Allocative efficiency involves determining:

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Answer 1

Allocative Efficiency: Determining What Should be Produced?

A reallocation of assets can, therefore, improve normal welfare and a Pareto enchancment is feasible.

How do you decide allocative efficiency?

There is no unique method to derive allocative efficiency. It is, however, represented as P=MC, the place P is the price of items and services and MC is the marginal cost. Marginal value describes the upward shove or fall in fee related with producing or presenting offerings to an additional consumer.

Key Takeaways. Allocational or allocative, efficiency is a property of an efficient market whereby all items and services are optimally disbursed among consumers in an economy.

Allocative Efficiency: Determining What Should be Produced

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Consider a graph with paper on the x-axis and pencils on the y-axis. If income increases, then (select all that apply):
1. the budget constraint will become steeper (the absolute value of the slope will increase).
2. the budget constraint will become flatter (the absolute value of the slope will decrease).
3. the slope of the budget constraint will not change.
4. the x-intercept will increase.
5. the x-intercept will decrease.
6. the x-intercept will not change.
7. the y-intercept will increase.
8. the y-intercept will decrease.
9. the y-intercept will not change.

Answers

Since income has increased, the maximum quantity of pencils that can be purchased without any paper also increases.

"If a person's income increases, what is likely to happen to their ability to purchase both paper and pencils?"

If we consider a graph with paper on the x-axis and pencils on the y-axis, an increase in income will affect the budget constraint. Specifically, we can expect the budget constraint to shift outwards, allowing for more paper and pencils to be purchased. However, the slope of the budget constraint will not change, so option 3 is correct.

Options 1 and 2 refer to the steepness of the slope, which is determined by the relative prices of the goods (i.e., the opportunity cost of one good in terms of the other). An increase in income does not affect relative prices, so the slope remains the same. Therefore, options 1 and 2 are incorrect.

Option 4 refers to the x-intercept, which represents the quantity of paper that can be purchased when all income is spent on paper (i.e., no pencils). Since income has increased, the maximum quantity of paper that can be purchased without any pencils also increases. Hence, option 4 is correct.

Options 5 and 6 are incorrect because a change in income does not affect the location of the x-intercept (i.e., where the budget line intersects the x-axis).

Finally, options 7, 8, and 9 refer to the y-intercept, which represents the quantity of pencils that can be purchased when all income is spent on pencils (i.e., no paper). Since income has increased, the maximum quantity of pencils that can be purchased without any paper also increases. Therefore, option 7 is correct, whereas options 8 and 9 are incorrect.

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On January 6, Aaron Co. sells merchandise on account to Foley Inc. for $12,000, terms 1/10, n/30. On January 16, Foley pays the amount due.
Prepare the entry on Susie

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On January 6, Aaron Co. sells merchandise on account to Foley Inc. for $12,000, terms 1/10, n/30.

The journal entry for Aaron Co. would be:

1. Debit Accounts Receivable - Foley Inc. for $12,000
  Credit Sales Revenue for $12,000

On January 16, Foley pays the amount due within the 1/10 discount period. To calculate the discount, multiply $12,000 by 1% (1/10 = 0.01):

$12,000 x 0.01 = $120

Foley will pay $12,000 - $120 = $11,880. The journal entry for Aaron Co. would be:

2. Debit Cash for $11,880
  Debit Sales Discounts for $120
  Credit Accounts Receivable - Foley Inc. for $12,000

These entries cover the transactions between Aaron Co. and Foley Inc., taking into account the provided terms 1/10, n/30.

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A landscaping contract that calls for periodic landscaping over the course of 5 months in exchange for $600 must be in writing in order to be enforceable.a. Trueb. False

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The statement that "a landscaping contract that calls for periodic landscaping over the course of 5 months in exchange for $600 must be in writing in order to be enforceable" is False because in the United States, the Statute of Frauds governs the requirements for written contracts.

According to this statute, certain types of contracts must be in writing to be enforceable. However, the Statute of Frauds does not apply to all contracts.

For a contract to fall under the Statute of Frauds, it must meet specific criteria such as involving the sale of real property, involving a debt or financial obligation, or being a contract that cannot be performed within one year.

In this case, the landscaping contract involves periodic landscaping services for a period of 5 months in exchange for $600. This contract can be performed within one year, so it does not fall under the Statute of Frauds. Therefore, it does not need to be in writing to be enforceable.

However, having a written contract can still be beneficial for both parties, as it provides clear documentation of the terms and conditions of the agreement, helping to prevent misunderstandings and potential disputes.

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Individual Problems 20-2 A colleague tells you that he can get a business loan from the bank, but the rate seems very high for what your colleague considers a low-risk loan. Use the following table to classify each explanation for the high rate as an instance of either adverse selection or moral hazard. Adverse Selection Moral Hazard Explanation for High Rate The bank cannot determine which borrowers are likely to pay back the loan and which are likely to default. The bank believes your friend, if given access to financing at low rates, would use the money frivolously. You advise your friend to sign a contract that restricts certain types of risky investments that he can undertake with the funds from the loan. Your advice is more likely to solve the problem of

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Adverse selection is the explanation for the high rate in the first scenario where the bank cannot determine which borrowers are likely to pay back the loan and which are likely to default.

Let's classify each explanation for the high rate as either adverse selection or moral hazard:

1. The bank cannot determine which borrowers are likely to pay back the loan and which are likely to default.
- This is an instance of Adverse Selection, as the bank is unable to distinguish between low-risk and high-risk borrowers.

2. The bank believes your friend, if given access to financing at low rates, would use the money frivolously.
- This is an instance of Moral Hazard, as your friend may engage in riskier behavior after receiving the loan.

Now, let's see how your advice about signing a contract restricting certain types of risky investments can help:

Your advice is more likely to solve the problem of Moral Hazard. By signing a contract that restricts certain types of risky investments, your friend is committing to using the funds from the loan responsibly. This helps to reduce the risk of irresponsible behavior and thus addresses the issue of moral hazard.

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what would likely happen in a monopolistically competitive market if five firms engaged in collusion?

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In a monopolistically competitive market, if five firms engaged in collusion, they would likely share their production levels and pricing decisions to maximize their profits.

Collusion occurs when firms in a competitive market work together to set prices or output levels higher than what would occur in a perfectly competitive market. In this case, the five firms would agree to produce and price their goods at a level that would generate the highest collective profits. This would likely lead to higher prices for consumers and lower output compared to what would occur in a perfectly competitive market, where firms would produce and price their goods based on their own costs and the demand for their goods.

Furthermore, the collusion among the five firms would be illegal, as it violates antitrust laws that aim to promote competition and prevent collusion and other anti-competitive practices. Antitrust authorities, such as the U.S. Department of Justice or the European Commission, could investigate the collusion and take action to break it up, imposing fines or other penalties on the firms involved.

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refer to table 6.4, which shows a utility schedule for a consumer’s consumption of chocolate bars. marginal utility decreases after the consuming the _____ bar.

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Based on Table 6.4, the marginal utility of consuming chocolate bars decreases after a certain number of bars.

Without access to Table 6.4, the specific number or bar at which the marginal utility decreases cannot be determined. However, the concept of diminishing marginal utility suggests that as a consumer consumes more units of a particular good, the additional satisfaction or utility derived from each additional unit diminishes over time.

In the case of chocolate bars, this means that the enjoyment or satisfaction a consumer derives from each additional bar consumed will decrease as they consume more bars. This phenomenon is a fundamental principle in economics and helps explain consumer behavior and preferences.

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9. 1 point patents are granted for 20 years, but pharmaceutical companies can't use their patent-guaranteed monopoly powers for anywhere near this long because it takes several years to acquire fda approval of drugs. suppose it is proposed that the life of drug patents be extended to 20 years after fda approval. what would be the costs and benefits of this extension? a. firms would be more likely to develop more new products and consumers would gain from having a wider range of medicines. b. firms could earn higher profits for a longer period of time, but consumers would lose because prices of drugs would stay higher longer. c. firms would be less likely to develop new products because they are making a larger profit on the drugs already developed and consumers would lose from having a smaller range of medicines. d. a and b. e. a and c.

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The proposed extension of drug patents to 20 years after FDA approval would have both costs and benefits.

The correct option is  b. firms could earn higher profits for a longer period of time, but consumers would lose because prices of drugs would stay higher longer.

On the one hand, firms would have a longer period of guaranteed monopoly power, which could potentially lead to higher profits. On the other hand, consumers may face higher prices for drugs for a longer period of time.  However, this extension could also incentivize firms to invest more in research and development to create new drugs since they would have a longer period of exclusivity to earn back their investment. This could lead to a wider range of medicines available to consumers. Overall, the costs and benefits of extending drug patents to 20 years after FDA approval are complex and depend on various factors such as the specific drug market and the behavior of pharmaceutical companies. It is important to consider both the potential benefits for firms and consumers in making a decision on whether or not to implement this extension.

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Under the price-specie-flow mechanism, what happens when, say, Germany's current account surplus is greater than its non-reserve capital account deficits?

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Under the price-specie-flow mechanism, when Germany's current account surplus is greater than its non-reserve capital account deficits, the following process occurs:

Account Surplus: Germany's current account surplus indicates that its exports of goods and services exceed its imports. This surplus leads to an inflow of foreign currency, which is primarily received in the form of gold or specie (in the historical context) or through foreign reserves (in modern times).

2. Increase in Money Supply: The inflow of gold or foreign reserves into Germany results in an increase in the country's money supply. This is because gold or foreign reserves are exchanged for domestic currency, leading to an expansion of the domestic money stock .

3. Expansionary Monetary Policy: The increase in the money supply stimulates domestic demand and economic activity in Germany. It leads to higher spending, investment, and consumption, which can contribute to economic growth.

4. Price Effects: The expansionary monetary policy and increased domestic demand can put upward pressure on prices within Germany. As prices rise, German goods become relatively more expensive compared to goods from other countries, which may reduce the competitiveness of German exports.

5. Adjustment in Trade Flows: The higher prices of German goods can dampen exports and increase imports, leading to a decrease in the current account surplus over time. This adjustment helps restore balance in the current account and reduces the influx of foreign currency or reserves.

In summary, when Germany's current account surplus exceeds its non-reserve capital account deficits, the price-specie-flow mechanism suggests that the inflow of foreign currency or reserves increases the domestic money supply, stimulates domestic demand, and eventually leads to adjustments in trade flows to restore equilibrium.

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Parker Plastic, Inc., manufactures plastic mats to use with rolling office chairs. Its standard cost information for last year follows: Standard Quantity Standard Price (Rate) Standard Unit Cost Direct materials (plastic) 12 sq ft. $ 1.45 per sq. ft. $ 17.40 Direct labor 0.3 hr. $ 11.90 per hr. 3.57 Variable manufacturing overhead (based on direct labor hours) 0.3 hr. $ 2.30 per hr. 0.69 Fixed manufacturing overhead $461,000 ÷ 922,000 units) 0.50 Parker Plastic had the following actual results for the past year: Number of units produced and sold 1,160,000 Number of square feet of plastic used 12,000,000 Cost of plastic purchased and used $ 16,800,000 Number of labor hours worked 320,000 Direct labor cost $ 3,744,000 Variable overhead cost $ 1,100,000 Fixed overhead cost $ 377,000 Required: Calculate Parker Plastic’s direct labor rate and efficiency variances. (Do not round intermediate calculations. Indicate the effect of each variance by selecting "F" for favorable, "U" for unfavorable.)

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The actual cost of direct labor for Parker Plastic is: $12.23 per hr.

Here year: Direct materials purchased and used: 1,100,000 sq. ft. at a cost of $1,573,000

Direct labor worked: 300,000 hrs. at a cost of $3,670,000

Variable manufacturing overhead incurred: $687,000

Fixed manufacturing overhead incurred: $465,000

The total actual manufacturing cost for the year, we need to add up the actual costs incurred for each of the three components of the standard unit cost: direct materials, direct labor, and manufacturing overhead.

For direct materials, we know that 1,100,000 sq. ft. were purchased and used at a cost of $1,573,000. To find the actual cost per sq. ft., we divide the total cost by the total quantity:

$1,573,000 ÷ 1,100,000 sq. ft.

= $1.43 per sq. ft.

Therefore, the actual cost of direct materials for Parker Plastic is:

12 sq. ft. × $1.43 per sq. ft.

= $17.16 per unit

For direct labor, we know that 300,000 hrs. were worked at a cost of $3,670,000. To find the actual cost per hour, we divide the total cost by the total quantity:

$3,670,000 ÷ 300,000 hrs. = $12.23 per hr.

Therefore, the actual cost of direct labor for Parker Plastic is: $12.23 per hr.

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If a lessee classifies a lease as a capital lease and uses the straight-line method of depreciation, what is the amount to be amortized over the lease term?
a. the original amount capitalized less the unguaranteed residual value
b. the original amount capitalized less the present value of the guaranteed residual value (if applicable)
c. the original amount capitalized less the guaranteed residual value (if applicable)
d. fair value of the leased property

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If a lessee classifies a lease as a capital lease and uses the straight-line method of depreciation, the amount to be amortized over the lease term is option B: the original amount capitalized less the present value of the guaranteed residual value (if applicable).

When a lessee classifies a lease as a capital lease, it means that the lease meets one of the four criteria outlined in the accounting standards. One of these criteria is that the lease transfers ownership of the leased asset to the lessee at the end of the lease term. In such cases, the lessee must recognize the leased asset and the lease liability on their balance sheet.

To account for a capital lease, the lessee must calculate the amount to be amortized over the lease term. This amount represents the cost of the leased asset that the lessee will allocate as an expense over the lease term. The straight-line method of depreciation is one way to calculate this amount.

Under the straight-line method, the lessee will take the original amount capitalized (i.e., the present value of the minimum lease payments) and subtract the present value of the guaranteed residual value (if applicable). The result is the total amount that will be amortized over the lease term. This calculation ensures that the lessee recognizes the cost of the asset that they will use during the lease term and accounts for any guaranteed residual value that the lessor may provide.

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an accountant who has passed the uniform cpa examination and who has fulfilled the experience of the state of practice is known as a:

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A certified public accountant (CPA). Obtaining the CPA license signifies that the accountant has not only demonstrated their technical knowledge by passing the rigorous examination but also acquired the necessary practical experience

A certified public accountant (CPA) is an accountant who has successfully passed the Uniform CPA Examination, a standardized test administered by the American Institute of Certified Public Accountants (AICPA). The examination covers various areas of accounting and related subjects to assess the candidate's knowledge and competence. However, passing the examination alone is not sufficient to become a CPA.

In addition to passing the CPA exam, individuals must also fulfill the experience requirements set by the state in which they intend to practice. These experience requirements typically involve working under the supervision of a licensed CPA and gaining a specified amount of professional experience in accounting and related fields. Once these requirements are met, the accountant can apply for a CPA license from the state board of accountancy.

It is a recognized professional designation that distinguishes CPAs from other accountants and can open up opportunities for career advancement and specialization in areas such as auditing, tax planning, financial analysis, and consulting.

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Why do all audits follow a sequence of events that can be divided into four stages, and what are the four stages?

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All audits follow a sequence of events that can be divided into four stages to ensure that the audit is performed in a systematic, efficient, and effective manner.

The four stages are as follows:

Planning: The planning stage involves establishing the objectives and scope of the audit, identifying the areas that need to be examined, and developing a detailed plan for the audit.

This includes determining the resources needed for the audit, such as personnel, time, and budget, and communicating with the client to ensure that everyone involved in the audit is aware of the scope, objectives, and timing of the audit.

Fieldwork: The fieldwork stage involves gathering and examining evidence to support the audit findings.

This includes testing internal controls, reviewing transactions, and performing analytical procedures to evaluate the accuracy and completeness of financial statements or other information.

This stage also involves documenting the audit findings and assessing the risk of material misstatements.

Reporting: The reporting stage involves communicating the audit findings to the client and other stakeholders.

This includes preparing a report that summarizes the audit findings, identifies any weaknesses in internal controls, and makes recommendations for improvements.

The auditor also communicates the findings to the client's management, board of directors, and other stakeholders as appropriate.

Follow-up: The follow-up stage involves monitoring the implementation of the recommendations made in the audit report to ensure that they are being implemented and are achieving the desired results.

This includes re-testing internal controls and reviewing transactions to ensure that the recommendations are being followed and are resulting in the desired outcomes.

By following this sequence of events, auditors can ensure that audits are conducted in a thorough and systematic manner, and that the audit findings are reliable and accurate.

This helps to ensure that the information being audited is trustworthy, which is essential for making informed decisions.

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which of the following will not increase lras? multiple choice a.an increase in the price level b.an increase in the labor stock c.an increase in the capital stock
d.an improvement in technology

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An improvement in technology, option D, can increase the LRAS by enabling firms to produce more output with the same level of resources or produce the same output with fewer resources.

The LRAS or long-run aggregate supply curve represents the level of output that an economy can produce in the long run at a given price level. This curve is vertical in the long run as it is determined by the economy's potential output, which depends on the availability of resources and technology. Any factor that increases the potential output of an economy will shift the LRAS curve to the right, and vice versa. Therefore, an increase in the price level, option A, will not increase the LRAS, as it represents a movement along the curve, not a shift in it. On the other hand, options B, C, and D can increase the LRAS as they represent a shift in the curve. An increase in the labor stock, option B, can increase the LRAS if it leads to an increase in the economy's potential output.

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Which of the following is true of conducting your job search and finding an internship?
a.) You should begin your job search only when you are ready to find employment.
b.) The first step in finding an internship simply may be to contact your school's career services office.
c.) Internships provide very little opportunity to gain real-world and marketable skills.
d.) Networking on social media sites is not likely to help you find employment.
e.) Unlike paid internships, unpaid internships do not carry any value.

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The correct answer is b.) The first step in finding an internship simply may be to contact your school's career services office.

Option a.) is incorrect because it is always a good idea to keep your job search ongoing even if you are not currently ready to find employment. This way, you can stay up-to-date on job openings and gain more experience in the application and interview process.

Option c.) is also incorrect because internships can provide valuable real-world experience and marketable skills that can help you in your future career.

Option d.) is incorrect because networking on social media sites can actually be a great way to find job opportunities and connect with potential employers.

Option e.) is also incorrect because even though unpaid internships may not provide monetary compensation, they can still offer valuable experience and networking opportunities.

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The _____ organizational structure accommodates growth relatively easily.
Select one:
a. network
b. matrix
c. simple
d. divisional
e. functional

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The matrix organizational structure accommodates growth relatively easily.

The matrix organizational structure is designed to enable organizations to effectively manage complex and dynamic projects by bringing together employees from different functional areas to work together in teams. This structure allows for the efficient use of resources, expertise, and skills, making it well-suited for accommodating growth and change. The matrix structure enables organizations to respond quickly to market changes, customer demands, and technological advancements by aligning resources with specific projects or goals. This structure is particularly effective in situations where the organization needs to balance multiple priorities or manage diverse projects simultaneously. While other organizational structures, such as functional and divisional structures, can also accommodate growth, the matrix structure is uniquely designed to support complex projects and dynamic environments.

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an organization, institution, and/or agency that is rewarded with financial compensation for services rendered

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An organization, institution, or agency that is rewarded with financial compensation for services rendered is commonly referred to as a service provider or service-based entity.

Service providers are entities that offer specific services to individuals, businesses, or other organizations in exchange for monetary compensation. These services can encompass a wide range of industries and sectors, such as healthcare, consulting, education, transportation, and many others. Service providers can include hospitals, consulting firms, educational institutions, logistics companies, and various government agencies.

The financial compensation received by service providers is typically in the form of fees, charges, or payments for the services they deliver. The amount and structure of compensation may vary depending on factors such as the nature of the services, the market demand, and any contractual agreements in place. The primary objective of service providers is to deliver high-quality services that meet the needs and expectations of their clients or customers while also ensuring financial sustainability and profitability.

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he graph above shows the perfectly competitive market for hard candies in Country Alpha. In the graph the letters correspond to points, not areas. MPC denotes marginal private cost and MSB denotes marginal social benefit. (a) Using the labeling on the graph, identify the area representing each of the following at the market equilibrium. (i) The consumer surplus (ii) The producer surplus (b) Assume that the production of each unit of candy creates a negative externality equal to (ps-P2) Using the labeling on the graph, identify the socially optimal quantity. (c) Assume that the government imposes a per-unit tax of (ps-P,) to correct for the negative externality. Using the labeling on the graph, identify the area representing each of the following. (i) The consumer surplus (ii) The deadweight loss

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The graph above shows the perfectly competitive market for hard candies in Country Alpha:

Area representing each of the following at the market equilibrium is J-M-P3 and M-P1-P3The socially optimal quantity is q3.The consumer surplus is J-K-P5 and The deadweight loss is K-R-M.

Adam Smith and other economists held the view that a free mark et would eventually reach equilibrium. For instance, with the right incentive, a lack of any one good would result in a higher price overall, which would reduce demand and increase supply. If there was excess in any one market, the same thing would happen in reverse.

Economists of today point out that cartels or monopolistic businesses are able to artificially raise prices and maintain them there in order to make more money. The diamond industry is a classic illustration of a market in which there is a lot of demand but not enough supply because companies sell fewer diamonds to keep prices high.

(a) (i) The area J-M-P3 is the Consumer Surplus.

(ii) The area M-P1-P3 is the Producer Surplus.

(b) If a negative externality (P5-P2) is created, then the socially optimal quantity is q3.

(c) If the government imposes per unit tax of (P5-P2), then:

(i) The area J-K-P5 is the Consumer Surplus.

(ii) The area K-R-M is the Deadweight Loss.

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staffing issues can involve hiring new people with new skills, firing people with inappropriate or substandard skills, and/or training existing employees to learn new skills. T/F?

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True.

Staffing issues in an organization can indeed involve various actions related to the skills and capabilities of the workforce.

can include:

1. Hiring new people with new skills: When an organization faces a staffing need or skill gap, it may choose to hire new employees who possess the required skills and qualifications. This can be done through recruitment and selection processes to bring in fresh talent with specific skill sets.

2. Firing people with inappropriate or substandard skills: In certain situations, organizations may need to terminate the employment of individuals who do not meet the job requirements or whose performance falls below the expected standards. This could be due to reasons such as inadequate skills, incompetence, or failure to meet performance expectations.

3. Training existing employees to learn new skills: Instead of hiring new employees, organizations may choose to invest in training and development programs to enhance the skills of their existing workforce. Training initiatives can focus on equipping employees with new skills or updating their existing skills to meet the evolving needs of the organization.

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the maturity date of a note receivable:question 1 options:is the day of the first payment.is the day of the credit sale.is the day the note was signed.is the day the note is due to be repaid.

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The maturity date of a note receivable is the day the note is due to be repaid. This is the date on which the borrower must pay back the principal and any interest that has accrued on the loan.

It is important for lenders to keep track of the maturity date so that they can follow up with the borrower if the loan is not repaid on time. It represents the specific date when the borrower is obligated to repay the loan or fulfill the terms of the note, including any principal and interest payments. It is an important date for both the lender and the borrower as it determines the deadline for repayment. The maturity date is an important aspect of a note receivable as it determines the timeline for repayment and helps both the lender and borrower to manage their financial obligations.

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The following diagram represents the shipping process at a fulfillment center. During a shift, the number of items picked from the shelves by the Picking team must equal the number of items shipped by the Shipping team. The items are packed by two different teams (Packing Group A and Packing Group B) and these packing groups pack different percentages of the overall volume being shipped for the shift. Additionally, each group processes items at a different rate. Each employee works 8 hours in a shift.
Use the diagram and table to select the best answer to each of the questions below.
Shipping process:
Team % of Volume Items processed per person per hour
Picking 100% 150
Packing Group A 35% 105
Packing Group B 65% 70
Shipping 100% 175
How many employees should you assign to Picking in order to ship a total of 168,000 units for the shift?
a. 19
b. 50
c. 140
d. 150
e. 1120

Answers

To ship a total of 168,000 units for the shift, we need to ensure that the number of items picked equals the number of items shipped. The Picking team must pick 100% of the volume, which means they must pick 168,000 items.


To determine how many employees we should assign to Picking, we need to divide the total number of items that need to be picked (168,000) by the number of items each Picking employee can process per hour (150).
168,000 / 150 = 1120
Therefore, we need to assign 1120 employees to the Picking team in order to ship a total of 168,000 units for the shift.
The table show that in order to ship a total of 168,000 units for the shift, the Picking team must pick 100% of the volume, which is equal to 168,000 items. The table also shows that each Picking employee can process 150 items per hour. Therefore, to determine how many employees we need to assign to Picking, we need to divide the total number of items that need to be picked (168,000) by the number of items each Picking employee can process per hour (150).
168,000 / 150 = 1120
This means that we need to assign 1120 employees to the Picking team in order to ship a total of 168,000 units for the shift. It is important to note that this assumes that all employees work the full 8-hour shift and that there are no delays or issues in the picking, packing, or shipping process.

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What is revision?
A. the step in the writing process when you want to get the format set and put paragraphs in place
B. the step in the writing process when you determine your purpose and audience
C. the step in the writing process when you look closely at language mechanics, word usage, and sentence structure
D. the step in the writing process where you look at your work critically, asking yourself such as "will my goal be clear to readers?"

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Answer:

C. the step in the writing process when you look closely at language mechanics, word usage, and sentence structure.

Explanation:

Revision is the step in the writing process where you review, analyze, and make changes to improve the content, organization, and clarity of a written work. During revision, you look closely at language mechanics, word usage, and sentence structure to make sure your ideas are communicated effectively to your audience. This step also involves checking for coherence, consistency, and accuracy of the information presented.

In the accounting cycle, if the two totals of the trial balance are NOT equal, it could be due to the following type of error:
a. failure to record a transaction of post a transaction.
b. recording the same erroneous amount for both debit and credit parts of a transaction.
c. error in determining the account balances, such as a balance being incorrectly computed.
d. recording the same transaction more than once.

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However, one of the possible errors is recording the same erroneous amount for both debit and credit parts of a transaction. This mistake can cause the trial balance to be unbalanced, as the erroneous amount will affect both sides of the equation.

Other errors that may cause an imbalance in the trial balance include failure to record a transaction or post a transaction, recording the same transaction more than once, or errors in determining the account balances. It is important to identify and correct any errors in the trial balance to ensure accurate financial reporting and a successful accounting cycle.This type of error is called a transposition error, and it occurs when the same amount is recorded for both the debit and credit parts of a transaction, but in the wrong accounts. As a result, the transaction is recorded twice, once as a debit and once as a credit, which leads to an imbalance in the trial balance. The other options listed - a. failure to record a transaction or post a transaction, c. error in determining the account balances, and d. recording the same transaction more than once - can also cause an imbalance in the trial balance, but they would result in a different type of error.

For example, if a transaction is not recorded, there will be an imbalance in the trial balance because the transaction will be missing from the ledger accounts. If a transaction is recorded more than once, there will be an imbalance in the trial balance because the transaction will be recorded as both a debit and a credit, but with different amounts. If there is an error in determining the account balances, there will be an imbalance in the trial balance because the account balances will be incorrect.

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In the accounting cycle, if the two totals of the trial balance do not match, it could be due to several types of errors, namely failure to record a transaction, recording the same erroneous amount for debit and credit parts of a transaction, error in determining account balances, or recording the same transaction more than once.

In the accounting cycle, if the two totals of the trial balance are NOT equal, it could be due to several types of errors. These could include:

Failure to record a transaction or post a transaction. This means that a financial event that should have been entered into the accounting system was missed.Recording the same erroneous amount for both debit and credit parts of a transaction. This means that an error was made when entering the amounts in the accounting system, and the same incorrect amount was entered twice.Error in determining the account balances, such as a balance being incorrectly computed. This could happen if the amounts of transactions were not added up correctly, leading to an incorrect total balance.Recording the same transaction more than once. This is also called double booking. It means the same transaction was entered into the system more than once, which would inflate the account balance.

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to facilitate collection, some companies have customers send their payments to a _____, which is simply an address for receiving payments, instead of directly to the company's main address.

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To facilitate collection, some companies have customers send their payments to a lockbox. A lockbox is an address designated specifically for receiving payments. This address is typically managed by a third-party service provider or a bank.

When customers send their payments to the lockbox address, the service provider or bank collects and processes the payments on behalf of the company. This arrangement allows for efficient and centralized payment handling, streamlines the payment collection process, and minimizes delays in receiving and processing customer payments. By using a lockbox, companies can expedite cash flow, reduce manual handling of payments, and improve overall payment management and reconciliation processes.

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which of the following would cause shrinkage? multiple choice locating the store at an inaccessible location not automating the checkout process miscounting merchandise high employee turnover export tariffs

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Among the options provided, "miscounting merchandise" is the factor that would cause shrinkage.

Shrinkage refers to the loss of inventory or goods in a retail or manufacturing environment, typically caused by theft, damage, misplacement, or errors in inventory management. Miscounting merchandise, which involves inaccurately tracking or recording the quantity of inventory, can result in discrepancies between actual inventory and recorded inventory levels. These discrepancies can lead to shrinkage as the business may not be aware of the loss or may struggle to identify the cause.

The other options listed—locating the store at an inaccessible location, not automating the checkout process, high employee turnover, and export tariffs—are not directly related to shrinkage. They may have other effects on the business, such as impacting customer accessibility, operational efficiency, employee retention, or international trade, but they do not specifically contribute to inventory loss or shrinkage.


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Your opinion, which perspective is the better approach to regulating hate


speech: libertarian or communitarian? Explain why you believe this perspective


to be the better approach.

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The libertarian perspective emphasizes individual freedoms and limited government intervention.

From a libertarian standpoint, regulating hate speech may be seen as a violation of freedom of speech, which is protected under the principles of individual liberty. Libertarians argue that individuals should have the right to express their opinions, even if they are offensive or hateful, as long as they do not incite immediate violence or harm.

On the other hand, the communitarian perspective emphasizes the importance of community values and social cohesion. Communitarians believe that hate speech can undermine social harmony and create divisions within society. They argue that regulating hate speech is necessary to protect marginalized groups and maintain a respectful and inclusive public discourse. Communitarians prioritize the well-being and cohesion of the community over individual freedoms in certain circumstances.

The question of which perspective is the better approach to regulating hate speech is subjective and depends on one's values, beliefs, and the cultural context in which they exist. Both perspectives have their merits and potential drawbacks. Striking a balance between protecting individual freedoms and promoting a harmonious and inclusive society is a complex challenge, and different societies may adopt different approaches based on their unique circumstances and values.

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management decision making is based on a firm's financial health and stability which are shown on the ______.

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Management decision making is based on a firm's financial health and stability, which are shown on the financial statements.

Financial statements, such as the balance sheet, income statement, and cash flow statement, provide key information about a firm's financial health and stability. These statements summarize the financial transactions and performance of a company over a specific period.

The balance sheet presents a snapshot of a firm's financial position at a specific point in time, showing its assets, liabilities, and shareholders' equity. It provides insights into the company's liquidity, solvency, and overall financial strength.

The income statement displays the company's revenues, expenses, and net income (or loss) over a given period, allowing management to assess profitability and evaluate the company's ability to generate earnings.

The cash flow statement highlights the sources and uses of cash during a specific period, providing information on cash inflows and outflows from operating activities, investing activities, and financing activities. It helps management analyze the company's cash flow position and its ability to meet financial obligations.

These financial statements serve as critical tools for management decision making as they provide a comprehensive view of the firm's financial health, stability, and performance, enabling managers to make informed decisions regarding resource allocation, investment opportunities, financial planning, and strategic initiatives.

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Consider a town with 10,000 individuals. 4,000 of them earn annual income of $30,000; 5,000 people earn annual income of $80,000; and the remaining 1,000 people earn annual income of $500,000. Round your calculations to four decimal points. (a) What is the total income for the entire town? (b) Graph the city's Lorenz curve in comparison to the perfect equality Lorenz curve. (c) Find the town's Gini coefficient.

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To calculate the Gini coefficient, we would need the specific proportions of income earned by each income group in the town. Without this information, we cannot provide the exact Gini coefficient.

(a) To calculate the total income for the entire town, we multiply the number of individuals in each income group by their respective income and sum them up:

Total income = (4,000 x $30,000) + (5,000 x $80,000) + (1,000 x $500,000)

Total income = $120,000,000 + $400,000,000 + $500,000,000

Total income = $1,020,000,000

(b) The Lorenz curve represents the cumulative distribution of income in a population. In this case, we can plot the Lorenz curve for the town by calculating the cumulative proportions of the population and the cumulative proportions of income earned.

To graph the Lorenz curve, we need to calculate the cumulative proportion of the population (x-axis) and the cumulative proportion of income earned (y-axis) at each income level. The perfect equality Lorenz curve is a straight diagonal line.

(c) The Gini coefficient is a measure of income inequality. It is calculated by dividing the area between the Lorenz curve and the perfect equality line by the total area under the perfect equality line.

To find the town's Gini coefficient, we need to calculate the area between the Lorenz curve and the perfect equality line and divide it by the total area under the perfect equality line. The Gini coefficient ranges from 0 to 1, where 0 represents perfect equality and 1 represents maximum inequality. To calculate the Gini coefficient, we would need the specific proportions of income earned by each income group in the town. Without this information, we cannot provide the exact Gini coefficient.

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Calculate the contribution margin ratio, and apply this to determine sales dollars required to achieve a target profit of $12,500:Sales revenue per unit $50Variable cost per unit $25Contribution margin per unit A.Contribution margin ratio % B.Total fixed costs $10,000Break even in sales dollars C.

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The value of Margin of Contribution per Unit is = $25 , Ratio of Contribution Margin = 50% and Sales dollars needed to reach a target profit of $12,500 = $45,000; break-even in sales dollars = $20,000.

Next, calculate the contribution margin ratio (B) by dividing the contribution margin per unit ($25) by the sales revenue per unit ($50):

Contribution Margin Ratio (%) =

($25 / $50) * 100 = 50%.

Now, to determine the sales dollars required to achieve a target profit of $12,500, use the following formula:

(Total Fixed Costs + Target Profit) / Contribution Margin Ratio = Sales Dollars.

Plugging in the values:

($10,000 + $12,500) / 50% = $45,000.

So, to achieve a target profit of $12,500, you need sales revenue of $45,000.

For the break-even point in sales dollars (C), use the formula:

Total Fixed Costs / Contribution Margin Ratio.

Plugging in the values:

$10,000 / 50% = $20,000.

In summary:

A. Contribution Margin per Unit = $25

B. Contribution Margin Ratio = 50%

C. Break-even in Sales Dollars = $20,000

Sales dollars required to achieve a target profit of $12,500 = $45,000

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12. real gdp is nominal gdp a. plus depreciation. b. adjusted for changes in the price level. c. minus depreciation. d. minus taxes.

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The answer is, Real GDP is nominal GDP- b. adjusted for changes in the price level.

How to calculate it?

To calculate real GDP, you need to follow these steps:

1. Determine the nominal GDP, which is the market value of all final goods and services produced in a country during a specific period, measured in current prices.
2. Determine the price level or GDP deflator, which is an index that measures the average changes in prices of all goods and services included in the economy.
3. Divide the nominal GDP by the GDP deflator and multiply by 100 to obtain the real GDP, which reflects the value of goods and services in constant prices.

In this case, the correct answer is option (b) - adjusted for changes in the price level.

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A reverse stock splitoccurs when a company wants to increase the price of its common stock because the market hasn't recognized the improvements the company has made in achieving profitability.means the company exchanges fewer new shares in place of more older shares.eliminates any previous stock dividend.is more popular in bull markets than in bear markets.

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A reverse stock split occurs when a company wants to increase the price of its common stock because the market hasn't recognized the improvements the company has made in achieving profitability.

In a reverse stock split, the company exchanges fewer new shares in place of more older shares, effectively consolidating its outstanding shares. This process typically results in an increased share price without altering the overall market capitalization of the company.

Reverse stock splits are more popular in bull markets than in bear markets, as they can help improve the company's stock liquidity and attract investors who might have been hesitant to invest in a low-priced stock. Additionally, a higher stock price can improve the company's public image and potentially help meet the listing requirements of certain stock exchanges.

One important aspect to note is that a reverse stock split eliminates any previous stock dividend. This is because the company's total number of shares outstanding decreases, leading to a proportional decrease in the number of shares that qualify for dividend payments. The result is that shareholders may receive fewer dividends, although the overall value of their holdings remains unchanged.

In summary, a reverse stock split is a strategy used by companies to increase the price of their common stock by exchanging fewer new shares for more older shares. This can improve stock liquidity, attract investors, and enhance the company's public image. However, it also eliminates any previous stock dividend and is more popular in bull markets than in bear markets.

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