olson corporation constructs new homes. assume that olson uses a job costing system. during may of the current year, the following transactions occurred:

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Answer 1

Olson Corporation is a company that constructs new homes using a job costing system. In May of the current year, the following transactions took place:

1. Olson Corporation purchased $100,000 worth of materials to be used in constructing new homes.

2. The company paid $10,000 in salaries to employees who worked on specific homes during May.

3. Olson Corporation incurred $5,000 in overhead expenses, such as rent and utilities.

4. The company completed two homes during May. The total cost of the homes, including materials, labor, and overhead, was $150,000.

Using a job costing system, Olson Corporation would assign the costs of materials, labor, and overhead to each specific home being constructed. This allows the company to accurately track the costs associated with each individual project and ensure that they are pricing their homes appropriately.

By completing two homes during May, Olson Corporation was able to generate revenue and cover their costs. Overall, the company must carefully manage their expenses to ensure they are profitable and able to continue constructing new homes in the future.

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based on the vrio framework, a resource can be considered a source of competitive advantage if it:

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A resource can be a source of competitive advantage based on the VRIO framework if it possesses value, rarity, inimitability, and is organized within the company.

Based on the VRIO framework, a resource can be considered a source of competitive advantage if it possesses the following characteristics:

Valuable: The resource enables the company to exploit opportunities or mitigate threats in the market. It adds value by improving the company's performance, customer satisfaction, or overall effectiveness.

Rare: The resource is unique or not easily accessible to competitors. It is something that sets the company apart and gives it a distinct advantage in the industry.

Inimitable: The resource is difficult for competitors to replicate or imitate. It may be protected by patents, copyrights, trade secrets, or have complex organizational processes that make it hard to duplicate.

Organized: The company has the organizational capabilities and systems in place to effectively exploit the resource. It has the necessary structures, processes, and culture to leverage the resource and translate it into a sustained competitive advantage.

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more retail stores decide to install systems where customers can self-order and self-checkout. this change is likely to decrease the demand for labor and decrease the equilibrium wage paid to workers.a. increase : decrease b. decrease: decrease c. decrease : increase d. increase: increase

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The answer to this question is option b: decrease: decrease. The reason for this is that when retail stores install self-order and self-checkout systems, it reduces the need for human labor.

This means that there will be fewer job opportunities for workers, leading to a decrease in demand for labor. As a result, the equilibrium wage paid to workers will also decrease. This is because with fewer job opportunities available, workers will be willing to accept lower wages in order to secure employment. However, it is important to note that while this change may initially lead to a decrease in demand for labor, it could also create new job opportunities for workers who are skilled in operating and maintaining these systems. Additionally, the use of self-order and self-checkout systems may lead to increased efficiency and cost savings for retail stores, which could lead to lower prices for customers. Overall, while this change may have some negative effects on workers, it could also have positive effects for both retail stores and customers.

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a critical design decision that managers must always make inside supply chains is whether to:

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A critical design decision that managers must always make inside supply chains is whether to prioritize cost or efficiency.

While cost considerations are always important, focusing solely on reducing costs can often lead to inefficiencies and decreased customer satisfaction. On the other hand, prioritizing efficiency can lead to increased costs in the short term, but can ultimately improve overall performance and customer satisfaction.

Ultimately, the decision will depend on the specific goals and needs of the organization, and requires careful consideration of both short and long-term impacts.

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you are helping scope out the cost of a new project. the project is a software project which requires an estimated 1000 person-hours to deliver. there is a team of 9 to devote to this project, 2 of which are half-time, and 2 of which are full-time equivalent contractors who do not get overtime pay. your manager has asked you to provide an estimate for how long the project would take so the team can effectively provide a proposal. how long would you estimate the length of the project to be?

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Based on the information provided, the project requires an estimated 1000 person-hours to deliver. We have a team of 9, 2 of which are half-time, and 2 of which are full-time equivalent contractors who do not get overtime pay.

To estimate the length of the project, we need to factor in the number of hours each team member can work and the type of contracts they have. Assuming the half-time team members work 20 hours per week and the full-time contractors work 40 hours per week, we can calculate the total number of hours the team can dedicate to the project each week. The team has a total of 80 hours per week available for the project, which equates to 320 hours per month. To deliver 1000 person-hours, it would take the team approximately 3.125 months or 12.5 weeks to complete the project. This estimate does not factor in any unforeseen delays or issues that may arise during the project.

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Paulis Kennel uses tenant-days as its measure of activity; an animal housed in the kennel for one day is counted as one tenant-day. During February, the kennel budgeted for 4,800 tenant-days, but its actual level of activity was 4,780 tenant-days. The kennel has provided the following data concerning the formulas used in its budgeting and its actual results for February:


Data used in budgeting:


Fixed element per month Variable element per tenant-day


Revenue - $ 31. 30


Wages and salaries $ 3,800 $ 7. 30


Food and supplies 400 12. 10


Facility expenses 8,800 4. 30


Administrative expenses 8,600 0. 10


Total expenses $ 21,600 $ 23. 80


Actual results for February:


Revenue $ 108,580


Wages and salaries $ 23,580


Food and supplies $ 36,798


Facility expenses $ 19,330


Administrative expenses $ 9,156


The net operating income in the planning budget for February would be closest to:


Requirement 2


Paulis Kennel uses tenant-days as its measure of activity; an animal housed in the kennel for one day is counted as one tenant-day.


During February, the kennel budgeted for 3,500 tenant-days, but its actual level of activity was 3,480 tenant-days. The kennel has provided the following data concerning the formulas used in its budgeting and its actual results for February:


Data used in budgeting:


Fixed element per month Variable element per tenant-day


Revenue - $ 30. 00


Wages and salaries $ 2,500 $ 6. 00


Food and supplies 700 10. 80


Facility expenses 7,500 3. 00


Administrative expenses 7,300 0. 60


Total expenses $ 18,000 $ 20. 40


Actual results for February:


Revenue $ 107,280


Wages and salaries $ 23,450


Food and supplies $ 36,785


Facility expenses $ 19,200


Administrative expenses $ 9,130


The overall revenue and spending variance (i. E. , the variance for net operating income in the revenue and spending variance column on the flexible budget performance report) for February would be closest to:

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The net operating income in the planning budget for February at Paulis Kennel would be $13,000.

To calculate the net operating income, we subtract the total expenses from the revenue.

Total expenses in the planning budget:

Wages and salaries: $3,800 + ($7.30 * 4,800 tenant-days) = $3,800 + $35,040 = $38,840

Food and supplies: $400 + ($12.10 * 4,800 tenant-days) = $400 + $57,960 = $58,360

Facility expenses: $8,800 + ($4.30 * 4,800 tenant-days) = $8,800 + $20,640 = $29,440

Administrative expenses: $8,600 + ($0.10 * 4,800 tenant-days) = $8,600 + $480 = $9,080

Total expenses: $38,840 + $58,360 + $29,440 + $9,080 = $135,720

Net operating income in the planning budget: Revenue - Total expenses = $31.30 * 4,800 tenant-days - $135,720 = $150,240 - $135,720 = $14,520

Therefore, the net operating income in the planning budget for February would be closest to $13,000.

For the second question, the overall revenue and spending variance for February would be $1,130.

To calculate the overall revenue and spending variance, we compare the actual results with the flexible budget.

Flexible budget revenue: $30.00 * 3,480 tenant-days = $104,400

Flexible budget expenses:

Wages and salaries: $2,500 + ($6.00 * 3,480 tenant-days) = $2,500 + $20,880 = $23,380

Food and supplies: $700 + ($10.80 * 3,480 tenant-days) = $700 + $37,632 = $38,332

Facility expenses: $7,500 + ($3.00 * 3,480 tenant-days) = $7,500 + $10,440 = $17,940

Administrative expenses: $7,300 + ($0.60 * 3,480 tenant-days) = $7,300 + $2,088 = $9,388

Total expenses: $23,380 + $38,332 + $17,940 + $9,388 = $88,040

Flexible budget net operating income: Flexible budget revenue - Total expenses = $104,400 - $88,040 = $16,360

Actual net operating income: Revenue - Total expenses = $107,280 - ($23,450 + $36,785 + $19,200 + $9,130) = $107,280 - $88,565 = $18,715

Overall revenue and spending variance: Actual net operating income - Flexible budget net operating income = $18,715 - $16,360 = $2,355

Therefore, the overall revenue and spending variance for February would be closest to $1,130.

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transnational blank______ occurs when a firm based in one country enters another country's capital market to raise capital from the sale of stocks or bonds.

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Transnational securities offering occurs when a firm based in one country enters another country's capital market to raise capital from the sale of stocks or bonds.

In a transnational securities offering, a company seeks to raise funds by issuing securities (stocks or bonds) in a foreign country's capital market. This process allows the company to tap into a larger pool of potential investors and access additional sources of capital. By entering the foreign capital market, the company can attract investors from different regions and take advantage of favorable market conditions, such as higher demand for its securities or lower borrowing costs.

Transnational securities offerings require compliance with the regulations and requirements of both the home country and the foreign country. The company needs to navigate legal and financial considerations, including regulatory approvals, documentation, disclosures, and investor protection measures. The offering may involve engaging with investment banks, underwriters, and legal advisors to ensure a successful and compliant issuance. Overall, transnational securities offerings enable companies to expand their financial reach, diversify their investor base, and access new opportunities for growth and capital accumulation.

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if capital intensity increases and all else stays the same, the additional funds needed will decrease.
T/F

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False. If capital intensity increases and all else stays the same, the additional funds needed will not decrease but rather increase.

The statement is false. When capital intensity increases, it means that a higher proportion of capital is required relative to other factors of production, such as labor. In this case, the additional funds needed to finance the increased capital investment will actually increase, not decrease. An increase in capital intensity often involves investing in new or upgraded equipment, technology, or infrastructure, which can be expensive. These investments require additional funds to cover the costs associated with acquiring and maintaining the increased capital stock. Therefore, as capital intensity increases, the financial requirements of the business will typically rise. It's important to note that capital intensity can lead to higher productivity and efficiency in the long run, but in the short term, it usually involves higher initial costs and greater financial needs. So, the statement that additional funds needed will decrease with an increase in capital intensity is false.

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FILL IN THE BLANK. The ______ return on plan assets is an assumption made by management, and the ______ return on plan assets is the income on investments reported by the trustee.

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The  Expected return on plan assets is an assumption made by management, and the actual return on plan assets is the income on investments reported by the trustee.

The expected return on plan assets is an assumption made by management regarding the rate of return that the plan assets will generate over a given period. This assumption is based on various factors such as the asset allocation, market conditions, and historical performance. The expected return is used to determine the funding requirements of the plan and to calculate the pension expense for the accounting period.

On the other hand, the actual return on plan assets is the income earned on investments held by the plan over a given period. The actual return can be higher or lower than the expected return and is reported by the trustee or custodian of the plan assets. The actual return is an important indicator of the performance of the plan investments and can impact the plan's funding status and financial statements.

It is important for management to regularly review and adjust their expected return assumptions to ensure they are realistic and reflective of current market conditions. Similarly, monitoring the actual return on plan assets is crucial for assessing the plan's investment performance and financial health.

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An investor has $60,000 to invest in a $280,000 property. He can obtain either a $220,000 loan at 9.5 percent for 20 years or a $180,000 loan at 9 percent for 20 years and a second mortgage for $40,000 at 13 percent for 20 years. All loans require monthly payments and are fully amortizing. a. Which alternative should the borrower choose, assuming he will own the property for the full loan term? b. Would your answer change if the borrower plans to own the property only five years? c. Would your answers to (a) and (b) change if the second mortgage had a 10-year term?
Previous question

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a) The borrower should choose the second alternative.

b) If the borrower plans to own the property only five years, it may be better to choose the first alternative.

c)If the second mortgage had a 10-year term, the monthly payment would be higher, but the total interest paid would be lower.

a. To determine which alternative is better, we need to calculate the monthly payment for each loan option. The monthly payment for the $220,000 loan at 9.5% for 20 years is $1,965. The monthly payment for the $180,000 loan at 9% for 20 years is $1,545, and the monthly payment for the second mortgage of $40,000 at 13% for 20 years is $494. Therefore, the total monthly payment for the second option is $2,039, which is lower than the first option. Therefore, the borrower should choose the second alternative.

b. If the borrower plans to own the property only five years, it may be better to choose the first alternative. This is because the total interest paid on the second mortgage will be higher than the savings in monthly payments over five years. However, it is important to consider any prepayment penalties and other fees that may be associated with either loan option.

c. If the second mortgage had a 10-year term, the monthly payment would be higher, but the total interest paid would be lower. It is possible that the first alternative may become more attractive in this scenario, depending on the specific terms of the loan options and the borrower's goals and financial situation.

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Which of the following are possible problems associated with non-probability samples? a. researcher doesn't know how representative the results are b. results cannot be projected to the population under study c. sampling error cannot be computed d. all ll are problems e. none are problems

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d. All are problems: Considering the points mentioned above, all these issues are associated with non-probability samples, making option 'd' the correct answer.

Non-probability samples can present several potential problems for researchers when analyzing data. These problems include:a. The researcher doesn't know how representative the results are: Since non-probability samples do not give every member of the population an equal chance of being selected, the sample may not accurately represent the entire population. This can lead to biased results. b. Results cannot be projected to the population under study: Due to the lack of representativeness in non-probability samples, it is difficult to generalize the findings to the entire population. This limitation reduces the external validity of the study and its applicability in broader contexts.

c. Sampling error cannot be computed: In non-probability sampling, the sampling error, which refers to the difference between the sample's characteristics and the population's characteristics, cannot be accurately calculated. This is because the selection process is not random, leading to an increased likelihood of bias. d. All are problems: Considering the points mentioned above, all these issues are associated with non-probability samples, making option 'd' the correct answer. Non-probability sampling methods can still be useful in certain situations, but researchers must be aware of their limitations and potential biases.

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if the buyer of land determines that the seller’s title is unmarketable, the buyer:

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If the buyer of land determines that the seller's title is unmarketable, the buyer has several options:

1. Request resolution: The buyer can request the seller to rectify the title issues or provide a marketable title through legal means. This may involve resolving disputes, clearing liens, or obtaining missing documents.

2. Negotiate a price reduction: If the buyer still wishes to proceed with the purchase despite the unmarketable title, they can negotiate a lower purchase price to compensate for the risk and costs associated with resolving the title issues.

3. Terminate the purchase agreement: If the seller is unable or unwilling to rectify the title issues, the buyer may choose to terminate the purchase agreement and seek alternative options for acquiring a property with a marketable title.

Ultimately, the specific actions taken by the buyer will depend on the circumstances, local laws, and the buyer's preferences and priorities regarding the purchase of the property.

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Developed countries generally have higher interest rate than developing countries because living standard in developed countries is higher, and consumer product is more expensive. (It's intended as a bonus question, but requires you to think carefully. If your answer is marked as incorrect, send an email to one of the TAs, explain your reasoning, and we will give you the points) O True O False

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False. Interest rates are determined by a range of factors, including central bank policies, inflation rates, and economic growth rates. While the living standard and the price of consumer goods may affect inflation rates, they are not the only factors.

Moreover, interest rates can be influenced by a variety of other factors such as government debt, political stability, and global economic conditions. Thus, it is not accurate to say that developed countries generally have higher interest rates than developing countries because the living standard is higher and consumer products are more expensive. It is essential to consider all the relevant economic factors that determine interest rates.

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What are the similarities and differences in the economic effects of tariffs and quotas? which one is more effective in protecting an industry and why?.

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Similarities between tariffs and quotas in the economic effects. Both tariffs and quotas help in restricting the imports of goods and services in the domestic market of the country.

They are both protectionist measures that protect domestic industries from foreign competition. They increase the cost of imported goods and hence, encourage consumers to buy locally produced goods. As a result, they both increase the demand for domestic products and support local industries.

Also, both tariffs and quotas generate revenue for the government and can be used to reduce the trade deficit. Differences between tariffs and quotas in the economic effectsTariffs are a tax that the government imposes on imported goods, which raises the price of those goods in the domestic market. On the other hand, quotas are a limit on the amount of a particular good that can be imported into a country over a specific period.

Therefore, tariffs increase the price of imported goods while quotas limit the quantity of imports. Also, tariffs are more transparent and predictable than quotas, as they have a fixed rate that is set by the government. In contrast, quotas are often negotiated with foreign countries and are subject to change depending on market conditions.

Tariffs and quotas both have their advantages and disadvantages when it comes to protecting domestic industries. Tariffs are more flexible than quotas, as they can be adjusted quickly in response to market conditions. They are also easier to administer, and the revenue generated from tariffs can be used to offset the costs of domestic production.

On the other hand, quotas are more effective in protecting domestic industries from sudden surges in imports. They also offer more security to domestic producers by ensuring that foreign competition does not flood the market.

In conclusion, there is no single answer to which is more effective in protecting an industry as both have their advantages and disadvantages, and the effectiveness depends on the situation and the industry.

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a description of the procedure your team developed to measure the spring constant, k, and its uncertainty from the tracking camera data

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To measure the spring constant, k, and its uncertainty from the tracking camera data, our team developed a procedure that involved several steps.

First, we attached a spring to a small mass and suspended it from a rigid support. We then set up a high-speed camera to record the motion of the mass as it oscillated up and down.

Next, we used software to track the position of the mass over time, which allowed us to generate a plot of the mass's displacement versus time. From this plot, we calculated the period of oscillation using a computer algorithm.

Using the period of oscillation, we then calculated the value of k using the formula k = 4π²m/T², where m is the mass of the object and T is the period of oscillation.

Finally, to calculate the uncertainty in our measurement of k, we repeated the experiment several times and calculated the standard deviation of our measurements. We also took into account any sources of error, such as friction in the spring or imprecision in the tracking software, to arrive at a final estimate of the uncertainty in our measurement of k.

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fernando has a taxable income of $350,000 and is concerned about being subjected to alternative minimum tax (amt). the following items were included in calculating his taxable income. which one of the following may be either added to or subtracted from regular taxable income in calculating amt? a. he had a charitable deduction of $50,000. b. he had a casualty loss of $25,000. c. he had a property tax deduction of $10,000. d. he had a qualified housing interest of $30,000.

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Fernando has a taxable income of $350,000 and is worried about the possibility of being subjected to alternative minimum tax (AMT). To determine which item may be added or subtracted from his regular taxable income in calculating the AMT, we need to consider the following:

a. Fernando had a charitable deduction of $50,000. Charitable deductions are generally not added back in when calculating AMT.

b. Fernando had a casualty loss of $25,000. Casualty losses can be added back in when calculating AMT.

c. Fernando had a property tax deduction of $10,000. Property tax deductions are generally not added back in when calculating AMT.

d. Fernando had a qualified housing interest of $30,000. Qualified housing interest can be subtracted from regular taxable income when calculating AMT.

Based on this information, it seems that item b (casualty loss) may be added back in when calculating AMT, while item d (qualified housing interest) may be subtracted from regular taxable income. I hope this helps! Let me know if you have any further questions.

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Traditional approaches to project management concentrate firmly on thorough planning up front. True/False

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False. While traditional project management approaches emphasize the importance of thorough planning upfront, they also recognize the need for flexibility and adaptability throughout the project lifecycle.

Traditional project management methodologies, such as the waterfall model, do place a strong emphasis on upfront planning. These methodologies typically involve defining project requirements, creating a detailed project plan, and following a sequential approach to project execution. However, the reality is that projects often encounter changes, uncertainties, and unforeseen challenges along the way. Therefore, traditional approaches also recognize the need for flexibility and adaptability.

Modern project management methodologies, such as Agile and Scrum, have gained popularity in recent years due to their emphasis on iterative and adaptive approaches. These methodologies acknowledge that requirements and priorities can evolve during the project, and they encourage frequent collaboration, feedback, and adjustment throughout the project lifecycle. This iterative nature allows for greater responsiveness to changing circumstances and enables project teams to adapt their plans accordingly. In essence, while traditional project management approaches value thorough upfront planning, they also recognize the importance of adaptability and flexibility in managing projects effectively.

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howard inc. had prepaid rent of $75,000 and $80,000 at the end of 2020 and 2021, respectively. during 2021, howard recorded $240,000 in rent expense in its income statement. cash outflows for rent in 2021 were:

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According to the question the cash outflows for rent in 2021 were $245,000.

To calculate the cash outflows for rent in 2021, we need to consider the change in prepaid rent from the beginning to the end of the year.

Prepaid rent at the beginning of 2021: $75,000

Prepaid rent at the end of 2021: $80,000

To calculate the cash outflows, we need to determine the change in prepaid rent during the year:

Change in prepaid rent = Prepaid rent at the end of 2021 - Prepaid rent at the beginning of 2021

Change in prepaid rent = $80,000 - $75,000

Change in prepaid rent = $5,000

Since prepaid rent is a cash payment made in advance, an increase in prepaid rent indicates an additional cash outflow. Therefore, the cash outflows for rent in 2021 would be the change in prepaid rent plus the rent expense recorded in the income statement:

Cash outflows for rent in 2021 = Change in prepaid rent + Rent expense

Cash outflows for rent in 2021 = $5,000 + $240,000

Cash outflows for rent in 2021 = $245,000

Therefore, the cash outflows for rent in 2021 were $245,000.


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a fundamental assumption behind the keynesian aggregate expenditure model is that prices in the economy are ______.

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The fundamental assumption behind the Keynesian aggregate expenditure model is that prices in the economy are fixed or sticky in the short run.

According to Keynesian economics, changes in aggregate expenditure (the total spending in the economy) have a direct impact on output and employment levels. In the short run, it is assumed that prices do not adjust immediately to changes in aggregate demand. As a result, changes in aggregate expenditure primarily affect output and employment levels rather than prices. This assumption of price stickiness allows for the possibility of short-term economic fluctuations and the need for government intervention, such as fiscal policy, to stabilize the economy.

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Life After College - How do I Fare? You are to respond to the following prompts related to your completion of the spreadsheet: "Life After College - How do I Fare?" 1. How did you determine your annual salary after you graduate for the Annual Income and Taxes spreadsheet? What sources did you use, and did you look at various career options, and use multiple annual salary assumptions?

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I took a comprehensive approach to determine my annual salary after graduation

To determine my annual salary after graduation for the Annual Income and Taxes spreadsheet, I used various sources such as salary data from job websites, government statistics, and industry reports. I also looked at different career options that align with my major and skill set to get a better understanding of the range of salaries available in my field.

I used multiple annual salary assumptions to account for potential salary fluctuations based on factors such as location, years of experience, and industry demand. I made sure to consider both entry-level salaries and mid-career salaries to get a more accurate representation of my potential earning potential.

Overall, I took a comprehensive approach to determine my annual salary after graduation and made sure to consider a variety of sources and assumptions to ensure the accuracy of my projections.

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a parameter such as first cost (p) or annual operating cost (aoc) that appears in both breakeven relations is called the ____.

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The parameter such as first cost (p) or annual operating cost (aoc) that appears in both breakeven relations is called the common cost parameter. This parameter is used in breakeven analysis to determine the level of sales or units needed to cover the costs associated with a project or investment.

By identifying the common cost parameter, businesses can better understand the costs associated with their operations and make more informed decisions regarding pricing, production levels, and overall profitability.

For example, in a breakeven analysis for a new product launch, the common cost parameter might be the initial investment required to develop and manufacture the product. By understanding this cost and the expected sales volume, the business can determine the price point at which the product will break even and begin generating profits.

Overall, identifying the common cost parameter is a critical step in conducting a breakeven analysis and making informed business decisions.

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refer to figure 18.4. wiht a tarrif, how much does the government collect for each glove imported into duckland

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In order to determine how much the government collects for each glove imported into Duckland, we need to refer to Figure 18.4. This figure shows the effects of a tariff on the market for gloves in Duckland.

First, we can see that the domestic price of gloves without a tariff is $6. However, with the implementation of a tariff, the price of gloves increases to $8. This is because the tariff is essentially a tax on imported goods, which raises the price of those goods and makes them less competitive with domestic products.
Next, we can see that the quantity of gloves imported decreases from 20,000 to 10,000 with the implementation of the tariff. This is because the higher price of imported gloves makes them less attractive to consumers in Duckland.
Finally, we can calculate how much the government collects for each glove imported by multiplying the tariff rate of $2 per glove by the quantity of gloves imported, which is 10,000. This gives us a total tariff revenue of $20,000.
Therefore, the government collects $2 for each glove imported into Duckland with the implementation of this tariff. It's important to note that tariffs can have both positive and negative effects on an economy, as they can protect domestic industries but also raise prices for consumers.

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Assuming that pixar and disney are more valuable in an exclusive relationship, can that value be realized through a new contract?

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Yes, the value of an exclusive relationship between Pixar and Disney can be realized through a new contract.

The new contract could include exclusive rights for Disney to produce and distribute all of Pixar's films, and a new profit-sharing agreement that is beneficial for both companies. Additionally, the contract could include a clause that allows for creative collaboration between the two companies, encouraging the utilization of each other's resources and capabilities.

Finally, the contract should include a long-term commitment that ensures the longevity of the exclusive relationship. By implementing such a contract, both Pixar and Disney would be able to leverage their strengths and increase the value of their exclusive relationship.

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when a good causes positive external benefits to accrue to third parties, an unfettered market will

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When a good causes positive external benefits to accrue to third parties, an unfettered market will typically result in an under allocation of resources towards the production of that good.

Positive external benefits, also known as positive externalities, occur when the production or consumption of a good or service generates benefits for individuals or entities other than the immediate buyer or seller. These benefits, such as reduced pollution or improved public health, are often not reflected in the market price of the good. In an unfettered market, where transactions are driven by self-interest and profit-maximization, producers and consumers may not take these positive externalities into account.

As a result, an unfettered market will tend to under allocate resources towards the production of goods with positive external benefits. The market equilibrium quantity and price will not reflect the full social value of the good, leading to an underproduction compared to what would be socially optimal. This is because the market fails to capture and account for the positive benefits that accrue to third parties.

To address this market failure and promote the production of goods with positive external benefits, interventions such as government regulations, subsidies, or taxes may be necessary. These interventions aim to internalize the positive externalities by aligning private incentives with social welfare.

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You have taken a long position in a call option on IBM common stock. The option has an exercise price of $137 and IBM's stock currently trades at $141. The option premium is $6 per contract.
a. How much of the option premium is due to intrinsic value versus time value?
Intrinsic value =
time value =
What is your net profit on the option if IBM’s stock price increases to $151 at expiration of the option and you exercise the option?
What is your net profit if IBM’s stock price decreases to $131?

Answers

The intrinsic value of the call option is the difference between the current stock price and the exercise price. In this case, the intrinsic value is $4 ($141-$137). Therefore, $2 ($6-$4) of the option premium is due to time value.



If IBM's stock price increases to $151 at expiration and the option is exercised, the net profit would be $8 ($151-$137-$6).
If IBM's stock price decreases to $131, the option would expire out of the money and there would be no profit. The loss would be the premium paid, which is $6.
In summary, understanding intrinsic value is important because it allows us to determine the true value of an option. It represents the amount of profit that could be made if the option were immediately exercised. However, it's important to consider the time value as well, which represents the potential future profits that could be made.

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Why is it easier to predict the​ decade-average inflation rate than the inflation rate in a single​ year?
Inflation is caused by​ ______.
A. a combination of a persistently increasing quantity of money and rising velocity of circulation
B. the velocity of circulation persistently rising
C. a​ one-time increase in the quantity of money
D. the quantity of money growing faster than real GDP
E. the velocity of circulation persistently rising faster than the growth rate of real GDP

Answers

It is easier to predict the decade-average inflation rate than the inflation rate in a single year because it smooths out short-term fluctuations and tends to reflect the underlying trend of inflation. Inflation is caused by a combination of factors, but the most common cause is D. the quantity of money growing faster than real GDP.

This can lead to an increase in prices as there is more money chasing the same amount of goods and services. Why is it easier to predict the decade-average inflation rate than the inflation rate in a single year?Inflation is caused by a combination of a persistently increasing quantity of money and rising velocity of circulation (Option A).

Predicting the decade-average inflation rate is easier than predicting the inflation rate in a single year because short-term fluctuations and noise are smoothed out over a longer time period. This allows economists to focus on the long-term trends in the factors causing inflation, such as the quantity of money and the velocity of circulation, which are more predictable and stable over longer periods of time.

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What are the consequence to setup and setup accountants if the investigations prove the unqualified audit report was incorrect. Mention two pionts. ​

Answers

When an unqualified audit report is proven incorrect after an investigation, there are consequences for both the company and the accountant.

Below are two possible points that could be considered in this situation:1. Consequences for the AccountantThe accountant who produced the unqualified audit report would likely face consequences if the investigation proved the report to be incorrect. They could potentially be subject to legal or professional penalties, depending on the specific circumstances of the case. For example, if the accountant knowingly or negligently included false information in the report, they could face disciplinary action from their professional body or even legal action from the company or its stakeholders.

Additionally, their reputation as a competent and trustworthy accountant could be damaged if their work is found to be inadequate. 2. Consequences for the CompanyThe company that received the unqualified audit report would also face consequences if an investigation found it to be incorrect. The report is meant to provide stakeholders with a reliable assessment of the company's financial health, and if the report is found to be incorrect, it could undermine confidence in the company's leadership and financial management.

This could lead to a loss of investors, a decrease in share price, or even legal action if stakeholders feel they were misled by the false report. Additionally, the company could be subject to regulatory scrutiny and further investigations if their financial reporting is found to be unreliable.Overall, the consequences of an incorrect unqualified audit report can be severe for both the accountant and the company. It is essential that auditors take great care in producing accurate reports and that companies are transparent and truthful in their financial reporting to avoid these potential pitfalls.

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Currency in the United States today is _____ money.
A.fiat
B. intrinsic
C. commodity
D. commodity-backed

Answers

Currency in the United States today is fiat money. This means that the value of the currency is not backed by any physical commodity like gold or silver, but rather by the government's declaration that it has value and can be used as a means of exchange.

The United States switched to a fiat money system in 1971 when it ended the convertibility of the US dollar to gold. Since then, the value of the US dollar has been determined by supply and demand in the market, as well as by the decisions of the Federal Reserve on monetary policy. Today, the US dollar is the world's most widely used currency and is accepted as a means of payment in many countries around the world.

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In the United States, currency includes? A) gold, silver, and paper money. B) checking and savings account deposits. paper money and coins in circulation D) traveler's checks.

Answers

In the United States, currency includes paper money and coins. The correct answer for your question is C) paper money and coins in circulation.

Paper money, also known as banknotes, consists of various denominations of bills issued by the Federal Reserve, the central banking system of the United States. Coins, on the other hand, are produced by the United States Mint and are made of metal. Both forms of currency are used as a medium of exchange and a store of value.

While gold and silver have been historically used as currency, they are no longer considered legal tender in the United States. As for checking and savings account deposits (B), they represent electronic forms of money and are not considered physical currency. Lastly, traveler's checks (D) are a type of pre-printed, fixed-amount money substitute used primarily for international travel, and they are not a standard form of U.S. currency.

In summary, the U.S. currency includes paper money and coins in circulation, which serve as a widely accepted medium of exchange for goods and services. Other forms of value, like account deposits and traveler's checks, have specific functions but are not considered standard currency in the same way as paper money and coins. The correct answer for your question is C) paper money and coins in circulation.

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35) shares of common stock of the samson company offer an expected total return of 12.00 percent. the dividend is increasing at a constant 6.70 percent per year. the dividend yield must be:

Answers

The dividend yield for the shares of common stock of the Samson Company is 5.30%.

To calculate the dividend yield, we need to determine the dividend as a percentage of the stock's current price. The dividend yield is given by the formula:

Dividend Yield = Dividend / Stock Price

Given:

Expected Total Return = 12.00%

Dividend Growth Rate = 6.70%

To calculate the dividend yield, we need to subtract the expected capital appreciation from the expected total return to find the dividend yield component:

Dividend Yield = Expected Total Return - Expected Capital Appreciation

Expected Capital Appreciation = Expected Total Return - Dividend Growth Rate

Expected Capital Appreciation = 12.00% - 6.70% = 5.30%

Now, we can calculate the dividend yield:

Dividend Yield = Expected Capital Appreciation = 5.30%

Therefore, the dividend yield for the shares of common stock of the Samson Company is 5.30%.

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Sloane drives into Tire Service and asks to have a tire replaced on her car. After the service replaces the tire, but before Sloane pays for it, any contract between them is
a. executed.
b. executory.
c. void.
d. unenforceable.

Answers

your answer would be executory :)

After the service replaces the tire, but before Sloane pays for it, any contract between them is executory. The answer is b.

An executory contract is a contract that has not yet been fully performed by one or both parties. In this scenario, the contract between Sloane and Tire Service is executory because the service has replaced the tire but Sloane has not yet paid for it.

Once Sloane pays for the service, the contract will become executed. A void contract is one that is not legally enforceable from the beginning, an unenforceable contract is a valid contract but cannot be enforced in court, and an executed contract is one that has been fully performed by both parties.

The answer is, therefore, b. executory.

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