Considerations about screening and preferences are the two major areas of capital budgeting decisions.
What is capital budgeting decisions ?Choosing the best alternative long-term investment opportunity is what capital budgeting is all about. Where to put corporate funds is indicated. The years it will take to recoup investment, the return on a plan, and the net present value of the resulting cash flows are all calculated as part of the capital budgeting process. Considerations about screening and preferences are the two major areas of capital budgeting decisions. Whether a project proposal meets a particular accepted standard is the subject of screening judgments. Choosing between conflicting actions is governed by preference decisions.The several capital budgeting approaches are covered in this chapter, including internal rate of return, net present value, deferred payback, payback, and accounting rate of return. In addition, the study takes into account contingent proposals, capital rationing, nondiscretionary initiatives, and the inclusion of risk.
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calculate the payback period, if the cost to renovate a restaurant is $30,000 and the project will generate annual incremental cash flows of $15,000.
For the following case the payback period will be 2 years in which total cash flow will be recovered.
How long is the payback time, exactly?The term "payback time" refers to the amount of years needed to recoup the initial monetary outlay. It is, in other words, the length of time that a machine, facility, or other investment has generated enough net income to pay its investment costs.
Briefing:First year project will generate 15,000 then the next year incremental cash flow will also be 15,000. Total cash inflow at year 2 will be equal to cash outflow, this will be the payback period, period at which cash outflow is fully recovered.
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according to the u.s. federal trade commission, country of brand and country of design are required to be displayed for all textile and apparel products.
According to US federal trade commission, the country of brand and country of design should display 60% cotton and 40% polyester for all textile and apparel products.
With some exclusions regarding banks, insurance corporations, non-profits, transportation, and communications common carriers, air carriers, and some other entities, the Federal Trade Commission enforces a variety of antitrust and consumer protection laws affecting almost every sector of trade.
Materials comprised of natural, synthetic, or a combination of both fibers, thin threads, or filaments are known as textiles. There is a huge range of textile fiber types accessible, and they can be divided into natural (organic) fibers and man-made (synthetic, industrial) fibers.
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When a partnership is insolvent and a partner has a deficit capital balance, that partner islegally required to:A. declare personal bankruptcy.B. initiate legal proceedings against the partnership.C. contribute cash to the partnership.D. deliver a note payable to the partnership with specific payment terms.E. None of the above. The partner has no legal responsibility to cover the capital deficitbalance.Answer: C. contribute cash to the partnership.
When a partnership is insolvent and a partner has a deficit capital balance, that partner islegally required to: contribute cash to the partnership.
What happens when a partner's capital balance is negative?A capital account deficit in your company indicates that you are taking more money out of the account than you are putting in. You would have a capital account deficit of $2,000, for instance, if you deposited $10,000 to your capital account during the fiscal quarter but used $12,000 from it.If a partner's capital account is in the negative, they must pay the partnership the negative sum.Such a capital shortfall when one partner is bankrupt is a loss to the remaining partners who are solvent.A partner is legally compelled to: provide funds to the partnership when a partnership becomes bankrupt and one of the partners has a deficit capital balance.To learn more about partnership refer to:
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mr. smith is hired as a consultant to a firm in a perfectly competitive industry. at the current output level, the price is $60, the average variable cost is $50, average total cost is $75, and the marginal cost is $70. in order to maximize profits in the short-run, mr. smith will recommend that the firm should
In order to maximize profits in the short-run, Mr. Smith will recommend that the firm should produce the output level where the marginal revenue (MR) is equal to marginal cost (MC). In a perfectly competitive industry, the price is constant and is equal to the MR, which is $60. Since the MC is $70, the firm should reduce its output in order to maximize profits.
The output level where MR=MC is referred to as the profit-maximizing output. At this output level, the firm will be able to produce where the marginal revenue earned from the last unit produced is equal to the marginal cost of producing this unit.
In order to determine the optimal output level, Mr. Smith will need to calculate the total revenue (TR) and total cost (TC) at different output levels. The firm will be able to maximize profits when the TR is at its highest and the TC is at its lowest. The optimal output level can then be determined by finding the output level where the TR is at its highest.
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1.Institutions that help to match one person's saving with another person's investment are collectively called theA.Federal Reserve system.B. banking system.C.monetary system.D.financial system.
Institutions that help to match one person's saving with another person's investment are collectively called the financial system.
What are the financial system's components and purposes?An economic structure known as a financial system allows for the transfer of assets and money between lenders, investors, and borrowers with the help of financial institutions. Its purpose is to effectively allocate economic resources in order to stimulate economic growth and produce a return on investment (ROI) for market players.
Why is the financial system crucial?A stable financial system is capable of effectively allocating resources, identifying and managing financial risks, preserving employment levels close to the natural rate of the economy, and preventing relative price movements of real or financial assets that could jeopardize monetary stability or employment levels.
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it was discovered that a person becomes neurotic because he cannot tolerate the amount of frustration which society imposes on him in the service of its cultural ideals, and it was inferred from this that the abolition or reduction of those demands would result in a return to possibilities of happiness.
The Pleasure Principle and the Reality Principle-Freud contends that the only goal in life that everyone can agree on is to be happy.
What is citizens acoording to Frued ?Happiness can only be obtained in its purest form through the pleasure principle (living for the satisfaction of all needs, for pleasure).
Sigmund Freud published Civilization and Its Discontents in 1930, outlining his theory of civilization: civilization is a problem that makes us unhappy.
Freud believed that humans are aggressive creatures by nature, and that we enjoy expressing our aggression and hurting one another.
The whole sum of the achievements and regulations which distinguish our lives from our animal ancestors. It serves two purposes: it protects us from nature and it adjusts our mutual relationships.
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the accountant at swiftly company is figuring out the difference in income taxes the company will pay depending on the chouice of either fifo or lifo as an inventroy costing method the tax rate is 30 and the fifo method will result in income before taxes of 8100
The typically raise that the tax difference between the two ways would be paid as follows: = 2,622 - 2,430 = 192.00.
What exactly is taxation?
Taxation is indeed the imposition of obligatory taxes on individuals or companies by governments in practically every country of the globe. Although it can be used for other things as well, taxes are typically utilized to raise money for government spending.
The importance of taxes.
Governments utilize the money they acquire through taxes to fund social projects, thus taxes are essential. Government initiative to the medical sector would not be possible without taxes. Social care, health research, social security, and other health-related services are all funded by taxes.
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a caesar cipher uses a plaintext character to compute two or more encrypted characters, and each encrypted character is computed using two or more plaintext characters.
When something is "appended," it is done so at the end of another thing. By opening a file in the "a" mode, you can add content to it. When we wish to add a new line to something, we can open it in "a" mode (append), then execute the write() method while supplying the content we want to append as an argument.
Describe an example of plaintext.
Email messages that merely contain text, for instance, are known as plaintext emails. Plaintext communications are frequently used in marketing emails since HTML-encoded messages and messages with additional binary components are frequently blocked by spam-filtering software.
What are ciphertext and plaintext?
It is in plaintext if you can understand what is written. Ciphertext, often known as encrypted text, is a collection of randomly generated letters and numbers that are incomprehensible to humans. A plaintext message is input into an encryption algorithm, which then processes the plaintext to create ciphertext.
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beaver creek corporation stock is currently selling for $58.00. it is expected to pay a dividend of $5.00 at the end of the year. dividends are expected to grow at a constant rate of 7.5% indefinitely. compute the required rate of return on beaver creek corporation stock. group of answer choices 13.64% 12.48% 15.65% 16.12%
The required rate of return on beaver creek corporation stock will be 16.12%
The minimal profit (return) an investor will seek or expect in exchange for taking on the risk of investing in a stock or other type of security is known as the required rate of return (RRR).
RRR can also be used to determine a project's potential profitability in relation to its funding costs. RRR denotes the degree of risk associated with committing to a particular project or investment. The level of risk increases as return increases.
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top u.s. retail banks allow customers to access their accounts online so they can . (select all that apply)
Top U.S. retail banks allow customers to access their accounts online so they can:
Check account balancesTransfer fundsPay billsWhat are Retail banking?Retail banking refers to the provision of services by a bank to the general public rather than to companies, corporations or other banks which are often described as wholesale banking.
Banking services that are regarded as retail include provision of savings and transactional accounts, mortgages, personal loans, debit cards, and credit cards. It is also distinguished from investment banking or commercial banking.
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Answer:
Check account balances
Transfer funds
Pay bills
Explanation:
A 60-day, 11% note for $28,800, dated May 1, is received from a customer on account. The maturity value of the note is a. $29,328 b. $28,800 c. $31,968 d. 5528
Maturity value = Note value + Interest on that
Note value = $28,800
Interest= $28,800 x 11% x 60/360
=$28,800 x 11% x 1/6
=$528
Maturity value = Note value + Interest on that
=$28,800 + $528
=$29,328
Hence, the right option is a.) $29.328
The amount owed and due to be paid to the holder of a financial obligation as of the obligation's maturity date is its maturity value. The phrase typically refers to a loan's or bond's outstanding principal balance. In the event of a security, par value and maturity value are the same.
Maturity values are significant since they have an impact on your financial planning by showing just how much cash you will have on hand at a specific future period.
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The four-firm concentration ratio, expressed as a percentage, is the ratio of the total industry _____ of the four largest firms in an industry relative to total industry sales.
sales
The output (sales) of the top four companies in an industry as a percentage of the overall sales of the sector is known as the "four-firm concentration ratio."
How concentrated is the four-firm ratio?The market share of the top four companies is shown, for instance, by the four-firm concentration ratio (CR4). A highly concentrated industry has a higher ratio of concentration. When the CR4 exceeds 50%, a market is typically seen as being very concentrated.By summing the market shares of the four largest companies, 16 + 10 + 8 + 6 = 40, one can determine the four-firm concentration ratio. Since the top four companies account for less than half of the market, this concentration ratio would not be seen as particularly significant.The output (sales) of the top four companies in an industry as a percentage of the overall sales of the sector is known as the "four-firm concentration ratio."To learn more about Four-firm concentration ratio refer to:
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1. When you compose a message, you want your audience to find the information it needs quickly and to understand it. Your message should be easy to read and comprehend.
Strategic use of white space improves document readability. Which of the following techniques employ white space? Check all that apply.
Using bulleted and numbered lists
Using headings
Using serif typeface
Using parallel structures2. A WIDE variety of typefaces are available for business writers. Different typefaces suggest different purposes and occasions.
True or False: This selection uses a serif typeface.
True
False
Headings are important for visual impact and readability. Which of the following sentences about headings are true? Check all that apply.
Headings often appear in business reports.
Headings should not be used in formal documents.
Headings increase the skim value of a message.
3. Read the following sentence, and determine which technique is most applicable to improve its readability.
Please follow these steps when filling out an expense report: begin by writing your name, date, and position; record the exact expense amount; and obtain your supervisor’s signature.
Developing parallelism for balance
Using numbered or bulleted lists
Using graphic techniques
Choose the heading that is best at highlighting information and improves readability.
Financial Analysis of ABC Corp.
The Truth About ABC Corp. Profitability
Using bulleted and numbered lists techniques employ white space. It will improve readability.
Tips on how to improve the readability of your writing: Use short, simple sentences, Use common, everyday words, Use active voice, Keep your paragraphs short, Use headings and subheadings, Use lists, Highlight key points and Use visuals.
Readability is the ease with which a reader can understand a written text. It is a measure of the clarity and comprehensibility of a text and is used to determine the level of difficulty of a text. The readability of a text can be affected by many factors, such as the length of the sentences, the use of jargon, and the level of difficulty of the subject matter.
Hence, the correct option is "FIRST".
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which of the following is true when comparing yield measures for money market instruments to yield measures for longer-term bond market yield measures? group of answer choices money market yield measures are derived from discount interest quotations, while bond market yield measures are derived from add-on interest. money market yield measures are based on simple interest, while bond market yield measures are based on compound interest. money market yield measures have a periodicity of one by design, while bond market yield measures have a periodicity that varies with coupon payment frequency.
The interest rate obtained from investing in assets with high liquidity and short maturities, such as negotiable certificates of deposit, U.S. Treasury bills, and municipal notes, is known as the money market yield.
What Is the Money Market Yield?The money market yield is derived by multiplying the holding period yield by a 360-day bank year divided by the number of days till maturity. It can also be calculated using a bank discount yield.Bond equivalent yield and CD-equivalent yield are closely related to the money market yield (BEY).Investors anticipate receiving a return on their investment from money market instruments, or the money market yield.The money market entails the buying and selling of substantial quantities of very short-term debt instruments, including overnight reserves or commercial paper.A person can make an investment in the money market by buying a money market mutual fund, purchasing a Treasury bill, or by opening a money market account at a bank.
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when machine-hours are used as an overhead cost-allocation base, the most likely cause of a favorable variable overhead spending variance is . question 18 options: the production scheduler efficiently scheduled jobs strengthened demand for the product a decline in the cost of energy excessive machine breakdowns
a decline in the cost of energy excessive ,machine breakdowns a decline in the cost of energy.
What is fixed overhead budget?The fixed overhead budget variance is also known as the fixed overhead spending variance. Fixed overhead costs are the indirect manufacturing costs that are not expected to change when the volume of activity changes.
What comes under fixed budget?A fixed (static) budget presents budgeted amounts at the expected capacity level. It is best used when the department's activities (e.g., sales) are stable. A deficiency with the static budget is the lack of flexibility to adjust to unexpected changes.
How is static budget calculated?To calculate a static budget variance, simply subtract the actual spend from the planned budget for each line item over the given time period. Divide by the original budget to calculate the percentage variance
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Using the percentage-of-receivables basis, the uncollectible accounts for the year is estimated to be $33,000. If the balance for the Allowance for Doubtful Accounts is a $5,000 credit before adjustment, what is the amount of bad debt expense for the period? a. $5,000 b. $28.000 c. $33,000 d. $513,000
$513,000 is the amount of bad debt expense for the period. The percentage of bad debts that a company anticipates may encounter is calculated using the percentage of receivables method.
The method is used to fill out the allowance for dubious accounts, a counter account that deducts from the asset for accounts receivable. Divide the entire accounts receivable for a period by the bad debt amount, then multiply the result by 100. The main benefit of employing the percent of receivables technique is that it gives more accurate findings than others because it takes into account the company's real receivables as well as the length of time they have been past due.
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a party who claims that he or she could not understand contractual terms because of tiny, hard-to-read print on the back of an agreement and the excessive use of legalese is referring to which of the following? question 36 options: an in pari delicto agreement procedural unconscionability substantive unconscionability commercial impracticability adhesion conscionability
A party who claims that he or she could not understand the contractual terms because of tiny, hard to read print on back of an agreement and the excessive use of legalese is referring to procedural unconscionability.
Procedural unconscionability which refers to the unconscionability in how a contract was said to be formed between the parties. This is now said to result from one party having a significant advantage over the another, that is, bargaining power and intelligence.
So a party who claims that he or she could not understand contractual terms and the excessive use of legalese is referring to procedural unconscionability as it describes a condition which tends to impair one party's understanding of the contract.
Hence, the unconscionability derives from the process of making a contract.
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The curve has a positive slope because as prices of final goods and services rise, prices of inputs rise more slowly. A) short-run aggregate demand B) short-run aggregate supply C) long-run aggregate supply D) long-run aggregate demand
The curve has a positive slope because as prices of final goods and services rise, prices of inputs rise more slowly is short-run aggregate supply.
Why does the short-term aggregate supply curve have a positive slope?Given that certain nominal input prices are fixed and that more manufacturing processes get bottlenecked as output increases, the aggregate supply curve is upward sloping in the near run. Low levels of demand allow for output to be expanded without experiencing diminishing returns and an increase in the average price level.
Which curve for total supply has a positive slope?The upward-sloping aggregate supply curve, sometimes referred to as the short run aggregate supply curve, demonstrates the favorable short-term link between price level and real GDP.
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The biggest difference between National Incident-Based Reporting System (NIBRS) and Supplementary Reporting system (SRS) is ______.
The biggest difference between National Incident-Based Reporting System (NIBRS) and Supplementary Reporting system (SRS) is having communities safer.
The Supplementary Reporting system in the United States is not count in ordered can be submitted at a continued hearing and to provide the court with a new information about the reporting.
In the Supplementary Reporting system is the information which is used to collect monthly counts of the number of crimes known to law enforcement from many agencies in the United States.
A system that gathered information on each occurrence of reported crime. The NIBRS mandated local law enforcement agencies to submit at least a brief narrative of each incident/arrest, which set it apart from the UCR.
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_____ costs are the costs associated with changing from one choice, such as a brand, retailer, or service provider, to another.a. Switchingb. Transferc. Conversiond. Shillinge. Infiltrating
Switching costs are the costs associated with changing from one choice, such as a brand, retailer, or service provider, to another. Thus the correct option is A.
What is a Retailer?A retailer is referred to as a channel of distribution that purcahse goods from wholesalers in small amounts and sells them to customers. he is a direct link with customers so able to understand the demands taste and preferences towards products.
The expenditures a customer incurs when switching brands or products are referred to as switching costs. Switching costs are substantial because they enable businesses to sustain sales while also increasing brand recognition.
By decreasing the likelihood that a consumer will move to an alternative product rather than continuing with your brand, higher switching costs naturally reduce defection.
Therefore, option A is appropriate.
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A ______ identifies the best media to use to deliver an advertising message to a targeted audience and is a subsection within a marketing communications plan.
A media plan identifies the best media to use to deliver an advertising message to a targeted audience and is a subsection within a marketing communications plan.
What is a media Plan?The audience that will be targeted, the channels that will be used, the timing, and the message will all be specified in a media plan. A set of advertising chances that target a certain audience and work with the company's marketing budget will come from an efficient media plan.
Why is a media plan important?Successful media planning entails that the company uses advertising to grow its clientele, boost its market share, increase consumer brand awareness, and solidify its reputation. Planning enables easy and cost-effective achievement of the brand's goals and identification of key crucial areas for promotional activities.
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The income statement and selected balance sheet information for Calendars Incorporated for the year ended December 31 are presented below.
Income Statement
Sales Revenue $ 86,000
Expenses: Cost of Goods Sold 40,000
Depreciation Expense 16,800
Salaries and Wages Expense 10,800
Rent Expense 3,300
Insurance Expense 1,700
Interest Expense 1,600
Utilities Expense 1,400
Net Income $ 10,400Selected Balance Sheet Accounts
Ending Balances Beginning Balances
Inventory $ 445 $ 520
Accounts Receivable 2,200 1,820
Accounts Payable 1,280 1,460
Salaries and Wages Payable 530 290
Utilities Payable 120 0
Prepaid Rent 70 110
Prepaid Insurance 60 70Required:
Prepare the cash flows from operating activities section of the statement of cash flows using the indirect method. (Amounts to be deducted should be indicated by a minus sign.)
CALENDARS INCORPORATED
Statement of Cash Flows (Partial)
For the Year Ended December 31
Cash Flows from Operating Activities: Adjustments to Reconcile Net Income to Net Cash Provided by Operating Activities: Changes in Current Assets and Current Liabilities 0
$0
CALENDARS INCORPORATED Statement of Cash Flows (Partial) For the year ended December 31 Cash flow from operating activities.
What is statement cash flow?
Having a high degree of cash conversion flexibility, cash equivalents are short-term assets. They include, among other things, the balances in savings and money market accounts, short-term CDs, and short-term government securities (e.g., treasury bills). Short-term commercial paper is another illustration of an alternative to cash (negotiable notes receivable issued by other companies).
On the balance sheet, you can show cash and cash equivalents together or separately. Some companies combine cash with short-term investments in marketable stock instruments. Effective financial management invests any surplus in cash equivalents, leaving very little cash on hand in the actual world. The distinction between cash and cash equivalents tends to lose significance with the availability of highly liquid assets.
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According to the Small Business Administration, a small business is an independent business with fewer than _____ employees
a. 500
b. 100
c. 50
d. 10
The Office of Advocacy generally defines a small business as an independent business having fewer than 500 employees.
Generally speaking, a small business is a privately held corporation, partnership, or sole proprietorship with fewer employees and lower yearly income than a corporation or regular-sized business. The definition of "small" varies by country and industry in terms of being qualified for benefits from the government and favorable tax treatment.
The U.S. Small Business Administration establishes what qualifies as a small business based on a set of standards depending on specific industries. In comparison to mid-size and large firms, small businesses may be eligible for specific small business loans and are subject to some additional rules.
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effective supervisors develop trust and build credibility with employees, peers, and bosses when they .
Effective supervisors increase trust and construct credibility with employees, peers, and managers when they Keep skills and competencies up to date.
Credibility is a judgment that the target market makes about how plausible the communicator is, adds psychologist Dan O'Keefe. And it is vital because human beings frequently choose to reply to a persuasive message primarily based no longer on the content but on their belief in the communicator.
Credibility as a frontrunner is essential because personnel needs to have the guarantee that whilst you are coping with them and assessing their performance, you are equipped and trustworthy.
Credibility is crucial for leaders fact trust is what holds leaders and fans collectively. Credibility takes time to broaden and may quickly slip away through missteps.
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If the traditional payback period method is used to evaluate a capital budgeting project, the project is considered acceptable if. a. the payback period is less than the maximum cost-recovery time established by the firm b. the total cash inflows yield a rate of return more than the expected rate of return from the project c. there are no cash outflows during the payback periodd. discounted value of cash inflows is less than the initial investment e. the payback period is longer than the life of the project
The payback duration is less than the firm's maximum cost-recovery time. The right answer is (a).
In what ways may I use my PAYBACK Points?A. Go to the PAYBACK Rewards Directory at rewards.payback.in and pick the item. Redeem your points by placing an online order or by calling our Contact Center, but don't hesitate to include the item number of the goods you want to purchase.
What exactly is PAYBACK Company?The largest rewards program in India, PAYBACK, offers its 110+ millions members a wide range of advantages. With a wide range of partners, Recompense Members may accrue points from their regular purchases and exchange them for desirable incentives.
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the records of alberta inc. included the following information: cost of goods sold $1,800,000 beginning inventory 435,000 ending inventory 465,000 use the information above to answer the following question. what is the inventory turnover ratio? a. 4.14 times b. 2.00 times c. 3.87 times d. 4.00 times
Inventory turnover is a measure of how many times inventory is sold or used in a given time period, such as a year. Hence option A is correct
What is Inventory Turnover Ratio ?It is calculated to determine whether a company has an excessive inventory in comparison to its sales level.
The ideal inventory turnover ratio for most industries will be between 5 and 10, implying that the company will sell and restock inventory every one to two months.
The ideal ratio for industries with perishable goods, such as florists and grocers, will be higher to prevent inventory losses due to spoilage.
Inventory turnover is the amount of time that elapses between the day a company purchases an item and the day it is sold.
Inventory Turnover Ratio = COGS / Average Inventory
Where COGS = $1,800,000
Average Inventory = opening Inventory + Ending Inventory /2
= 435,000 + 465,000 / 2
= $ 450,000
Inventory Turnover Ratio = COGS / Average Inventory
= $ 1800,000 / 450000
= 4.14 times
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The president of the United States promises that
the nation's economy will simultaneously produce more defense goods without any decreases in the production of other goods. Under which of the following conditions might such a promise be valid?
The following conditions might such a promise be valid If the US were producing inside its production possibilities curve.
PPF is the area on the graph that represents the level of production that cannot be achieved given the available resources. The curve represents the optimal level. Here are the assumptions involved: A firm economy wants to produce two products. It has limited resources.
Ownership is the state or fact of legal possession and control over the tangible or intangible property. Economic data measure the financial health or well-being of a country a particular region or an individual market. It is often presented in comparison with past measures. This data is used to create economic analyzes and enrich other categories of financial data.
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A delivery service places packages into large containers before flying them across the country. These filled containers vary greatly in their weight. Suppose the delivery service's airplanes always transport two such containers on each flight. The two containers are chosen so their combined weight is close to, but does not exceed, a specified weight limit. A random sample of flights with these containers is taken, and the weight of each of the two containers on each selected flight is recorded. The weights of the two containers on the same flight (a) will have a correlation of 0 (b) will have a negative correlation (c) will have a positive correlation that is less than 1 (d) will have a correlation of 1 (e) cannot be determined from the information given
Weights of the two containers on the same flight will have a negative correlation." So, the correct option is (b) will have a negative correlation.
A negative correlation may be a relationship between two factors in which an increment in one variable is related to a decline in the other. The perfect negative linear correlation between two variables is indicated by a correlation coefficient of 1 or -1.
The correlation coefficient between the weights of the two containers will be less than 1 because there is some variation in the weights of the containers.
The two containers are regularly chosen so that their add up to weight is near to, but does not exceed the stipulated weight confinement. The suggestion is that if one container is heavier than normal, the other one must too be lighter.
Therefore, the weight of two containers on the same flight will have a negative correlation. Option b. is correct.
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The assessment center technique for selecting employees is ideal for small firms because such centers involve limited expense. T/F
Candidates are evaluated in assessment center to see if they are qualified for particular jobs, particularly management or military command. Techniques used to evaluate candidates'
personalities and aptitudes include group exercises, presentations, exams, and psychometric testing. Assessment center, which were developed during World War II to choose officers, are still widely employed in today's military recruitment. Examples include the British Army's War Office Selection Board and the Royal Navy's Admiralty Interview Board. [2] Except for a little amount of internal use by the CIA during intelligence gathering operations during World War 2, the OSS model of assessment center was essentially abandoned in the United States. Australians who were identified as participants and the British Civil Service Selection Board continued to utilize it for selection.
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the small business administration: lends exclusively to small business investment companies that in turn lend to small businesses makes only working capital loans lends to businesses with reasonable prospects of repayment but which cannot obtain credit through private channels makes loans at lower than market rates
Small business administration leads to businesses with reasonable prospects of repayment but which cannot obtain credit through private channels. Option C.
A term loan is one of the most common types of small business loans and is a lump sum payment of cash that is repaid over a period of time. Monthly payments are usually fixed and interest is added to the principal.
They offer short and long-term loan lines of credit cards and other small business debt options. to better manage expenses and business fluctuations. There are two basic types of financing available for small businesses debt financing and equity financing. Banks and other credit institutions are a common form of debt financing for small businesses.
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