The frequency with which margin accounts are adjusted for gains and losses is:?QuarterlyDailyMonthlyWeekly

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Answer 1

In the following question, among the given options, the statement is said to be "Monthly ". The frequency with which margin accounts are adjusted for gains and losses is "Monthly."

What is a margin account? A margin account is an account in which an investor is allowed to borrow money from a brokerage firm to purchase securities up to a certain level. The collateral for the loan is provided by the securities held in the investor's account. In this way, the investor borrows from the brokerage company to buy additional shares of stock. The primary advantage of trading in a margin account is that it allows you to maximize your buying potential. With less of your own money invested, you may generate a larger return on your investment.

It is, however, a high-risk investment method, and it is critical to carefully consider the risks involved before deciding to trade on margin. Maintenance margin requirements are usually determined by brokerage companies, but they are also subject to federal regulation. When the account value falls below the maintenance margin requirement, the investor must add money to the account or sell securities to cover the margin call. A margin account is subject to margin calls, which necessitate additional deposits of money or securities. A broker must issue a margin call if the value of the margin account falls below a specific point. If a margin call is not met within the required timeframe, the securities in the account may be sold by the brokerage company to cover the shortfall.

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Related Questions

Team operating principles are sometimes included in a project charter to enhance team functioning. Which of the following statements accurately describes the value of establishing team operating principles?
A. Operating principle that address the conduct of meeting and how decision are made are especially useful in helping the team get off a good star.
B. Operating principle typically detail the specific work that each team member will perform and ensure a more complete understanding of the project.
C. Operating principle identify the rule along with the punishments to be administrated when the rule are broken.
D. Operating principle are especially helpful for a routine project where participants have worked together before.

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Operating principle that address the conduct of meeting and how decisions are made are especially useful in helping the team get off to a good start accurately describes the value of establishing team operating principles. The correct answer is is option a.

What are Team Operating Principles?

The team operating principles are the standards, expectations, and behaviors that team members agree to use when interacting with one another. Establishing team operating principles provides a guide to help team members interact in a manner that promotes respect, cooperation, and the pursuit of common goals. As a result, the establishment of operating principles improves the effectiveness of the team. This improves the team's ability to achieve its objectives while reducing the potential for misunderstandings and conflicts between team members. Operating principles that address the conduct of meetings and how decisions are made are particularly useful in assisting the team in getting off to a good start. Team members must understand how they will operate and interact with one another, and establishing operating principles will help to accomplish this .In this manner, establishing team operating principles is particularly useful in enhancing team functioning.

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european pastries has an isurable loss of 82,500, while having insurance coverage beyond coinsurance reuirements. the insurance is divided between company a with $125,000 coverage, company b with $100,000 coverage, and company c with 175,000 coverage. find the amount of loss paid by each of the insurance companies

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The amount of loss paid by each insurance companies is that Company A will pay $29,464.29, Company B will pay $23,571.43, and Company C will pay $29,464.29.

European Pastries has an insurable loss of $82,500, with insurance coverage beyond coinsurance requirements. The insurance is divided between company A with $125,000 coverage, company B with $100,000 coverage, and company C with $175,000 coverage.

The amount of loss paid by each of the insurance companies is given below:

Calculation of insurance coverage ratios:

Company A = 125,000 / (125,000 + 100,000 + 175,000) = 0.3571

Company B = 100,000 / (125,000 + 100,000 + 175,000) = 0.2857

Company C = 175,000 / (125,000 + 100,000 + 175,000) = 0.3571

Calculation of insurance coverage amounts

Company A = 0.3571 * $82,500 = $29,464.29

Company B = 0.2857 * $82,500 = $23,571.43

Company C = 0.3571 * $82,500 = $29,464.29

Therefore, the amount of loss paid by each of the insurance companies is as follows: Company A: $29,464.29, Company B: $23,571.43, Company C: $29,464.29.

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Jill decided to buy a universal life term alternative life insurance policy. Which of the following options are available to her? (Check all that apply)
a.Group of answer choices
b.She must decide if she wants a 20- or 30-year contract today and pay the appropriate premium
c. If she opted for a 30-year return of premium, at the end of the 30 years, she could opt to just continue the premium payments; or leave the policy as is and stop premium payments; or terminate and walk away with the cash value accumulated
d. She can start paying at the minimum premium payment calculated for 20-years, but can adjust to a 30-year option or even a return of premium, simply by adjusting the premium amount
e. Universal life cannot be altered to look like term insurance

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Jill decided to buy a universal life-term alternative life insurance policy. Options b, c, and d are available to Jill.

There are various options available to Jill for the universal life term alternative life insurance policy. Jill can choose the contract length as per her requirements and budget. If she opts for a 30-year return of premium, at the end of the 30 years, she could opt to just continue the premium payments, leave the policy as is and stop premium payments, or terminate and walk away with the cash value accumulated. She can start paying at the minimum premium payment calculated for 20 years but can adjust to a 30-year option or even a return of premium, simply by adjusting the premium amount. Therefore, options b, c, and d are available to Jill. Option e is incorrect because universal life insurance policies can be altered to look like term insurance.

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beckman enterprises purchased a depreciable asset on october 1, year 1 at a cost of $104,000. the asset is expected to have a salvage value of $15,100 at the end of its five-year useful life. if the asset is depreciated on the double-declining-balance method, the asset's book value on december 31, year 2 will be: multiple choice $93,600 $56,160 $19,224 $22,464 $28,836

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The asset's book value on the day of december 31, year 2 will be around $56,160. It can be calculated through double-declining balance method. The correct option is B.

What is the double-declining balance method?

A double-declining-balance method is a form of accelerated depreciation that multiplies the straight-line depreciation rate by 2. This method states that the depreciation rate for the asset is calculated by taking 2 times the straight-line rate.

In this case, Beckman Enterprises purchased a depreciable asset on October 1, Year 1 at a cost of [tex]$104,000[/tex] with an expected salvage value of [tex]$15,100[/tex] at the end of its five-year useful life.

The straight-line rate would be calculated by subtracting the salvage value from the original cost and dividing it by the life of the asset (5 years).


Straight-line rate = [tex]($104,000 - $15,100) / 5 = $18,080[/tex]/year
Double-declining-balance rate = 2 x (Straight-line rate) = [tex]$36,160[/tex]/year
Therefore, the asset's book value on December 31, Year 2 will be $56,160.

Therefore, the correct option is B.

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a call and a put option on a stock trading at $57 both have an exercise price of $50. which statements are correct? check all that apply: the call is in the money. the call is out of the money. the put is in the money. the put is out of the money. submit

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The call is in the money and the put is out of the money.

The exercise price of an option is the price at which the option can be exercised. Since the stock trading at $57 is higher than the exercise price of $50, the call is in the money and the put is out of the money.

An option gives the buyer the right to buy or sell an underlying asset at an agreed-upon price, known as the exercise price. When the market price of the underlying asset is higher than the exercise price, the call option is said to be in the money, and the put option is said to be out of the money.

In this case, the stock is trading at $57, which is higher than the exercise price of $50. Therefore, the call is in the money and the put is out of the money.

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Oceanic Pacific fleet has just decided to use a pole-and-line method of fishing instead of gill netting to catch tuna. The latter method involves the use of miles of nets strung out across the ocean and therefore entraps other sea creatures besides tuna (e.g., porpoises, sea turtles). Concern for endangered species was one reason for this decision, but perhaps more important was the fact that the major tuna canneries in the United States will no longer accept tuna caught by gill netting. Oceanic Pacific decided to conduct a series of experiments to determine the amount of tuna that could be caught with different crew sizes. The results of these experiments follow.
Number of Fishermen Daily Tuna Catch (lb)
0 0
1 50
2 110
3 300
4 450
5 590
6 665
7 700
8 725
9 710
Suppose the market price of tuna is $3.50/pound. How many fishermen should the company use if the daily wage rate is $100?

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The company should use four fishermen as this is where the profit is the highest. Therefore, it can earn a profit of $200 per day by using four fishermen.

Pole-and-line fishing is a method of catching fish where a fishing line is attached to a long, flexible pole.

Fishermen use their hands to bait the hook and cast the line into the ocean from the deck of the boat.

Tuna is a species of fish that is often caught using this technique.

The daily catch of tuna with respect to the number of fishermen is given in the following table:

Number of Fishermen Daily Tuna Catch (lb)0 01 502 1103 3004 4505 5906 6657 7008 7259 710

The profit is calculated as follows:

Profit = Revenue - Cost of production

We can calculate the revenue by multiplying the daily catch with the market price of tuna: $3.50 x Daily Tuna CatchThe cost of production will be the total wage paid to the fishermen (daily wage rate * the number of fishermen):

$100 x Number of Fishermen

So,Profit = $3.50 x Daily Tuna Catch - $100 x Number of Fishermen

Now, we need to find out the profit for different numbers of fishermen:

Number of Fishermen Daily Tuna Catch (lb) Profit0 0 -$1001 50 -$50.002 110 $40.003 300 $100.004 450 $200.005 590 $270.006 665 $190.007 700 $100.008 725 $75.009 710 -$190.00

The company should use four fishermen as this is where the profit is the highest. Therefore, it can earn a profit of $200 per day by using four fishermen.

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Scott, Mark, and Joe want to buy into a restaurant franchise. Joe is an accountant. Mark has previous restaurant experience as a server and manager. Scott is an attorney. In order to open this franchise, they must commit to opening 3-5 stores and are required to have $10 million in liquid assets (Cash is a highly liquid asset followed by the banking accounts, checkable account, short-term promissory notes, treasury bills and other government bonds. ) They currently do not have the required liquid assets. Which business organization will be the best for this situation and how will they solve their money problems?

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Given their diverse backgrounds and lack of sufficient liquid assets, a limited liability partnership (LLP) would be the most suitable business organization for Scott, Mark, and Joe.

This type of partnership allows for individual liability protection while still allowing for shared profits and management responsibilities. To address their money problem, the group can explore various options. One option would be to seek out investors who are willing to contribute the necessary funds in exchange for a percentage of ownership and profits.

Another option would be to secure a loan from a financial institution or private lender. In order to increase their chances of approval, they can develop a comprehensive business plan that outlines their strategies for success and projected financial performance.

Additionally, Scott, Mark, and Joe could also consider alternative means of financing such as crowdfunding or seeking out grants or subsidies from government agencies or non-profit organizations. It may also be beneficial for them to seek guidance and advice from a financial advisor or business consultant to help them make informed decisions and develop a strong financial plan for their franchise venture.

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When a manager assesses a particular situation and decides what to do according to the individual and environmental situation, the manager is utilizing the contongency viewpoint. (true or false)

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In the following question, among the given options, the statement is said to be true. When a manager assesses a particular situation and decides what to do according to the individual and environmental situation, the manager is utilizing the contingency viewpoint. hence, this statement is true.

A contingency viewpoint is a leadership approach that takes into account various external factors, including industry trends, the economy, and competition, among others. This viewpoint acknowledges that no single leadership style is best for all situations; instead, the optimal course of action depends on the current scenario. The contingency viewpoint proposes that managers use different styles based on the situation. Leaders who utilize this viewpoint believe that flexibility is essential and that it is essential to change their management style based on the needs of the situation. This strategy is frequently successful since the manager is adaptable to the situation at hand. Contingency theories of leadership take into account the surroundings, allowing for situational context to be a primary factor in determining how a leader should lead. The most effective approach for leaders in any given situation can be determined using contingency theories. This flexibility allows for the best outcome for the leader and the people they are leading.

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Post the differences between the cash count and the cash register tape to the Cash Short and Over T account. Assume a change fund of $100. Date Cash Register Tape Cash Count March 3 $1,495.89 $1,601.89 4 1,878.55 1,986.55 5 741.76 843.76 6 1,646.62 1,744.62 7 1,714.13 1,814.13 When required, enter amounts in dollars and cents.
Cash Short and Over 1. What is the amount of cash sales for the week? 2. What is the balance in the cash short and over account?
3. Does the balance in the cash short and over account represent a shortage or overage? 4. How much cash was deposited?

Answers

Total cash sales for the week were $7,477,952. The total balance in the cash short and over account is -$1,014,003.

The amount of cash sales for the week can be calculated by adding up the amounts on the cash register tape for each day. This would be: $1,495.89 + $1,878.55 + $741.76 + $1,646.62 + $1,714.13 = $7,477.952.

To find the balance in the cash short and over account, you need to first add up the cash count and subtract it from the cash register tape for each day. Then, you need to subtract the change fund from this total. This would look like:

Day 1: $1,495.89 - $1,601.89 - $100 = -$206.00Day 2: $1,878.55 - $1,986.55 - $100 = -$208.00Day 3: $741.76 - $843.76 - $100 = -$202.00Day 4: $1,646.62 - $1,744.62 - $100 = -$198.00Day 5: $1,714.13 - $1,814.13 - $100 = -$200.00.

The total balance in the cash short and over account is therefore: -$206.00 - $208.00 - $202.00 - $198.00 - $200.00 = -$1,014.003.

The balance in the cash short and over account represents a shortage because it is negative.

To find the amount of cash that was deposited, you need to add up the cash count for each day and subtract the change fund. This would be: $1,601.89 + $1,986.55 + $843.76 + $1,744.62 + $1,814.13 - $100 = $7,791.85. Therefore, the amount of cash that was deposited is $7,791.85.

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As a purchasing professional, what is your most important position?
Monitor inventor
Choosing the right supplier
Getting the lowest price
Check deliveries for accuracy
All of the above

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The answer to the given question about most important position is All of the above.

                         

As a purchasing professional, choosing the right supplier is often considered the most important position. This is because selecting the right supplier can have a significant impact on the quality, cost, and delivery of the products or services that the company receives. Choosing the right supplier involves evaluating potential suppliers based on a range of factors, such as their reputation, financial stability, quality standards, delivery capabilities, and pricing. Additionally, building strong relationships with suppliers can help to ensure that the company receives high-quality products or services on time and at a fair price. While monitoring inventory, getting the lowest price, and checking deliveries for accuracy are also important aspects of the purchasing process, choosing the right supplier is often considered the most critical.

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Businesses typically have many systems, some internally developed, some purchased, and others acquired. Businesses want these systems to communicate with one another and provide users with easier access to data. There are three systems configurations that consolidate and coordinate data across multiple locations. These three include centralized systems, decentralized systems, and distributed systems. Each configuration has advantages and disadvantages.
Which of the following is a disadvantage of decentralized systems?
-It is the most expensive option as it involves higher maintenance costs.
-Since each location has its own system, there is an increase in security risk as more systems must be protected and monitored.
- The risk of business disruption is greater because any disruption impacts the entire system.
-It is more difficult to implement as it is the most complex of the three.

Answers

The disadvantage of decentralized systems is: Since each location has its own system, there is an increase in security risk as more systems must be protected and monitored.

A decentralized system is a computer network that enables the sharing of information across a network of computers. In such a network, every node or computer is responsible for its own processing and data storage.

It enables the sharing of data between various parties in a manner that does not require a central authority. A decentralized system provides several benefits such as increased efficiency, reduced costs, and increased innovation.

However, there are also some disadvantages to using a decentralized system. One disadvantage is that there is an increased risk of security breaches since more systems must be protected and monitored.

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Assunve that barber shops operate in perfectly competh product and factor markets. Which of the follow g will happen to working barbers if the price of haireus decreases? (A) The marginal pre uct of the last barber hired (B) The marginal product ,the last barber hired (C) The marginal revenue produc curve will shift (D) The marginal revenue product cur will shift (E) There will be a movement upward along will not change. will decrease. to the right. to the left. the marginal revenue curve.

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The answer is option C. The marginal revenue product (MRP) curve represents the additional revenue generated by each additional unit of input used, all other things being equal.

Assuming that barber shops operate in perfectly competitive product and factor markets, if the price of haircuts decreases, the marginal revenue product curve will shift. It indicates how much the firm should pay for the input in order to maximize profits. The marginal product of labor (MPL) is the increase in output that results from an additional unit of labor. When MPL > W/P, the firm hires more workers.

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technical expertise and the effective and timely use of crew skills are necessary to obtain situational awareness?

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Technical expertise and the effective and timely use of crew skills are necessary to obtain situational awareness. It is crucial to possess technical expertise and expertise in order to obtain situational awareness.

Technical expertise is the knowledge and experience needed to properly operate and use equipment, software, and other tools necessary to complete a job or task. The effective and timely use of crew skills, on the other hand, refers to the ability to leverage each crew member's individual abilities to achieve a common goal. In the same way that pilots must be technically competent in order to fly an aircraft, they must also have expertise in their chosen field. Situational awareness, or the ability to understand and predict what is happening around them, is critical for pilots. Pilots must possess situational awareness in order to identify potential hazards and make the best decisions for their passengers and aircraft. To achieve this, pilots must remain vigilant, maintain a constant lookout for changes in their environment, and remain alert to their surroundings. Thus, technical expertise and the effective and timely use of crew skills are necessary to obtain situational awareness.

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The goods delivered by the seller (Haigel) must select answer Unforeseen circumstances select answer result in an exception to this rule. The occurrence of the avian sickness select answer an unforeseen circumstance. The unforeseen circumstance may excuse performance under the doctrine of select answer Either party to a contract has a right to demand select answer performancet if there is reasonable belief that the other party may not perform. A loss of fifty percent of the chicken flock select answer create a reasonable belief in the ability of Haigel to perform. If Arwen's demand is reasonable, then Arwen select answer suspend performance until it is received. v LIITTI Percorrure reasonable belief in the ability of Haigel to perform. If Arwen's demand is reasonable, then Arwen select answer suspend performance until it is received. Typically, if Haigel fails to respond to Arwen's demand, a court likely select answer consider Haigel in breach of contract. In this situation, however, the unforeseen disease select answer excuse Haigel's performance under the legal doctrine of select answer Assume that Haigel's chickens remained healthy but instead, Arwen's non-binding letter of intent with its buyer did not result in a contract. Arwen lost the ability to resell all of the eggs it had contracted to purchase from Haigel. Arwen claimed that a change in circumstances made it impossible to perform and refused to accept any more eggs from Haigel. The loss of Arwen's customer to purchase the eggs select answer a change in expectations from the time the Haigel/Arwen contract was signed. This change of circumstances select answer make it harder for Arwen to perform. A change in circumstances that is reasonably unforeseen by both parties when a contract is made, and that makes it extremely difficult for a party to perform, may result in select answer At the time of the contract, Arwen had a select answer with its customer. In this situation, the change in circumstances was created by select answer . Because this failure likely select answer foreseeable, Arwen select answer use the concept of commercial impracticability to excuse performance.

Answers

Unless unavoidable circumstances warrant an exemption, the buyer (Arwen) shall accept the items delivered by the seller (Haigel). The development of the avian flu is an unforeseeable event, and as such, performance may be excused under the doctrine of impracticability or purpose frustration.

A plausible assumption that Haigel is unable to perform may be made if half the flock of chickens were lost. Arwen may halt performance pending receipt of a reasonable demand if one is made. Normally, if Haigel doesn't comply with Arwen's request, a court will probably find that Haigel is in breach of the agreement. But, in this case, the unanticipated illness might qualify Haigel's performance for a legal defence based on impracticability or purpose frustration.

Assuming that Arwen's non-binding letter of intent with the buyer did not result in a contract and that Haigel's hens were still healthy. All of the eggs that Arwen had agreed to buy from Haigel were no longer available for resale. Arwen declined to receive any more eggs from Haigel, claiming that a change in circumstances made it impossible for her to perform.

The loss of Arwen's egg customer represented a shift in expectations since the contract between Haigel and Arwen was inked. Arwen would find it tougher to perform in this new situation. A change in circumstances that both parties could have reasonably foreseen at the time the agreement was made and that makes it highly challenging for one party to fulfil its obligations may give rise to impracticability. or Frustration of Purpose.

At the time of the contract, Arwen had a Letter of Intent with its customer. In this situation, the change in circumstances was created by the customer's failure to enter a binding contract with Arwen. Because this failure was likely foreseeable, Arwen could not use the concept of commercial impracticability to excuse performance.

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Nichols Enterprises has an investment in 34,500 bonds of Elliott Electronics that Nichols accounts for as a security available for sale. Elliott bonds are publicly traded, and The Wall Street Journal quotes a price for those bonds of $14 per bond, but Nichols believes the market has not appreciated the full value of the Elliott bonds and that a more accurate price is $22 per bond. Nichols should carry the Elliott investment on its balance sheet at:
Multiple Choice
A. $759,000.
B. Either $483,000 or $759,000, as either are defensible valuations. C. $483,000. D. $621,000, the midpoint of Nichols' range of reasonably likely valuations of Elliott.

Answers

So, the answer is option A, $759,000.

Nichols Enterprises has an investment in 34,500 bonds of Elliott Electronics that Nichols accounts for as a security available for sale. Elliott bonds are publicly traded, and The Wall Street Journal quotes a price for those bonds of $14 per bond, but Nichols believes the market has not appreciated the full value of the Elliott bonds and that a more accurate price is $22 per bond.

Nichols should carry the Elliott investment on its balance sheet at $759,000.Why is the answer $759,000?The available-for-sale security is one of three accounting categories used to classify investments in securities.

These securities are investments that a business has obtained with the intention of holding them for more than one year. They are usually classified as long-term investments. As a result, the Elliott investment should be classified as a long-term investment on the balance sheet.

As a result, it should be recognized at Nichols Enterprises' "fair value."According to the problem, Nichols believes that the market has not completely understood the Elliott bonds' true worth and that the bond is undervalued.

As a result, it has to be accounted for at the "fair value," which Nichols believes is $22 per bond. As a result, Nichols should carry the Elliott investment on its balance sheet at $759,000, since it has 34,500 bonds.

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Economic stress can be ______ or ______. Normative, situational. Expected milestones such as marriage or the birth of a new baby are considered ______ ..

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Economic stress can be normative or situational. Expected milestones such as marriage or the birth of a new baby are considered normative.

Economic stress is a condition in which a person or family struggles financially to meet their basic requirements or to maintain their living standards. Unemployment, reduced salaries, and wages, high cost of living, and increased debt are some of the causes of financial stress.

Economic stress can be either normative or situational. Expected changes or milestones in a person's life, such as marriage or the birth of a child, are considered normative. Situational economic stress is caused by external factors, such as economic recession or natural disasters.

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management desires an ending finished goods inventory each quarter of 20% of the next quarter's sales volume. each unit requires 3 kilograms of materials at a cost of $5 per kilogram. management desires an ending raw materials inventory each quarter of 10% of the next quarter's production needs. what is the budgeted production (in units) in q2?

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A unit requires 3 kilograms of materials, which costs $5 per kilogram. Management also desires an ending raw materials inventory every quarter that is 10% of the next quarter's production needs. Management has a goal of achieving an ending finished goods inventory every quarter that is 20% of the next quarter's sales volume.

In Q2, what is the budgeted production in units?

Given data:Desired ending finished goods inventory per quarter = 20% of the next quarter's sales volume Desired ending raw materials inventory per quarter = 10% of the next quarter's production needs Cost of each unit of raw material = $5. Quantity of raw materials required per unit = 3 kilograms. Solution:Let the budgeted production in units be x. Then:Materials required per unit = 3 kilograms Cost of 1 kilogram of raw material = $5. So, the cost of raw materials required per unit = $5 × 3 = $15. Total cost of raw materials required for x units = $15x. Desired ending raw materials inventory per quarter = 10% of the next quarter's production needs Desired ending raw materials inventory in Q2 will be 10% of the production needs of Q3.In other words, desired ending raw materials inventory in Q2 = 10% of (production needs in Q3) = 0.1Q3. Production needs in Q3 will be x + desired ending finished goods inventory in Q2 (as this will be sold in Q3).Therefore, desired ending raw materials inventory in Q2 = 0.1 (x + 0.2Q3)But, Q3 is unknown.Now, we know that materials required for production = quantity of production × materials required per unit Desired ending finished goods inventory per quarter = 20% of the next quarter's sales volume Desired ending finished goods inventory in Q2 will be 20% of the sales volume in Q3.So, desired ending finished goods inventory in Q2 = 0.2Q3 In Q2, the following units are produced:x units will be sold in Q3So, the units in the finished goods inventory at the end of Q3 = 0.2Q3. The total units will be:x + 0.2Q3 = 0.2Q3 + xThe production needs for Q3 will be:x + 0.2Q3 - units sold in Q3 = desired ending finished goods inventory for Q3 (20% of Q4)Therefore,x + 0.2Q3 - x = 0.2Q30.2Q3 = x. Production needs in Q3 = 0.2Q3 + x.Therefore,desired ending raw materials inventory in Q2 = 0.1 (x + 0.2Q3) = 0.1 (0.2Q3 + x + 0.2Q3) = 0.04Q3 + 0.04x. Total cost of raw materials required for x units = $15x. Therefore, the total cost of raw materials required for Q2 will be $15x. Total cost of raw materials desired for ending inventory in Q2 will be the total cost of raw materials required for the production of 0.04Q3 units and 0.2Q3 units (which will be sold in Q3) = $15(0.04Q3 + 0.2Q3) = $3Q3. So, the total cost of raw materials required in Q2 will be:$15x + $3Q3. But, we know that production needs in Q3 = 0.2Q3 + x. Therefore, $15x + $3Q3 = $15x + $3(0.2Q3 + x) = $15x + $0.6Q3 + $3x = $18x + $0.6Q3. Now, budgeted production in units in Q2 = x = 0.6Q3/15 = Q3/25. Therefore, the budgeted production in Q2 is Q3/25 units.

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Countries with a high uncertainty avoidance culture (e.g., Japan, Korea, and Portugal) are likely to have compensation systems with which of the following characteristics?
A. High level of variable/contingent compensation
B. Bonuses/pay at risk depending on performance
C. Highly structured, lock-step compensation plans
D. Rewards given for individual efforts

Answers

The compensation systems in countries with high uncertainty avoidance culture, such as Japan, Korea, and Portugal, are likely to have "highly structured, lock-step compensation plans". Option C is correct.

High uncertainty avoidance cultures are characterized by a preference for rules, regulations, and structure, and a low tolerance for ambiguity and uncertainty. This preference for structure and predictability is likely to be reflected in the compensation systems of these cultures.

Highly structured, lock-step compensation plans provide a clear and predictable path for employees' salary progression based on seniority, education, and experience, rather than individual performance or results.

This system ensures that compensation is perceived as fair and equitable, and it reduces the uncertainty associated with variable or contingent compensation plans that are based on performance or results. Therefore, option C is the most appropriate answer.

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summarize the internal control procedure of maintaining adequate records by selecting the correct answers below. (check all that apply.) multiple select question. a. keeping detailed records makes it unlikely that assets are lost or stolen without detection. b. reliable records are a source of information that managers use to monitor activities. c. bonding employees reduces the risk of loss. d. dividing responsibility for related transactions reduces the occurrence of recordkeeping errors.

Answers

The internal control procedure of maintaining adequate records involves several steps that businesses follow. The objective is to ensure that the financial statements are free from errors and frauds.

Some of the steps involved in this process include keeping detailed records, reliable records, bonding employees, and dividing responsibility for related transactions.

Detailed records : Detailed records refer to financial records that provide a comprehensive view of a business's operations. Keeping detailed records makes it unlikely that assets are lost or stolen without detection. For instance, a business can maintain detailed records of inventory items that include the item's purchase date, cost, and sale price. Reliable records: Reliable records are a source of information that managers use to monitor activities. These records ensure that transactions are appropriately recorded and that financial statements accurately reflect a business's operations.

Bonding employees: Bonding employees reduces the risk of loss. Bonding is a process where a business purchases an insurance policy that compensates for the loss of assets due to employee theft. It is an effective way of protecting a business's assets from internal theft.

Dividing responsibility for related transactions: Dividing responsibility for related transactions reduces the occurrence of recordkeeping errors. It involves assigning different employees to perform different functions to ensure that no one person controls a transaction from start to finish. This system allows for multiple people to be involved in a transaction and creates a system of checks and balances. Thus, ensuring that errors are detected and corrected before financial statements are prepared.

In conclusion, the internal control procedure of maintaining adequate records involves keeping detailed records, reliable records, bonding employees, and dividing responsibility for related transactions. These measures are crucial in ensuring that financial statements are free from errors and frauds.

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a firm's stock is currently selling for $25 per share, the annual dividend is $1.00, and expected earnings are $5.00 per share. what is the firm's dividend payout ratio?

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The annual dividend is $1.00, and expected earnings are $5.00 per share. Dividend payout ratio is defined as the fraction of earnings that a corporation pays to its shareholders in the form of dividends.

The formula for calculating the dividend payout ratio is as follows:

Dividend Payout Ratio = (Dividend per share / Earnings per share) x 100

Given that the firm's stock is currently selling for $25 per share, the annual dividend is $1.00, and expected earnings are $5.00 per share.

The dividend payout ratio = (Dividend per share / Earnings per share) x 100

DPR = (1.00/5.00) × 100

DPR = 0.2 × 100

DPR = 20%

Therefore, the firm's dividend payout ratio is 20%. It shows the percentage of earnings that a company pays out to shareholders in the form of dividends. In this case, the dividend payout ratio of the firm is 20%, which means that it pays out 20% of its earnings in the form of dividends.

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When market forces lead to efficient production, each producer is and the product is produced A)alternating production; at minimum cost B)maximizing production; at maximum marginal cost C)coordinating with others; at a cost equal to price D)acting in self-interest: at the lowest possible marginal cost

Answers

When market forces lead to efficient production, each producer is maximizing production; at maximum marginal cost, and the product is produced. The correct option is (B).

Explanation

In a competitive market, a company must strive to produce its goods and services as efficiently as possible in order to remain profitable. Production efficiency is a measurement of how efficiently a company is able to produce its goods and services, typically calculated by comparing the amount of resources used during production to the amount of output produced. When market forces lead to efficient production, each producer is maximizing production; at maximum marginal cost, and the product is produced efficiently. Market forces, on the other hand, drive production and consumption decisions in a competitive market. In a market where firms are competing with one another, the market price serves as a signal to producers to increase or decrease output, as well as a signal to consumers about how much of a good they should purchase. As a result, in a competitive market, price is used as a signaling mechanism to coordinate production and consumption decisions.

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Some researchers have found that working has special benefits for ______. (Select all that apply.)
inner-city adolescents
adolescents with poor school records
adolescents from single-parent families

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Adolescents with poor school records and adolescents from single-parent families can both benefit from working. Working provides teens with important skills, such as time management and responsibility. It can also help teens build a strong work ethic, improve self-esteem, and create financial independence. Additionally, working can be a great way for teens to learn how to interact with adults in a professional setting, build a network of contacts, and explore potential career options.


For adolescents with poor school records, working can provide a way to stay engaged in a meaningful activity and feel productive, even when schoolwork is not successful. It also provides them with a sense of purpose and helps them stay motivated. Working can also give teens a chance to learn essential skills that they need in order to become successful adults. Additionally, it can help teens from single-parent families earn an income and build a financial cushion for college or other expenses.


Overall, working can have many positive benefits for adolescents with poor school records and adolescents from single-parent families. It provides them with an opportunity to learn important skills and build their confidence and self-esteem. Additionally, working can help them become financially independent and explore potential career options. Ultimately, working can be a great way for teens to gain experience and stay motivated, even if their academic success is not as expected.

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Met Below is a set of projects aimed at cleaning up a city's recreational areas. Determine whether the city should undertake the cleanup effort. Assume the city hasenoughmoney in its budget to undertake all projects. Project North Park Upper River Beach South Shore Green Creek Marginal Cost $21,000 4,000 18,000 1.100 Marginal Benefit $19,000 9,000 26,000 Clean Up? Click to select) v Click to select) Click to select) Click to select) V 0.12 polnts Print

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As per the given scenario, we can conclude the following: Project North Park Upper River Beach South Shore Green Creek Marginal Cost $21,000 4,000 18,000 1.100 Marginal Benefit $19,000 9,000 26,000. The city should not undertake the clean-up efforts.

Let's discuss the above table to know why the city should not undertake the cleanup effort:

Project: North Park

Marginal Cost: $21,000

Marginal Benefit: $19,000

Here, the marginal cost of cleaning North Park is more than its marginal benefit. So, the city should not undertake the cleaning of North Park.

Project: Upper River

Marginal Cost: $4,000

Marginal Benefit: $9,000

Here, the marginal benefit of cleaning the Upper River is more than its marginal cost. So, the city should undertake the cleaning of the Upper River.

Project: Beach South Shore

Marginal Cost: $18,000

Marginal Benefit: $26,000

Here, the marginal benefit of cleaning Beach South Shore is more than its marginal cost. So, the city should undertake the cleaning of Beach South Shore.

Project: Green Creek

Marginal Cost: $1,100

Marginal Benefit: There is no information given about marginal benefit. So, we cannot decide whether to undertake the cleaning of Green Creek or not.

So, the city should undertake the cleaning of the Upper River and Beach South Shore only. Hence, the correct answer is not to undertake the cleanup effort.

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after a year during which interest is compounded quarterly, an investment of $800 is worth $851. what is the annual rate of interest? what is the effective annual yield?

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The annual rate of interest of the investment is 25.5%. The effective annual yield on this investment is 26.67%.

To find the annual rate of interest, we can use the formula for compound interest:

A = P(1 + r/n)^(nt)

where A is the ending amount, P is the principal (starting amount), 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.

In this case, we have P = $800, A = $851, n = 4 (since interest is compounded quarterly), and t = 1 (since we're looking at the growth over one year). Solving for r:

$851 = $800(1 + r/4)⁴

1.06375 = 1 + r/4

r/4 = 0.06375

r = 0.255 or 25.5%

So the annual rate of interest is 25.5%.

To find the effective annual yield, we can use the formula:

Effective Annual Yield = (1 + r/n)ⁿ - 1

where r is the annual interest rate and n is the number of times interest is compounded per year. In this case, we have r = 0.255 and n = 4, so:

Effective Annual Yield = (1 + 0.255/4)⁴ - 1

Effective Annual Yield = 0.2667 or 26.67%

So the effective annual yield on this investment = 26.67%.

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allison thinks she has more power than the other party in a negotiation. as a result, she will probably use the blank approach when she negotiates.

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Allison thinks she has more power than the other party in a negotiation. As a result, she will probably use the distributive approach when she negotiates.

The distributive approach is a bargaining strategy in which the goal is to get as much of the available resources as possible. The resources are considered limited in this approach, and both parties compete to get their fair share. A distributive approach works well when there is a single issue to be resolved, and both parties' goals are diametrically opposed.

The distributive approach has several advantages, including saving time and reducing the need for information-sharing between parties. It also helps to create a clear understanding of the problem and reduces the likelihood of misunderstandings. On the other hand, the distributive approach may have some drawbacks, such as the tendency for the parties to become too competitive and create a win-lose situation. In the end, one party comes out ahead, while the other is at a loss.

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The following materials standards have been established for a particular product:Standard quantity per unit of output 4.9 gramsStandard price $12.00 per gramsThe following data pertain to operations concerning the product for the last month:Actual materials purchased 3,800 gramsActual cost of materials purchased $44,270Actual materials used in production 3,100 gramsActual output 570 unitsThe direct materials purchases variance is computed when the materials are purchased.Required:a. What is the materials price variance for the month?b. What is the materials quantity variance for the month?

Answers

a. Materials price variance for the month is $1,330. b. Materials quantity variance for the month is $1,032.

Materials price variance for the month = ($12.00 - $11.65) x 3,800 gm = $1,330

Materials quantity variance for the month = ($12.00 x (3,100 - 570 x 4.9)) - ($12.00 x 3,100) = $1,032.

Variance refers to the deviation or difference between the actual and planned or expected performance.

It is a statistical measure that is calculated by taking the average squared deviation from the mean of data. It measures the dispersion or distribution of the data around the mean. The variance can be expressed in percentage, as a ratio or as a simple number.

Standard refers to the fixed criteria or benchmark that is established for a particular product, service, or process.

It is the acceptable level of quality, performance, quantity, or time that is determined by the management or organization. Standards provide a common reference point for comparison and evaluation of performance. They help to maintain consistency, uniformity, and reliability of the products or services. It also helps to improve the efficiency, effectiveness, and competitiveness of the organization

The quality of the output should not be compromised while increasing the quantity. Quality refers to the standard, specification, or requirement that is expected or desired by the customer, end-user, or stakeholder

. It is the degree of excellence, suitability, or fitness of the product, service, or process. Quality can be measured in terms of accuracy, reliability, durability, speed, flexibility, or innovation.

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Refer to the following selected financial information from Texas Electronics Compute the company's working capital for Year 2. Cash Short-term investments Accounts receivable, net Merchandise inventory Prepaid expenses Plant assets Accounts payable Net sales Cost of goods sold Year 2 Year 1 $ 37,500 $ 36,850 90,000 90,000 85,500 86,250 121,000 117,000 12,100 13,500 388,000 392,000 113,400 111,750 711,000 706,000 390,090 385,500. a) $232,700. b) $220,600. c) $147,200. d)$111,700. e) $142,700.

Answers

The working capital for Year 2 of Texas Electronics is $232,700. Working capital is the difference between a company's current assets and liabilities.

The working capital is a difference between the company's current assets and liabilities. Company assets in this case include cash, bank deposits, other quickly payable assets, and potential income. 

For Year 2 of Texas Electronics can be calculated by subtracting current liabilities (Accounts Payable and Cost of Goods Sold) from current assets (Cash, Short-term Investments, Accounts Receivable, net, Merchandise Inventory, and Prepaid Expenses):

Working Capital = Current Assets - Current Liabilities

Working Capital = $711,000 - ($113,400 + $390,090) = $232,700

Therefore, the working capital for Year 2 of Texas Electronics is $232,700.

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the law of one price is best described as: the true fundamental value of an asset. earning a risk-free profit without committing any capital. two assets that will produce the same cash flows in the future must sell for equivalent prices.

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The law of one price is best described as: two assets that will produce the same cash flows in the future must sell for equivalent prices.

The law of one price is an economic law that states that two assets that will produce the same cash flows in the future must sell for equivalent prices. The law of one price is an important economic theory that is used to explain the prices of goods and services in the market.The true fundamental value of an asset is a term used to describe the value of an asset based on its underlying fundamentals, such as its revenue, earnings, and assets.

Earning a risk-free profit without committing any capital is not an accurate description of the law of one price, as the law refers to the prices of assets that produce the same cash flows in the future, not to profits or capital investments.

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Determine which one of the three portfolios dominates another. Name the dominated portfolio and the portfolio that dominates it. Portfolio Green has an expected return of 23 percent and risk of 30 percent. The expected return and risk of portfolio Red are 22 percent and 24 percent, and for the Orange portfolio are 22 percent and 23 percent. Portfolio Red dominates portfolio Orange. Portfolio Orange dominates portfolio Red. Portfolio Green dominates portfolio Red. Portfolio Green dominates portfolio Orange.

Answers

The dominated portfolio is portfolio red and the portfolio that dominates it is portfolio orange. Portfolio orange dominates portfolio red. Hence option b is the right choice.

A dominated portfolio is defined as a portfolio when there is at least one portfolio that provides a higher return with a lower standard deviation. The expected return is defined as the average return that a portfolio generates over a specific time period.

Portfolio Green has an expected return of 23 percent and a risk of 30 percent. The expected return and risk of portfolio Red are 22 percent and 24 percent, and for Orange, the portfolio is 22 percent and 23 percent

A portfolio is dominated if it can be replaced with another portfolio that has a higher expected return and lower risk. Portfolio green has higher expected risk and return when compared with both portfolios red and orange. But when a comparison is made between portfolio red and orange, the risk of portfolio orange is less than portfolio red with the same returns. Hence portfolio orange dominates portfolio red.

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Which of the following is a job evaluation method that can group a wide range of work together in one system but leave too much room for manipulation?
A) Ranking
B) Point
C) Scaling
D) Classification

Answers

Classification is a job evaluation method that can group a wide range of work in one system but leave too much room for manipulation. Option D is the correct answer.

Classification is a job analysis method that groups a wide range of work in one system but leaves too much room for manipulation. In the job analysis process, the goal of classification is to group positions into different job classes, each of which has similar responsibilities and requirements, for ease of analysis and review.

Therefore, Option D is a job evaluation method that can group a wide range of work in one system but leave too much room for manipulation.

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