,000 The Forber upper management currently allocates this cost to the divisions equally. One of the division managers has done some research on activity-based costing and proposes the use of different allocation bases for the different indirect costs—number of employees for HR costs, total revenues for accounting department costs, square feet of space for rent and depreciation costs, and equal allocation among the divisions of “other” costs. Information about the three divisions follows:
Bread Cake Doughnuts
Total revenues $20,900,000 $4,500,000 $13,400,000
Direct costs 14,500,000 3,200,000 7,250,000
Segment margin $6,400,000 $1,300,000 $6,150,000
# of employees: 400 100 300
Sq.feet of space: 10,000 4,000 6,000
Allocate the indirect costs of Forber to each division equally. Calculate division operating income after allocation of headquarter costs.
Problem 4-26 (LO. 3) Imani and Doug were divorced on December 31, 2021, after 10 years of marriage. The couple's income received before the divorce included: Doug's salary $41,000 Imani's salary 55,00
Community property is a legal distinction at the state level in the United States that designates the assets of a married couple. California Liz: $57200 Doug: $51100
How to calculate the valueAny income and real or personal property earned by either spouse during a marriage are considered community property and hence belong to both couples.
Spouses own (and owe) everything equally under community property, regardless of who earns or spends the income. Income under California's Community Property regulations Liz: $57200; Doug: $51100.
In concluion Community property is a legal distinction at the state level in the United States that designates the assets of a married couple. California Liz: $57200 Doug: $51100
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In the Deloitte and Touche five step process to embed ethics and values within the culture of a a firm, the _______ is the stage that gaps and ambiguities are removed
1. Review and revise phase
2. Development of an ongoing self-assessment of the compliance program
3. Review of current ethical policies and procedures
4. Risk/cultural assessment
The correct answer is "Review and revise phase." In this stage of the Deloitte and Touche five-step process, gaps and ambiguities in the firm's ethics and values are identified and addressed.
It involves a thorough evaluation of existing policies and procedures to ensure they align with ethical standards and cultural expectations. The goal is to make necessary revisions and improvements to promote a strong ethical culture within the organization. The Deloitte and Touche five-step process refers to a framework developed by Deloitte and Touche LLP, a global professional services firm, to embed ethics and values within the culture of a firm. The five steps are as follows: Tone at the top: This step focuses on setting the right tone at the senior leadership level by establishing clear values, ethical standards, and expectations. It involves leaders demonstrating and promoting ethical behavior and integrity.
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Jerry’s Convenience Store Adjusted Trial Balance December 31, 2022 Dr Cr Cash……………………………………………………………………………………………………$ 67,500 Accounts receivable………………………………………………………………………… 46,000 Allowance for Doubtful Accounts………………………………………………………… 2,000 Merchandise Inventory………………………………………………………………………… 60,000 Office Supplies……………………………………………………………………………………… 2, 800 Accounts Payable ………………………………………………………………………………… 16,000 Salaries Payable………………………………………………………………………………….. 850 Common Stock ……………………………………………………………………………………….. 20,000 Retained Earnings …………………………………………………………………………………. 60, 630 Sales………………………………………………………………………………………………………… 550,000 Sales returns & allowance……………………………………………………………………….. 4,500 Sales discounts………………………………………………
…………………………………………. 4,250 Cost of goods sold……………………………………………………………………………………. 382,450 Salaries expense ……………………………………………………………………………………… 44,000 Advertising Expense………………………………………………………………………………… 8,150 Rent Expense…………………………………………………………………………………………… 24,325 Other operating expense………………………………………………………………………….. 450 Interest expense………………………………………………………………………………………. 5,055 0 TOTALS $649,480 $649, 480 Requirement: Using the Adjusted Trial Balance above answer the following questions (25 points): 1. What is the amount of net sales? 2 points 541,250 2. What is the amount of total assets? 2 points 3. What is the amount of total liabilities? 2 points 4. What is the amount of net assets? 2 points 5. What is the amount of Retained Earnings after the closing entries have been posted? 3 pts 6. What is the amount of gross profit? 2 points 7. What is the amount of total expenses? 2 points
Using the information of adjusted Trial balance are the outcomes:
The amount of net sales is $541,250
The amount of total assets is $176,300
The amount of total liabilities is $16,850
The amount of net assets is $159,450
The amount of Retained Earnings after the closing entries is $136,450
The amount of gross profit is $158,800
The amount of total expenses is $82,980
1. The amount of net sales is calculated by subtracting the total of sales returns and allowances and sales discounts from the sales revenue. Therefore, net sales = $550,000 - $4,500 - $4,250 = $541,250.
2. The amount of total assets is the sum of all the asset accounts. Therefore, total assets = $67,500 + $46,000 + $60,000 + $2,800 = $176,300.
3. The amount of total liabilities is the sum of all the liability accounts. Therefore, total liabilities = $16,000 + $850 = $16,850.
4. The amount of net assets is calculated by subtracting the total liabilities from the total assets. Therefore, net assets = $176,300 - $16,850 = $159,450.
5.If we assume that the dividends paid is 0, then the retained earnings after the closing entries have been posted would be:
Retained earnings = $60,630 + gross profit - total expenses - dividends paid
Retained earnings = $60,630 + $158,800 - $82,980 - $0
Retained earnings = $136,450
6. Gross profit is calculated by subtracting the cost of goods sold from the net sales. Therefore, gross profit = $541,250 - $382,450 = $158,800.
7. Total expenses is the sum of all expense accounts. Therefore, total expenses = $44,000 + $8,150 + $24,325 + $450 + $5,055 = $82,980.
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The imperfectly competitive firms, monopoly, monopolistic competition and oligopoly, all have downward sloping demand curves. However, the oligopoly has a unique demand curve. What is unique about it? Provide an explanation of all of the parts of the demand curve. How does the marginal revenue curve relate to the demand curve? Provide a graph that shows all parts of the demand curve, the marginal revenue curve, and the marginal cost curve.
Imperfectly competitive firms such as monopoly, monopolistic competition, and oligopoly have downward sloping demand curves.
In the case of oligopoly, the demand curve is different from that of a monopoly or monopolistic competition because it is interdependent. What this means is that the oligopoly firms’ pricing decision is influenced by the actions of their rivals. The demand curve is, therefore, kinked as it shows different reactions to price changes.
Oligopolies experience a kinked demand curve, which is characterized by two sections that are relatively elastic and inelastic. This demand curve implies that if the company lowers its price, then its rivals will follow suit, causing the company's sales to increase marginally.
On the other hand, if the company raises the price, then the rivals are less likely to follow suit, leading to a significant reduction in the company's sales. The graph below shows the demand curve, marginal revenue curve, and the marginal cost curve:
The marginal revenue curve is related to the demand curve as follows:
Marginal Revenue (MR) is the additional revenue from the sale of one additional unit of the product. The Marginal Revenue curve coincides with the upper part of the Demand Curve because in the elastic range of the demand curve, the oligopoly will have to decrease prices to increase its quantity demanded.
However, in the inelastic region of the demand curve, the oligopoly will have to increase prices to increase its total revenue.
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Problem 7-2 Cost-benefit analysis of cash management (L07-2] Neon Light Company of Kansas City ships lamps and lighting appliances throughout the country. Ms. Neon has determined that through the establishment of local collection centers around the country, she can speed up the collection of payments by two days. Furthermore, the cash management department of her bank has indicated to her that she can defer her payments on her accounts y one-half day without affecting suppliers. The bank has a remote disbursement center in Florida. points
a. If Neon Light Company has $2.80 million per day in collections and $1.16 million per day in disbursements, how many dollars will the cash management system free up? (Enter your answer in dollars not in millions (e.g., $1,234,567).)
b. If Neon Light Company can earn 7 percent per annum on freed-up funds, how much will the income be? (Enter your answer in dollars not in millions (e.g., $1,234,567).) Interest on freed-up cash
c. If the total cost of the new system is $455,000, should it be implemented? O No Yes
The cash management system will free up $7,860,000.
How much money will the cash management system free up?Implementing the cash management system will free up a total of $7,860,000 for Neon Light Company.
By establishing local collection centers, the company can speed up payment collection by two days, resulting in an increased cash flow.
Additionally, by deferring payments on accounts by one-half day without affecting suppliers, the company can further optimize its cash management.
These measures allow the company to free up $2.80 million in collections per day and $1.16 million in disbursements per day.
With an annual interest rate of 7 percent, the company can earn income on the freed-up funds. Considering the total cost of the new system is $455,000, implementing it proves to be beneficial in terms of increasing cash availability and potential interest earnings.
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Considering your experience with Ahlia University formulate a new strategy considering the key elements of Strategy Formulation?
In summary, the strategy formulation process for Ahlia University should begin with a situation analysis. After defining their objectives, they must choose the best plan of action to achieve their goals. Finally, they must implement and assess the plan's performance while making changes to improve it.
Ahlia University, located in Bahrain, has established a name for itself as a pioneer in Bahraini education. To stay ahead of the competition and achieve their objectives, they will need to come up with a new strategy. Here's a strategy formulation plan based on the key elements of strategy formulation and an examination of the current position of Ahlia University.
1. Situation analysis: SWOT analysis is a common method for conducting a situation analysis. This method entails evaluating the university's strengths, weaknesses, opportunities, and threats. They'll be able to recognize their capabilities and limitations as a result of this analysis. Furthermore, they'll be able to determine the external environment's possibilities and threats.
2. Goals and Objectives: Once the situation has been analyzed, the university must define its objectives. The goals must be specific, measurable, attainable, relevant, and time-bound. The aim of the university should be to have the highest student retention rate while maintaining its educational quality.
3. Strategy Selection: The university must choose the best course of action once the goals and objectives have been established. The university must improve student retention by increasing student engagement, providing mentorship programs, and improving the overall university experience for students.
4. Strategy Implementation: Implementation will require the university to ensure that the selected plan is implemented. This step requires cooperation between university management and stakeholders, such as faculty members and students. They must be motivated and committed to the success of the plan.
5. Evaluation and Control: The last step is to evaluate the plan's performance and make changes where necessary. The university must gather data to determine the plan's effectiveness, make modifications where necessary, and adjust the plan to improve its effectiveness.
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The Unadjusted Trial Balance columns of a work sheet total $96,000. The Adjustments columns contain entries for the following: 1. Office supplies used during the period, $5,200. 2. Expiration of prepaid rent, $1,900. 3. Accrued salaries expense, $1,700. 4. Depreciation expense, $2,000. 5. Accrued consulting revenue, $1,600. The Adjusted Trial Balance columns total is:
The adjusted trial balance is a listing of all account balances after making necessary adjusting entries in accounting. Adjustments are made to certain accounts to bring them up to date and thus the adjusted trial balance is created. Adjusted Trial Balance columns total is $108,400.
The adjusting entries are made after preparing the unadjusted trial balance. The unadjusted trial balance of a work sheet contains all the accounts that a company uses in its accounting system and their balances as of the beginning of a particular accounting period.
This is the first step of the accounting cycle, which ensures that the total debit balance of the unadjusted trial balance columns is equal to the total credit balance.The adjustments columns of a work sheet, which are a part of the accounting cycle, are used to record the entries for the adjustments that need to be made in the accounts after the preparation of the unadjusted trial balance.
The Adjusted Trial Balance columns total is equal to $96,000 (as given in the question) plus the amounts of the adjustments made. Thus, the Adjusted Trial Balance columns total would be: Office supplies used during the period $5,200 Expiration of prepaid rent $1,900 Accrued salaries expense $1,700 Depreciation expense $2,000 Accrued consulting revenue $1,600
Therefore, Adjusted Trial Balance columns total = $96,000 + $5,200 + $1,900 + $1,700 + $2,000 + $1,600= $108,400.
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FILL THE BLANK. "Please help, I will rate!! Thank you so much!
1Outsourcing is often a good choice when a product is in the
mature phase of the product life cycle. This statement is
____________.
The process of under"
The statement outsourcing is often a good choice when a product is in the mature phase of the product life cycle is true.
The process of understanding the product life cycle is essential for business planning, as it allows you to tailor your product development, marketing, and distribution to each stage of the cycle. This results in more efficient use of resources, increased profit margins, and a stronger brand reputation.
Furthermore, outsourcing refers to the practice of using external resources or third-party companies to complete business tasks or processes. When a product reaches the maturity phase of the product life cycle, it implies that it is no longer in the development or growth phase and has reached its maximum potential in the market.
Outsourcing is beneficial at this point because the company can take advantage of the cost savings and expertise offered by third-party providers, allowing them to maintain their competitive advantage while lowering their overall costs. Therefore, outsourcing can be a smart decision for companies looking to maximize their profits while maintaining their current market position.
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John and Jen will receive $20,000 from their trust fund in 9.25 years. Their discount rate is 5 percent per quarter (note there are 3 months in one quarter). How much would they be willing to sell the trust fund for today? Round your answer to two digits. Note that there are four compounding periods in one year.
The amount that John and Jen would be willing to sell their trust fund today would be $ 12, 630. 30.
How to find the present selling price ?The present amount that John and Jen would see for is simply the present value of the trust fund which can be found by the formula :
Present Value = Future Payment / ( 1 + Discount Rate ) [tex]^ {Time}[/tex]
Payment in the future = $ 20,000
Time to receive payment = 9.25 years
Discount rate per quarter = 5%
The present value is:
= 20, 000 / ( 1 + 5 % / 4 per quarter ) ³⁷
= $ 12, 630. 30
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if the european subsidiary of a u.s. firm has net exposed assets of €750,000, and the euro drops in value from $1.30/euro to $1.20/€ the u.s. firm has a translation:
The U.S. firm would have a negative translation impact of $75,000 due to the drop in the euro's value. This negative impact indicates a decrease in the value of the European subsidiary's net assets when expressed in U.S. dollars.
The translation impact refers to the effect of changes in exchange rates on the reported financial statements of a company's foreign subsidiary when those statements are translated into the reporting currency of the parent company. In this case, the U.S. firm has a European subsidiary with net exposed assets of €750,000, and the euro dropped in value from $1.30/euro to $1.20/€.
To calculate the translation impact, we need to determine the change in the value of the subsidiary's net assets when expressed in the reporting currency (U.S. dollars).
Initial value of net exposed assets in U.S. dollars:
€750,000 * $1.30/€ = $975,000
Value of net exposed assets after the euro dropped in value:
€750,000 * $1.20/€ = $900,000
Translation impact:
$900,000 - $975,000 = -$75,000
The U.S. firm would have a negative translation impact of $75,000 due to the drop in the euro's value. This negative impact indicates a decrease in the value of the European subsidiary's net assets when expressed in U.S. dollars.
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an industry in which the firms' cost structures do not vary with changes in production
The industry in which the firms' cost structures do not vary with changes in production is called a natural monopoly.
A natural monopoly exists when a single firm can produce a product or service at a lower cost than any potential competitor. For example, public utilities, such as electricity and water supply, may be a natural monopoly.
A natural monopoly arises when the barriers to entry are so high that it is not profitable for competitors to enter the market. In a natural monopoly, the first company to enter the market enjoys lower costs because of economies of scale, network effects, and other factors, making it more difficult for other companies to compete.
This creates a market with a single supplier, where the cost structure of the firm remains constant regardless of the volume of production or the size of the market.
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An oligopoly is a market dominated by
O a very small number of firms
O none of these answers is correct
O many firms
O many firms selling differentiated goods
O one firm
An oligopoly is a market dominated by a very small number of firms. So, the first option is correct.
Unlike a perfectly competitive market with numerous firms or a monopoly with a single firm, an oligopoly consists of a limited number of dominant firms that hold a significant market share.
These firms have the ability to influence market outcomes due to their size and market power.
The distinguishing characteristic of an oligopoly is the interdependence among the firms. Each firm's actions and decisions directly impact the behavior and performance of the other firms in the market.
This interdependence leads to strategic interactions, such as pricing decisions, output levels, and marketing strategies, as firms take into account the anticipated responses of their competitors.
In many oligopolistic markets, the firms often sell differentiated goods, meaning they offer products that have unique features or attributes, leading to brand differentiation.
This differentiation allows firms to capture a specific segment of the market and create a degree of product loyalty among consumers.
Oligopolies can arise due to various factors, such as high barriers to entry, economies of scale, and strategic advantages gained through mergers and acquisitions.
The presence of a small number of dominant firms in an oligopoly can result in limited competition and the potential for collusion, leading to the exercise of market power and influencing prices and output levels in the market.
Overall, an oligopoly is characterized by a market structure dominated by a few powerful firms that exhibit interdependence and strategic behavior in their decision-making processes.
So, the first option is correct.
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A company is about to invest in a new garbage truck at the price of 450 000 EUR. Running costs for the truck is estimated at 6500 EUR per year for 4 years, on the other hand the company expect to get a revenue of 15500 EUR per year for 4 years not having to rent a garbage truck. The residual value is expected to be 1250 EUR at the end of the economic lifespan. The decided rate of return required of all the company's investment is 8%. a) Calculate the annual cash-flows. (Hint - revenue - cost) 1p b) Calculate the Net present value (NPV) for the investment and give a recommendation if the company should invest in the garbage truck or not? 4p c) The company's controller isn't happy with the recommendation and argues that the NPV is too complex to use. Provide two detailed arguments to continue using the NPV method over the pay-back method. 2p
a) Revenue per year: €15,500
Running costs per year: €6,500
b) Based on the calculated NPV, which is negative, the recommendation would be NOT to invest in the garbage truck since the NPV is indicating a loss.
c) Two arguments in favor of using the NPV method over the payback method are:
1. Time Value of Money
2. Incorporates All Cash Flows
a) To calculate the annual cash flows, we need to subtract the running costs from the revenue each year. Given the information provided:
Revenue per year: €15,500
Running costs per year: €6,500
The annual cash flow for each year can be calculated as follows:
Year 1: Revenue - Running costs = €15,500 - €6,500 = €9,000
Year 2: Revenue - Running costs = €15,500 - €6,500 = €9,000
Year 3: Revenue - Running costs = €15,500 - €6,500 = €9,000
Year 4: Revenue - Running costs = €15,500 - €6,500 = €9,000
b) Net Present Value (NPV) is calculated by discounting the future cash flows to their present value and subtracting the initial investment cost. The NPV formula is:
NPV = (Cash Flow Year 1 / (1 + r)^1) + (Cash Flow Year 2 / (1 + r)^2) + ... + (Cash Flow Year N / (1 + r)^N) - Initial Investment
where:
r = discount rate (8% or 0.08)
N = economic lifespan (4 years)
Using the cash flows calculated in part (a) and the given information:
Initial investment = €450,000
Residual value = €1,250
NPV = (€9,000 / (1 + 0.08)^1) + (€9,000 / (1 + 0.08)^2) + (€9,000 / (1 + 0.08)^3) + (€9,000 / (1 + 0.08)^4) - €450,000 + (€1,250 / (1 + 0.08)^4)
Calculate each term of the NPV equation:
NPV = €9,000 / (1.08) + €9,000 / (1.08)^2 + €9,000 / (1.08)^3 + €9,000 / (1.08)^4 - €450,000 + €1,250 / (1.08)^4
Now, compute the NPV:
NPV = €7,716.59 + €6,375.85 + €5,268.71 + €4,356.84 - €450,000 + €850.82
NPV ≈ -€420,421.99
Based on the calculated NPV, which is negative, the recommendation would be NOT to invest in the garbage truck since the NPV is indicating a loss.
c) Two arguments in favor of using the NPV method over the payback method are:
1. Time Value of Money: The NPV method takes into account the time value of money by discounting future cash flows. It recognizes that money received in the future is less valuable than money received today due to factors such as inflation and investment opportunities. On the other hand, the payback method ignores the time value of money by only focusing on the payback period, which may lead to incorrect investment decisions.
2. Incorporates All Cash Flows: The NPV method considers all cash flows throughout the economic lifespan of the investment, including both inflows and outflows. It provides a comprehensive evaluation of the investment by considering the net impact on the company's cash flow. In contrast, the payback method only looks at the time it takes to recover the initial investment, ignoring any cash flows beyond the payback period. This can result in incomplete and misleading information about the investment's profitability and long-term viability.
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If a firm can sell a product, but in order to sell that product the selling price will be less than its variable costs, then the sale should be made because at least the fixed costs will be covered. TRUE OR FALSE
FALSE. If the selling price is less than the variable costs, it means that the firm will incur a loss on each unit sold. In this case, it is not advisable to make the sale because it will result in a further loss for the firm.
While making the sale may help cover a portion of the fixed costs, it would still result in an overall negative impact on the firm's profitability. It is generally more beneficial for a firm to refrain from selling a product at a price below its variable costs in order to minimize losses and maintain financial stability.
Financial stability refers to the ability of an individual, organization, or economy to withstand financial shocks or disruptions and maintain a solid and sustainable financial position. It involves having a strong and resilient financial structure that can effectively manage risks, absorb losses, and ensure the long-term viability and solvency of the entity.
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For each of the following situations, indicate whether you agree or disagree with the financial reporting practice employed and state the basic assumption, constraint, or accounting principle that is applied (if you agree) or violated (if you disagree).
1.
Wagner Corporation adjusted the valuation of all assets and liabilities to reflect changes in the purchasing power of the dollar.
I disagree with the financial reporting practice employed by Wagner Corporation in adjusting the valuation of all assets and liabilities to reflect changes in the purchasing power of the dollar.
The basic accounting principle violated in this case is the historical cost principle. The historical cost principle states that assets and liabilities should be recorded at their original cost at the time of acquisition, and subsequent changes in their values should not be adjusted based on changes in the purchasing power of the currency.
The assumption violated is the stable monetary unit assumption. The stable monetary unit assumption assumes that the currency used in financial reporting remains stable over time. By adjusting the valuation of assets and liabilities for changes in the purchasing power of the dollar, Wagner Corporation is not adhering to this assumption.
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Two existing companies would like to work together on a new product while maintaining their independence. Expenses, profits, and losses would be shared between the companies. An appropriate business type would be a O a. sole proprietorship. O b. merger. O c. joint venture. O d. corporation.
An appropriate business type would be a Joint Venture when two existing companies would like to work together on a new product while maintaining their independence. It is a business agreement in which both parties agree to pool their resources for a specific project.
Joint ventures are often used when companies want to join together to take advantage of a new market, product, or service opportunity. Joint ventures are also an attractive option for companies to enter foreign markets. It allows two companies to come together and utilize each other's strengths to build something they could not have achieved on their own.
A joint venture is a cost-effective way to reduce risk when a business is expanding into new markets. Joint ventures are temporary agreements that can be dissolved once the project or goal is achieved. They can also be long-term partnerships that continue for a longer period of time. In a joint venture, the companies involved are still independent businesses, so they are free to conduct their operations outside of the joint venture. They may choose to participate in other joint ventures or work independently on other projects.
An appropriate business type for two existing companies that would like to work together on a new product while maintaining their independence would be a joint venture. A joint venture is a type of partnership in which both parties agree to combine their resources to achieve a common goal or project while sharing the costs, expenses, profits, and losses. Joint ventures are temporary agreements that can be dissolved once the project or goal is achieved.
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The money supply that consists of currency, transaction deposits, and traveler's checks is
O M1.
O M2.
O the liquidity approach.
O the fiduciary monetary system.
Currency consists of
O only coins minted by the U.S. Treasury.
O coins, Federal Reserve Notes and traveler's checks.
O only Federal Reserve notes.
O coins minted by the U.S. Treasury and Federal Reserve notes.
The money supply refers to the total amount of money in circulation in an economy. It can include a variety of financial instruments, including cash, bank deposits, and other types of liquid assets.
The Federal Reserve, also known as the central bank of the United States, monitors and regulates the money supply to achieve its goals of price stability and sustainable economic growth.
Therefore, a is correct.
Currency consists of coins, Federal Reserve Notes, and traveler's checks. Currency in circulation, as well as currency held in bank vaults and other depository institutions' vaults, are included in M1, which is the most narrowly defined component of the money supply.
Therefore, b is correct.
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fill in the blank. it can be useful to have a mentor because they will help you _____ comfortable in a better longer customers
It can be useful to have a mentor because they will help you feel comfortable in a new longer customers.
Having a mentor can provide valuable guidance and support in navigating unfamiliar situations and building relationships with new customers. Mentors can share their experiences, offer advice, and help mentees feel more at ease and confident in their interactions with customers. This support can lead to improved customer relationships and potentially longer-lasting connections, benefiting both the mentee and their business. A mentor's insights and expertise can contribute to a mentee's professional growth and development, ultimately enhancing their ability to establish and maintain long-term customer relationships.
Having a mentor can be beneficial because they provide guidance and support to help you navigate and establish stronger connections with customers. Here are a few reasons why mentors can help you feel comfortable in building better and longer-lasting customer relationships:
1. Knowledge and Expertise: Mentors often have extensive experience and knowledge in the industry. They can share their insights, strategies, and best practices for effectively engaging with customers. Their guidance can help you understand customer needs, preferences, and behaviors, allowing you to build stronger connections.
2. Skill Development: Mentors can help you develop and refine the necessary skills for effective customer relationship management. They can provide feedback, advice, and practical tips on various aspects such as communication, active listening, problem-solving, and conflict resolution. By honing these skills, you can build trust, loyalty, and rapport with customers.
3. Networking Opportunities: Mentors often have established networks within the industry. They can introduce you to potential customers, industry professionals, and other valuable contacts. By expanding your network, you increase your chances of finding and connecting with customers who align with your products or services.
4. Emotional Support: Building relationships with customers can sometimes be challenging and overwhelming. A mentor can offer emotional support, motivation, and encouragement during difficult situations. They can help you navigate setbacks, manage customer expectations, and maintain a positive mindset, which ultimately contributes to long-term customer satisfaction and retention.
5. Accountability and Guidance: A mentor can hold you accountable for your customer relationship management goals and objectives. They can provide guidance on setting realistic targets, tracking progress, and making necessary adjustments. By regularly reviewing your performance and receiving constructive feedback, you can continuously improve your customer interactions and outcomes.
In summary, having a mentor can enhance your comfort level in building better and longer-lasting customer relationships by providing valuable knowledge, skill development, networking opportunities, emotional support, and guidance. Their guidance can help you navigate the complexities of customer management, leading to improved customer satisfaction, loyalty, and business success.
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If a preferred stock from the FIN340 Company pays $1.00 in annual dividends and the required return on the preferred stock is 5.0%, what is the current value of the stock?
A fast growing firm paid a dividend of $1.00 per share during the most recent year, The dividend is expected to increase at a rate of 20.0% per year for the next 3 years , Afterwards, a more stable 5.00% annual growth rate should be assumed - If a 10.00% discount rate is appropriate for this stock, what is its value?
The FIN340 Company has a net profit margin of 5.00% on annual sales of $1,000,000 and the firm has 50,000 shares outstanding. If the firm's P/E ratio is 10.0X, how much is the stock currently selling for?
You want to buy a $9,750 car and the dealer offers you a 7-year loan with an 11.95% APR and no down payment required - Assuming monthly compounding, what will the monthly payments be?
The current value of the preferred stock is $20.00.
The value of the fast-growing firm's stock is $7.38.
The stock of the FIN340 Company is currently selling for $20.00 per share.
The monthly payments for the car loan will be approximately $183.44.
To calculate the current value of the preferred stock, divide the annual dividend by the required return:
Current value = Dividend / Required return
Current value = $1.00 / 0.05
Current value = $20.00
To calculate the value of the fast-growing firm's stock, use the dividend discount model. The expected dividends for the next 3 years are $1.20, $1.44, and $1.73. Then, calculate the present value of these dividends and the perpetuity value beyond the third year:
Value = [($1.20 / (1 + 0.10)^1) + ($1.44 / (1 + 0.10)^2) + ($1.73 / (1 + 0.10)^3)] + ($1.73 / (0.10 - 0.05))
Value = $7.38
To find the stock price of the FIN340 Company, multiply the earnings per share (EPS) by the P/E ratio:
Stock price = EPS * P/E ratio
EPS = Net profit margin * Sales / Number of shares
EPS = 0.05 * $1,000,000 / 50,000 = $1.00
Stock price = $1.00 * 10.0 = $10.00
To calculate the monthly payments for the car loan, use the loan amount, annual percentage rate (APR), and compounding frequency:
Monthly interest rate = (1 + APR)^(1/12) - 1
Number of months = 7 years * 12 months/year = 84 months
Monthly payment = Loan amount * (Monthly interest rate / (1 - (1 + Monthly interest rate)^(-Number of months)))
Monthly payment = $9,750 * (0.1195/ (1 - (1 + 0.1195)^(-84)))
Monthly payment ≈ $183.44
Remember to double-check your calculations and consult with a financial advisor for accurate and personalized advice.
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From Chapter 22, please address the following questions: Explain how budgeting helps management plan and coordinate business activities. Explain at least one potential negative outcome of budgeting. Initial postings should be at least 250 words in length.
Budgeting helps management plan and coordinate business activities by providing a structured approach to goal setting, resource allocation, coordination, and performance evaluation.
Budgeting plays a crucial role in helping management plan and coordinate business activities. It involves the process of setting financial goals, creating a detailed plan of action, and monitoring actual performance against the established targets.
Goal Setting and Planning: Budgeting provides a structured framework for setting financial goals and objectives. It helps management determine what they want to achieve within a specific period, such as increasing sales, reducing costs, or improving profitability.
Resource Allocation: Budgeting assists in allocating resources effectively and efficiently. It helps management identify the financial resources required for various activities and allocate them accordingly.
Coordination and Communication: Budgeting facilitates coordination and communication among different departments and individuals within an organization.
Performance Evaluation: Budgeting allows for regular monitoring and evaluation of actual performance against budgeted targets. By comparing actual results to the budget, management can identify variations and take corrective actions if necessary
Rigidity and Inflexibility: Budgeting can sometimes lead to rigidity and inflexibility in decision-making. Once a budget is set, it may be challenging to make changes or adapt to unexpected circumstances.
Gaming and Ethical Concerns: In some cases, budgeting can create a culture that incentivizes individuals or departments to manipulate figures to meet targets or budgets.
Time and Resource Intensive: The process of budgeting can be time-consuming and resource-intensive, especially for complex organizations.
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A firm has $30 million of debt capital and $70 million of equity capital. Cost of debt is 6% and cost of equity is 12%
a. The firm has 30% debt and 70% equity.
b. The firm has cost of capital equal to 9%.
c. The firm has cost of capital equal to 10.2%.
Given,The amount of debt capital = $30 millionThe amount of equity capital = $70 millionThe cost of debt = 6%The cost of equity = 12%We need to find the cost of capital for the firm.So, let us calculate the Weighted Average Cost of Capital (WACC).
WACC is the average rate of return a firm expects to pay to all its stakeholders to finance its assets. It reflects the return required by the firm's equity owners and debt holders.WACC formula is:WACC = (E/V) × Rₑ + (D/V) × Rᵈ × (1 − Tᵀ)Where,E = Market value of the firm's equityV = Total market value of the firm's financing (equity and debt)Rₑ = Cost of equityD = Market value of the firm's debtRᵈ = Cost of debtTᵀ = Corporate tax rate(1 − Tᵀ) = After-tax value of debt capitalNow, let us calculate the WACC for the given firm.
We are given,Amount of debt capital, D = $30 millionAmount of equity capital, E = $70 millionCost of debt, Rᵈ = 6%Cost of equity, Rₑ = 12%After-tax value of debt capital = (1 − Tᵀ) = 1So,Total market value of the firm's financing (equity and debt) = E + D = $30 + $70 = $100 millionNow, the Weight of Equity (Wₑ) is given by,Wₑ = E/V = $70 million/$100 million = 0.7And, the Weight of Debt (Wᵈ) is given by,Wᵈ = D/V = $30 million/$100 million = 0.3Putting all the given values in the WACC formula, we get,WACC = (E/V) × Rₑ + (D/V) × Rᵈ × (1 − Tᵀ)= (0.7) (12%) + (0.3) (6%) × 1= 8.4% + 1.8% = 10.2%Hence, the main answer is that the firm has cost of capital equal to 10.2%.Explanation: The Weighted Average Cost of Capital (WACC) for the given firm is 10.2%.Hence, the option (c) is correct. The firm has cost of capital equal to 10.2%.
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Use the information below to prepare closing entries. Cash For the Year Ended December 31, 2021 Accounts Receivable Prepaid Expenses Equipment Adjusted Trial Balance Bristol Company Accumulated Depreciation Accounts Payable Notes Payable Capital Stock Retained Earnings Debit $ 7,030 1,100 700 15,700 Credit $2,100 900 6,200 3,000 10,940 Accumulated Depreciation Accounts Payable Notes Payable Capital Stock Retained Earnings Dividends Fees Earned Wages Expense Rent Expense Utilities Expense Depreciation Expense Miscellaneous Expense Totals 1,790 2,500 1,960 775 250 85 $2,100 900 6,200 3,000 10,940 8,750 $31,890 $31,890 Format: Enter debits and credits as whole numbers WITH commas, but DO NOT add dollar signs. Please use the Chart of Accounts. Don't forget to list expenses in descending order! Listing them ANY OTHER WAY will mark them WRONG!!! Dec 31 Dec 31 Date Account Name Debit Credit Dec 31
Dec 31: Fees Earned $8,750, Wages Expense $2,500, Rent Expense $1,960, Utilities Expense $775, Depreciation Expense $250, Miscellaneous Expense $85
Prepare the closing entries for Bristol Company based on the provided account balances and information.we can prepare the closing entries for the Bristol Company.
However, without specific revenue and expense accounts, I will assume the following accounts:
Revenue Account: Fees Earned
Expense Accounts: Wages Expense, Rent Expense, Utilities Expense, Depreciation Expense, Miscellaneous Expense
Using this assumption, the closing entries can be prepared as follows:
Date Account Name Debit Credit
Dec 31 Fees Earned $8,750
Wages Expense $2,500
Rent Expense $1,960
Utilities Expense $775
Depreciation Expense $250
Miscellaneous Expense $85
_______ ________
$5,570 $8,750
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Show how public finance programs can reduce the impact of market failure.
Public finance programs can indeed assist lessen the impact of market failure in various methods. Here are some examples:
Provision of Public Goods: Market failure frequently happens in the case of public goods, which are non-excludable and non-rivalrous. Public finance programs can play a function in financing and presenting public items that are necessary for societal well-being however might no longer be properly supplied by the private quarter due to the free-rider trouble. This includes investment infrastructure tasks, public parks, country-wide protection, and environmental conservation efforts.
Correcting Externalities: Externalities, which are prices or benefits that spill over to 1/3 of parties now not directly concerned in a transaction, can cause market failure. Public finance packages can cope with externalities by imposing taxes or subsidies to internalize the costs or advantages related to the externalities. For example, imposing taxes on sports that generate terrible externalities including pollution, and supplying subsidies for activities that produce fantastic externalities which include renewable electricity production.
Income Redistribution: Market failure can result in income inequality and the unequal distribution of sources. Public finance applications, together with revolutionary taxation and welfare systems, can help redistribute income and sources to ensure a greater equitable society. Through progressive taxation, higher-income people are taxed at better charges, and the sales generated can be used to fund social welfare applications, education, healthcare, and different projects aimed toward lowering poverty and improving social properly-being.
Financial Stability and Ruegulatingg: Market disasters in the monetary zone may have excessive monetary results, as confirmed by way of the worldwide financial disaster of 2008. Public finance packages can contribute to economic balance by implementing rules, oversight mechanisms, and protection nets to save you from immoderate danger-taking, ensure fair opposition, and guard purchasers. This consists of measures consisting of capital requirements for banks, deposit insurance, and the established order of regulatory bodies like imperative banks and monetary regulators.
Addressing Information Asymmetry: Market screw-ups can stand up due to information asymmetry, in which one celebration has more statistics than the opposite in a transaction, leading to negative selection or moral hazard. Public finance programs can reduce facts asymmetry by promoting transparency, disclosure necessities, and purchaser safety measures. For instance, mandating organizations to reveal accurate and standardized information approximately their products or services can empower purchasers to make informed picks.
Overall, public finance packages have a position to play in addressing market screw-ups via imparting public items, correcting externalities, redistributing income, ensuring monetary stability, and addressing statistics asymmetry. By filling the gaps left by using the market, those packages intend to sell efficiency, equity, and social welfare in the economy.
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Happy 30th Birthday! You want to have $1,000,000 on your 60th birthday so you can retire comfortably. With an annual rate of return of 10% how much do you need to invest on your 30th birthday?
For having $1,000,000 on our 60th birthday so we can retire comfortably, we need to invest $174,494.02 with an annual rate of return of 10%,
In order to calculate the amount needed to invest on our 30th birthday in order to have $1,000,000 by our 60th birthday, we can use the future value formula.
Future Value (FV) = Present Value (PV) × (1 + r)ⁿ
Here, we are given future value, rate of return and the number of years. Putting all the values in formula, we get to find the present value.
Present Value (PV) = Future Value (FV) / (1 + r)ⁿ
Present Value (PV) = 1,000,000 / (1 + 0.10)³°
Present Value (PV) = $174,494.02
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Question 7 (6 points) Sales = $74000 (740 units) Total variable expenses = $34000 Total fixed expenses = $20000 Find a. Contribution Margin b. Contribution Margin Ratio c. Break-even point (Units) d. Break-even point (Dollars) Question 8 (6 points) Sales = $15000 (15 units) Total variable expenses = $3000 Total fixed expenses = $3000 Find a. Contribution Margin b. Contribution Margin Ratio c. Break-even point (Units) d. Break-even point (Dollars) Question 9 (6 points) Prepare journal entries to record the following- a. Raw materials were issued for used in production-Moulding department $28000; firing dept 5000 b. Direct labour cost- Moulding department $18000; firing dept 5000 c. Manufacturing overheads- Moulding department $24000; firing dept 37000 d. Unfired moulded bricks were transferred from Moulding to Firing Department. According to the company's process costing system, the cost of bricks was $67000 e. The cost of finished bricks transferred from Firing department to Finished goods department was $108,000 f. Finished bricks were sold to customers. The cost of finished bricks sold was $106,000
a. The contribution margin is $40,000.
b. The contribution margin ratio is 54.05%.
c. The break-even point is 37 units.
d. The break-even point is $36,979.73.
What are the financial metrics and break-even point?a. Contribution Margin:
Contribution Margin = Sales - Total Variable Expenses
Contribution Margin = $74,000 - $34,000
Contribution Margin = $40,000
b. Contribution Margin Ratio:
Contribution Margin Ratio = (Contribution Margin / Sales) * 100
Contribution Margin Ratio = ($40,000 / $74,000) * 100
Contribution Margin Ratio = 54.05%
c. Break-even point (Units):
Break-even point (Units) = Total Fixed Expenses / Contribution Margin per Unit
Break-even point (Units) = $20,000 / ($40,000 / 740)
Break-even point (Units) = 37 units
d. Break-even point (Dollars):
Break-even point (Dollars) = Total Fixed Expenses / Contribution Margin Ratio
Break-even point (Dollars) = $20,000 / 54.05%
Break-even point (Dollars) = $36,979.73.
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Bashar the project manager of a machine learning automation project. Bashar and the project team have just completed developing the baseline schedule and schedule network diagram for the project. The critical path activities include building a neural network analysis function. While not on the critical path, another activity related to random forest analysis is a key component of the project. With limited team members who are highly skilled with many others who are relatively inexperienced, what is considered the best course of action when Bashar is assigning resources as the project manager? O a. Assign half the skilled resources to the neural network analysis and the other half to the random forest analysis. Assign inexperienced staff to all other tasks not on the critical path. O b. Assign inexperienced staff with the neural network analysis which is on the critical path. Assigned skilled resources to the random forest analysis and other activities. O c. Do nothing - resource allocation and critical path have nothing in common O d. Assign all the skilled resources to neural network analysis which is on the critical path. Assigned inexperienced resources to the random forest analysis as it is not on the critical path.
As the project manager, Bashar would need to assign resources that would maximize the team's potential and lead to the successful completion of the project.
With limited team members who are highly skilled, the best course of action would be to assign skilled resources to the critical path activities like building a neural network analysis function. This would help ensure that these activities are completed within the shortest possible time since they directly impact the project's timeline.
It is important to note that while a key component of the project, another activity related to random forest analysis is not on the critical path, so it would be appropriate to assign inexperienced resources to the random forest analysis. These inexperienced resources could be trained on the job by the skilled resources.
Assigning inexperienced staff with the neural network analysis which is on the critical path, as suggested in option B, is not a good option as it would increase the likelihood of delays in completing this critical activity.
Therefore, the best option would be option D: Assign all the skilled resources to neural network analysis which is on the critical path. Assigned inexperienced resources to the random forest analysis as it is not on the critical path.
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Goldman, Inc. is a manufacturer of lead crystal glasses. The standard direct materials quantity is 0.9 pound per glass at a cost of $0.30 per pound. The actual result for one month's production of 7,000 glasses was 1.4 pounds per glass, at a cost of $0.20 per pound. Calculate the direct materials cost variance and the direct materials efficiency variance. Select the formula, then enter the amounts and compute the cost variance for direct materials and identify whether the variance is favorable (F) or unfavorable (U). Actual Cost . Standard Cost ') x Actual Quantity = Direct Materials Cost Variance 6300 9660 ) x D .20 672 U
(1.4 x 0.20) - (0.9 x 0.30) = $0.28 unfavourable is the formula to compute the direct materials cost variance.
For the direct materials efficiency variance, divide (1.4 x 0.30) by (0.9 x 0.30) to get $0.18 unfavourable.
Both the direct materials cost and efficiency variations are unfavourable by $0.28 and $0.18, respectively.
A cost is the worth of money that has been expended in the production or delivery of a good or service and is therefore no longer accessible for use in accounting, retail, research, or accounting. In business, the cost may be one of acquisition, in which case the cost is the sum of the money used to obtain it.
In this instance, the input required to obtain the item is money. This acquisition cost might include both additional transactional expenses incurred by the acquirer over and beyond the price given to the producer, as well as the cost of production borne by the original producer.
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Many consumers may watch public TV and listen to public radio who do not contribute to fund-raising drives to help finance these organizations. This is an example of: the irrationality of consumers. the subsidy effect. O a negative externality. the free rider problem.
Many consumers may watch public TV and listen to public radio who do not contribute to fund-raising drives to help finance these organizations. This is an example of the free rider problem. Option D is correct answer.
The free-rider problem is a sort of market failure that happens when those who use resources, public goods, and resources from a common pool do not pay for them or pay too little. Public roads, public libraries, or other services are a few examples of such products. Option D is correct answer.
Free riders are an issue for common pool resources because they could utilize them excessively by avoiding paying for the good either via fees or tolls or even indirectly through taxes. The resource in the common pool may thus be underproduced, overused, or deteriorated. A non-excludable and non-rivalrous good, such as a government-provided road system, may be used by a "free rider" without the user contributing to the cost of the item.
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The complete question is, "Many consumers may watch public TV and listen to public radio who do not contribute to fund-raising drives to help finance these organizations. This is an example of:
A. the irrationality of consumers.
B. the subsidy effect.
C. a negative externality.
D. the free rider problem."
Which one of the strategies below is more appropriate to be implemented in a company which is trying to increase its market share? a) Sell-out/Divestment strategy b) Profit strategy Liquidation d) Concentric diversification strategy
The Concentric diversification strategy is the most appropriate strategy to be implemented in a company which is trying to increase its market share. What is the Concentric diversification strategy A strategy of diversification is followed by the Concentric diversification strategy.
In this strategy, businesses diversify into products/services that are related to their current product/service line but have the potential to attract new clients. The Concentric diversification strategy is the best strategy for a business that seeks to increase its market share. A company that follows the Concentric diversification strategy is looking to grow its market share by diversifying its product or service line into new areas that are related to its current product or service line.
Concentric diversification helps the company to reduce the risk by developing related products that can be used by its current customers.Concentric diversification strategy is a way to reduce risk by developing new, related products for the same group of customers. The strategy is best suited for companies that want to increase their market share by expanding their product offerings. By diversifying into related products, companies can capture more of their existing customers' spending while also attracting new customers. This strategy works best when the new products or services are complementary to the existing products or services offered by the company.
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When the price of car parking increases from $3 per day to $5 per hour, the number of car park spots rented contracts from 1,200 cars a day to 900 cars per day. Using the mid-point formula, calculate the price elasticity of demand for this price change. 3 marks
For this price change, the price elasticity of demand is roughly -0.5714.
To calculate the price elasticity of demand using the mid-point formula, we need the initial price, final price, initial quantity, and final quantity.
Given:
Initial price (P1) = $3 per day
Final price (P2) = $5 per day
Initial quantity (Q1) = 1,200 cars per day
Final quantity (Q2) = 900 cars per day
Using the mid-point formula, the price elasticity of demand (E) can be calculated as follows:
E = [(Q2 - Q1) / ((Q1 + Q2) / 2)] / [(P2 - P1) / ((P1 + P2) / 2)]
E = [(900 - 1200) / ((1200 + 900) / 2)] / [(5 - 3) / ((3 + 5) / 2)]
E = [-300 / (2100 / 2)] / [2 / (8 / 2)]
E = [-300 / 1050] / [2 / 4]
E = -0.2857 / 0.5
E = -0.5714
The price elasticity of demand for this price change is approximately -0.5714. Since the value is negative, it indicates that the demand for car park spots is relatively price inelastic, meaning that the percentage change in quantity demanded is less than the percentage change in price. In this case, a price increase leads to a relatively smaller decrease in the quantity demanded.
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