Corporation manufactures and sells 50-inch television sets and uses standard costing. Actual data relating to January, February, and March 2017 are as follows: The selling price per unit is $3,300. The budgeted level of production used to calculate the budgeted fixed manufacturing cost per unit is 1,500 units. There are no price, efficiency, or spending variances. Any -production-volume variance is written off to cost of goods sold in the month in which it occurs. 1. Prepare income statements for EntertainMe in January, February, and March 2017 under (a) variable costing and (b) absorption costing. 2. Explain the difference in operating income for January, February, and March under variable costing and absorption costing.

Answers

Answer 1

(a) Variable Costing Income Statements:

January 2017:

Sales Revenue: (2,000 units x $3,300) = $6,600,000

Variable Cost of Goods Sold: (2,000 units x $2,400) = $4,800,000

Variable Selling and Administrative Expenses: (2,000 units x $200) = $400,000

Contribution Margin: $1,400,000

Fixed Manufacturing Costs: $750,000

Fixed Selling and Administrative Expenses: $300,000

Operating Income: $350,000

February 2017:

Sales Revenue: (2,500 units x $3,300) = $8,250,000

Variable Cost of Goods Sold: (2,500 units x $2,400) = $6,000,000

Variable Selling and Administrative Expenses: (2,500 units x $200) = $500,000

Contribution Margin: $1,750,000

Fixed Manufacturing Costs: $750,000

Fixed Selling and Administrative Expenses: $300,000

Operating Income: $700,000

March 2017:

Sales Revenue: (1,500 units x $3,300) = $4,950,000

Variable Cost of Goods Sold: (1,500 units x $2,400) = $3,600,000

Variable Selling and Administrative Expenses: (1,500 units x $200) = $300,000

Contribution Margin: $1,050,000

Fixed Manufacturing Costs: $750,000

Fixed Selling and Administrative Expenses: $300,000

Operating Income: $0

(b) Absorption Costing Income Statements:

January 2017:

Sales Revenue: (2,000 units x $3,300) = $6,600,000

Cost of Goods Sold:

Variable Costs: (2,000 units x $2,400) = $4,800,000

Fixed Manufacturing Costs: (2,000 units x ($500,000 ÷ 1,500 units)) = $666,667

Total Cost of Goods Sold: $5,466,667

Gross Profit: $1,133,333

Selling and Administrative Expenses: $700,000

Operating Income: $433,333

February 2017:

Sales Revenue: (2,500 units x $3,300) = $8,250,000

Cost of Goods Sold:

Variable Costs: (2,500 units x $2,400) = $6,000,000

Fixed Manufacturing Costs: (2,500 units x ($500,000 ÷ 1,500 units)) = $833,333

Total Cost of Goods Sold: $6,833,333

Gross Profit: $1,416,667

Selling and Administrative Expenses: $700,000

Operating Income: $716,667

March 2017:

Sales Revenue: (1,500 units x $3,300) = $4,950,000

Cost of Goods Sold:

Variable Costs: (1,500 units x $2,400) = $3,600,000

Fixed Manufacturing Costs: (1,500 units x ($500,000 ÷ 1,500 units)) = $500,000

Total Cost of Goods Sold: $4,100,000

Gross Profit: $850,000

Selling and Administrative Expenses: $700,000

Operating Income: $150,000

The difference in operating income for January, February, and March between variable costing and absorption costing is due to the treatment of fixed manufacturing overhead costs. Variable costing treats fixed manufacturing overhead as a

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Related Questions

property insurance that provides $100,000 coverage for a building and $50,000 coverage for personal property at a single location is called

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The property insurance that provides $100,000 coverage for a building and $50,000 coverage for personal property at a single location is called Commercial Property Insurance.

Commercial Property Insurance is a type of insurance policy that covers property damage and loss caused by various risks such as fire, theft, and natural disasters. This policy provides coverage for buildings, personal property, and business equipment at a single location.

The coverage limit varies based on the insurance company and policy terms, but typically, commercial property insurance covers the replacement cost of damaged or lost property up to the policy limit.

It is important for businesses to have commercial property insurance to protect their assets and ensure they can recover financially in case of property damage or loss.

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Debt Instruments that are sold as long-term debt for issuers but are considered short-term investments for investors due to the resale of the securities every few weeks are called: A,Federal agency bonds B. Structured notes
C. Auction rate securities D. Exchange-traded notes

Answers

Auction rate securities are financial instruments that are offered to investors as short-term investments despite being issued to issuers as long-term debt. This is because the securities are resold every few weeks.

What categories of long-term debt instruments exist?

Long-term debt instruments, such as debentures, bonds, long-term loans from financial institutions, and GDRs from overseas investors, are separated from short-term debt instruments, such as working capital loans and short-term loans from financial instruments.

What exactly is debt instrument investment?

A debt instrument is a resource that people, businesses, and governments can utilise to raise money or provide investment income. In exchange for interest payments at regular periods, investors provide issuers of fixed-income assets a lump sum.

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ivit has been given the task of calculating the predetermined overhead rate for Eden Enterprises. In order to calculate the rate, Divit must know A, the actual overhead costs for the period and the actual quantity of the overhead allocation base. B. the actual overhead costs for the period and the estimated quantity of the overhead allocation base. C· the estimated overhead costs for the period and the actual quantity of the overhead allocation base.
D. the estimated overhead costs for the period and the estimated quantity of the overhead allocation base.

Answers

To calculate the predetermined overhead rate for Eden Enterprises, Divit must know the estimated overhead costs for the period and the estimated quantity of the overhead allocation base. The correct option is D

The predetermined overhead rate is determined by dividing the estimated overhead costs by the estimated quantity of the overhead allocation base.

This rate is used to allocate overhead costs to products or services, based on the chosen allocation base (such as direct labor hours or machine hours).

By using estimated values, the predetermined overhead rate helps companies establish a consistent rate for allocating overhead throughout the accounting period, rather than dealing with fluctuations in actual overhead costs and allocation base quantities.

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Anita currently has 25 years of service and an average annual salary of $37,000 over her last 5 years of employment. She was looking forward to retirement but has been offered a promotion. If she continues to work for 5 more years and increases her average annual salary to $47,000, how will her monthly pension benefit change according to the typical pension benefit formula as described in this chapter? If Anita's plan is similar to most pension plans, how will it adjust for inflation?

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The typical pension benefit formula is based on a combination of years of service and the average annual salary earned over the last few years of employment. Based on the information given, Anita currently has 25 years of service and an average annual salary of $37,000 over her last 5 years of employment.

If she continues to work for 5 more years and increases her average annual salary to $47,000, her pension benefit will likely increase because her average annual salary over the last 5 years of employment has increased. The exact calculation will depend on the specific formula used by her pension plan. However, in general, the formula would take into account the number of years of service and the average annual salary earned over those years, with the goal of providing a retirement income that replaces a certain percentage of pre-retirement income.

As for inflation, many pension plans offer cost-of-living adjustments (COLAs) to help retirees keep up with inflation. A COLA is a periodic adjustment to a retiree's pension benefit that is designed to help the retiree maintain their purchasing power in the face of rising prices. The exact amount and frequency of COLAs will depend on the specific pension plan, but they are typically based on an inflation index such as the Consumer Price Index (CPI).

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An analysis of the relationship between the sales volume and accounting profitability is called _____ analysis.
forecasting
scenario
sensitivity
simulation
break-even

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Break-even analysis examines the connection between sales volume and accounting profitability.

It is a financial tool used to determine the point at which a business's total revenue equals its total costs, resulting in neither a profit nor a loss. Break-even analysis is useful for businesses to determine the minimum sales volume needed to cover all their expenses and start earning a profit. It can also help businesses to evaluate different scenarios, such as the impact of changing prices or costs, on their profitability.

In addition, break-even analysis is used to determine the sensitivity of the business's profitability to changes in sales volume, helping businesses to make informed decisions about pricing, marketing strategies, and cost-cutting measures.

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In a suit against Corbin, Donatella obtains damages. This is
A. An order to do or to refrain from doing a particular act
B. An order to perform what was promised
C. A payment of money or property is compensation
D. The cancellation of a contract

Answers

In a suit against Corbin, Donatella obtains damages. This is a payment of money or property as compensation. Option C) "A payment of money or property is compensation" is answer.

Obtaining damages typically refers to a monetary award that is meant to compensate the plaintiff for losses suffered as a result of the defendant's actions. This is a common outcome in civil lawsuits where the plaintiff seeks to recover financial losses or other damages suffered as a result of the defendant's behavior.

Thus, option C is the correct answer.

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3. why is it usually more difficult to determine the cost of lost sales for finished goods than it is for raw materials inventories?

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The cost of lost sales for finished goods is usually more difficult to determine than it is for raw materials inventories because finished goods have already gone through the production process and have a higher value than raw materials.

It is usually more difficult to determine the cost of lost sales for finished goods than it is for raw materials inventories due to several reasons.

1. Complexity of the finished goods: Finished goods are typically made up of multiple raw materials, making their cost structure more complicated than that of raw materials inventories. Calculating the cost of lost sales for finished goods requires accounting for the costs of all raw materials and their associated production processes.

2. Variability in demand: Demand for finished goods is often more variable than that for raw materials, as it is influenced by factors such as consumer preferences, seasonal fluctuations, and market competition. This makes it challenging to accurately estimate the cost of lost sales for finished goods.

3. Pricing strategies: The pricing of finished goods can include various factors such as branding, product features, and perceived value, making it more complex than pricing raw materials. This complexity makes it harder to determine the cost of lost sales for finished goods.

4. Value addition: Finished goods have added value through production processes like assembly, packaging, and branding, which do not apply to raw materials. These value-added components further complicate the determination of the cost of lost sales for finished goods.

In summary, the cost of lost sales for finished goods is more difficult to determine than for raw materials inventories due to the complexity of finished goods, variability in demand, pricing strategies, and value addition from production processes.

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Suppose the banking system currently has $300 billion in reserves; the reserve requirement is 10 percent; and excess reserves amount to $3 billion. What is the level of deposits?
a. $3,300 billion
b. $2,970 billion
c. $2,700 billion
d. $2,673 billion

Answers

Therefore, the closest option is c. $2,700 billion.
Based on the information provided, the level of deposits can be calculated using the reserve requirement and total reserves.

The correct answer is c. $2,700 billion.
To find the level of deposits, we need to use the money multiplier formula:
Money Multiplier = 1 / Reserve Requirement
= 1 / 0.1
= 10
Then, we can calculate the total deposits as:
Total Deposits = Money Multiplier x Reserves
= 10 x $300 billion
= $3,000 billion
Since excess reserves are $3 billion, the actual level of deposits would be:
Actual Deposits = Total Deposits - Excess Reserves
= $3,000 billion - $3 billion
= $2,997 billion


1. Total reserves = required reserves + excess reserves
2. Required reserves = total reserves - excess reserves
3. Deposits = required reserves / reserve requirement

Given:
Total reserves = $300 billion
Excess reserves = $3 billion
Reserve requirement = 10% (0.1)
Calculations:
Required reserves = $300 billion - $3 billion = $297 billion
Deposits = $297 billion / 0.1 = $2,970 billion
Your answer: b. $2,970 billion.

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an effective performance review should be linked to organizational goals. group of answer choices true false

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True. An effective performance review should be linked to organizational goals in order to ensure that employees are aligned with the overall direction and priorities of the company.

By connecting individual performance to the achievement of organizational goals, employees are more likely to understand how their work contributes to the success of the company and are motivated to perform at their best. This also helps to ensure that resources and efforts are focused on achieving the most important priorities of the organization.


True. An effective performance review should be linked to organizational goals, as this alignment ensures that individual performance contributes to the overall success of the organization.

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An unregulated natural monopoly packages Alaskan moss, a unique health product that has no substitutes. Price and cost (cents

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The unregulated natural monopoly will charge a price above its marginal cost, leading to a deadweight loss and reduced consumer surplus.

As a natural monopoly, the firm will have lower average costs as it produces at a larger scale. Without regulation, the firm will charge a price above its marginal cost, leading to a deadweight loss and reduced consumer surplus.

In the case of Alaskan moss, consumers have no substitutes, so they will be willing to pay a higher price, allowing the monopoly to charge a higher price without losing customers. This will result in a reduced quantity demanded and consumer surplus. Regulation through price controls or other methods can mitigate this issue.

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The unregulated natural monopoly will charge a price above its marginal cost, leading to a deadweight loss and reduced consumer surplus.

As a natural monopoly, the firm will have lower average costs as it produces at a larger scale. Without regulation, the firm will charge a price above its marginal cost, leading to a deadweight loss and reduced consumer surplus.

In the case of Alaskan moss, consumers have no substitutes, so they will be willing to pay a higher price, allowing the monopoly to charge a higher price without losing customers. This will result in a reduced quantity demanded and consumer surplus. Regulation through price controls or other methods can mitigate this issue.

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Ordered the following inventory on account from Velocity Sporting Goods, using purchase order No. 328 (Doc. No. 16). Units Item # Description 115 BB-019 Basketball pole pad 125 BB-538 Basketball bag 75 BB-431 Whistle and lanyard - set of 6 50 BB-399 Basketball net 100 FB-027 Shoulder pad set (to cover back order and inventory restock) Vendor address: 1285 Colgrove Ave., Pierre, SD 57501 Freight carrier: Interstate Motor Freight Freight charges: FOB shipping point (i.e., will be paid later by Waren) Allowances: None PRICE LISTS CURRENT AS OF DECEMBER 1, 2022 VELOCITY SPORTING GOODS Item No. Description Cost Selling Price $ 219.00 65.00 68.00 97.00 Baseball items: BA-054 BA-158 BA-199 BA-281 BA-445 BA-507 BA-667 BA-694 BA-807 BA-859 71.00 Premium aluminum bat Baseballs - 12 game balls Fielding glove 60 lb. dry line marker Catcher's mask Baseball equipment bag Ball bucket with seat - set of 3 Batting gloves - 1 pair Pitching machine Set of bases $ 139.00 42.00 46.00 65.00 48.00 27.00 23.00 24.00 164.00 111.00 38.00 30.00 33.00 239.00 174.00 Basketball items: BB-008 BB-019 BB-113 BB-267 BB-358 BB-399 BB-431 BB-538 BB-688 BB-926 Basketball Basketball pole pad Scoreboard and timer Goal and rim set Backboard Basketball net Whistle and lanyard - set of 6 Basketball bag Portable inflation pump Trainer's first aid kit 25.00 94.00 258.00 95.00 83.00 10.00 25.00 26.00 69.00 30.00 35.00 135.00 400.00 140.00 123.00 16.00 32.00 41.00 107.00 42.00 Football items: FB-027 FB-091 FB-225 FB-344 FB-513 FB-573 FB-650 FB-812 FB-874 FB-952 Shoulder pad set Hip, tail, arm pad set Football helmet Football Portable storage locker Kicking tees - set of 6 Football post pad Collapsible cones - set of 8 Sideline repair kit Portable hand warmer 89.00 39.00 55.00 21.00 135.00 16.00 96.00 27.00 83.00 26.00 133.00 58.00 89.00 29.00 223.00 24.00 144.00 37.00 122.00 41.00 Tran# Source Documents JE Ledgers (Fill in here and in the workbook) AR subsidiary ledge: (Rosemont) Dr. $16,170 1 Journals (Fill in here and workbook) Sales Journal: 12/16 Rosemount U: Dr. AR G/L $16,170 Cr: sales $16,170 -Doc #5: Bill of lading 6890BR -#6: Sale invoice # 731 Dr. AR Rosemount $16,170 CR. Sale $16,170 2 #9 cash receipts prelist Cash Journal: 12/16 Branch College: Dr: Cash$1622.88 Dr: Discount allowed $33.12 Cr: AR G/L $1656.00 AR subsidiary ledger: (Branch college) Cr:$1656.00 Dr: Cash $1622.88 Dr: Discount allowed $33.12 Cr: AR Branch $1656.00 3 #16 purchase order No.328

Answers

Based on the information provided, you ordered various sporting goods inventory on account from Velocity Sporting Goods using purchase order No. 328.

The inventory included basketball, football, and baseball items with different quantities and descriptions. The cost and selling price of each item are listed on the price list as of December 1, 2022. The freight carrier was Interstate Motor Freight, and the freight charges were FOB shipping point. There were no allowances given. The total cost of the inventory was $16,170.

To record the transaction, you would need to create a journal entry in the sales journal to credit sales and debit accounts receivable for $16,170. You would also need to create a cash journal entry to debit cash and discount allowed and credit accounts receivable for $1,656. Finally, the purchase order No. 328 would be recorded in the journals. It's worth noting that Velocity Sporting Goods offers a variety of sporting items at a discounted price.

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a. Country A and Country B have the same exact fundamentals, but Country A is twice as rich as Country B. Which country would you expect to have higher growth in short run? How will their growth rates compare in the long run? Explain your answers in no more than 5 sentences. (5 marks) b. Explain the concept of Moral Restraint in the context of Malthus model in no more than 5 sentences. (5 marks)

Answers

a. In the short run, we would expect Country A to have higher growth than Country B because it has more resources and capital to invest in production and consumption.

However, in the long run, their growth rates may converge as Country B has the potential to catch up to Country A by investing in education and infrastructure to improve its human capital and productivity.

This is supported by the Solow-Swan growth model, which suggests that countries with lower levels of capital accumulation have higher potential for growth.

b. Moral restraint is a concept in Malthusian theory that suggests individuals and societies should practice self-control and limit their reproductive behavior to avoid the negative consequences of population growth, such as food shortages and poverty.

Malthus argued that population growth would always outstrip the capacity of resources to support it, leading to a "Malthusian trap" of famine and misery.

Moral restraint was seen as a solution to this problem, as it would help limit population growth and prevent the trap from being triggered. However, this concept has been criticized for its pessimistic assumptions about human nature and its failure to account for technological progress and innovation.

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Jeffs Corporation is developing direct labor standards. The basic direct labor wage rate is $14.00 per hour. Employment taxes are 11% of the basic wage rate. Fringe benefits are $3.24 per direct labor-hour. The standard rate per direct labor-hour should be: A. $14.00 B. $9.22 C. $4.78 D. $18.78

Answers

The standard rate per direct labor-hour should be  $18.78. So, the correct option is option D. $18.78

To calculate the standard rate per direct labor-hour for Jeffs Corporation, we need to consider the basic wage rate, employment taxes, and fringe benefits.

1. Basic direct labor wage rate: $14.00 per hour
2. Employment taxes: 11% of the basic wage rate, which is 0.11 * $14.00 = $1.54
3. Fringe benefits: $3.24 per direct labor-hour

Now, we can add these three amounts to find the standard rate per direct labor-hour:

$14.00 (basic wage rate) + $1.54 (employment taxes) + $3.24 (fringe benefits) = $18.78

So, the standard rate per direct labor-hour for Jeffs Corporation should be D. $18.78.

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When a lender refuses to make a loan, although borrowers are willing to pay the stated interest rate or even a higher rate, it is said to engage in ________.
A) constrained lending
B) strategic refusal
C) credit rationing
D) collusive behavior

Answers

When a lender refuses to make a loan , although borrowers are willing to pay the stated interest rate or even a higher rate, it is said to engage in  credit rationing

Credit rationing occurs when a lender engages in constrained lending  by refusing to make loans to borrowers who are willing to pay the stated interest rate or even a higher rate. This behavior is different from strategic refusal , which is a deliberate choice to not lend for specific reasons, and collusive  behavior, which involves collaboration between parties to gain.

This strategy directs credit away from the least desirable sectors and towards the more desirable ones. For instance: To increase the flow of credit in rural areas and to boost activity in the agricultural sector, the central bank raised the maximum ceiling on that sector an unfair advantage.

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Ripley Company was organized on January 1. During the first year of operations, the following plant asset expenditures and receipts were recorded in random order.
Debits:
1. Cost of filling and grading the land $6,540.
2. Full payment to building contractor 787,790.
3. Real estate taxes on land paid for the current year 5,590.
4. Cost of real estate purchased as a plant site (land $110,060 and building $48,230) 158,290.
5. Excavation costs for new building 36,120.
6. Architect's fees on building plans 10,110.
7. Accrued real estate taxes paid at time of purchase of real estate 2,400.
8. Cost of parking lots and driveways 14,540.
9. Cost of demolishing building to make land suitable for construction of new building 15,410 $1,036,790.
Credits:
10. Proceeds from salvage of demolished building $3,570.
Analyze the foregoing transactions using the column headings: Item, Land, Buildings, Other, and Accounts.

Answers

The accounting technique, we should account for all values expenses incurred or anticipated during construction and leave the property suitable for use. We should presume that the structure is still being built as there is no sign that the construction is finished.

We should write off and acknowledge the loss as well as the demolition price as we demolish the old building. The cost of the period is the property taxes following the purchase. Prior to that, paying taxes was a requirement to buy the land.

The $12,000 in credits from the building's sale earnings is used to offset the total value of the land account. Item Account Number

1: Land Building Amounts $255,000

2: Fence installation costs range from $25,00 to $6,800.

3: Excavation costs of $31,000,

4: depression of assets $ 23456.

5: $3,170 in accumulated real estate taxes were incurred.

6: Parking lots and driveways total $29,000

7: $33,000 - Architect's expenses

8: $6,400 - Current-year real estate taxes

9: $640,000- Payment 10 to the building contractor

10: ($12,000) -- Salvage-related earnings

In conclusion, there is a total debt of $341,370 on the Land account and a total debit of $698,000 on the Building account.

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If total spending is just sufficient to purchase an economy's output, then the economy is:
a. In equilibrium.
b. In recession.
c. In debt.
d. In expansion.

Answers

When total spending is just sufficient to purchase an economy's output, then the economy is: a. In equilibrium.

It means that the demand and supply of goods and services balance each other out and the economy is in equilibrium. This means that the economy is neither in recession nor in expansion, but is operating at a stable level. In such a situation, the aggregate output of the economy is at its potential and businesses are meeting the needs of their customers and making the necessary profits.

This is a situation of balance, where no one is making large gains or losses, and where the market is functioning efficiently. In other words, when total spending is just enough to purchase an economy's output, it indicates that the economy is in equilibrium.

Therefore, correct option is A.

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: what is relationship between market segmentation and target marketing? give some examples of market segments that you are personally in.

Answers

Market segmentation is the process of dividing a larger market into smaller groups of consumers who have similar needs, interests. Target marketing involves selecting one or more of these market segments to focus on and developing specific marketing strategies to satisfy the needs of consumers.

For example, a company selling skincare products may segment the market into groups based on age, skin type, and gender. They may then target the segment of women over 40 with dry skin by creating marketing campaigns that focus on anti-aging and moisturizing benefits.

Another example could be a car company segmenting the market based on income, age, and lifestyle, and then targeting the segment of younger, urban professionals with fuel-efficient and tech-savvy cars.

Market segmentation and target marketing helps companies tailor their products, services, and marketing messages to specific groups of consumers, which can result in more effective and efficient marketing efforts.

By understanding the unique needs and preferences of different segments, companies can create products and messages that resonate with consumers and drive sales.

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reflects the brand-related perceptions and beliefs held by the buyers a. brand meaning b. brand attributes c. brand identity d. brand elements e. brand positioning

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The term that best reflects the brand-related perceptions and beliefs held by buyers is "brand meaning." The correct answer is  A.

Brand meaning refers to the overall perception and understanding of a brand by its target audience. It encompasses the emotions, thoughts, and associations that people have when they think of a brand. Brand attributes are the specific characteristics that are associated with a brand, such as quality, reliability, and innovation. Brand identity refers to the visual and communicative elements that make up a brand, including logos, slogans, and packaging. Brand elements are the different components of a brand, such as its name, logo, and packaging. Brand positioning is the process of positioning a brand in the minds of consumers relative to its competitors.All of these concepts are important in creating a strong brand, but ultimately, it is the brand meaning that reflects the perceptions and beliefs held by buyers. This is because brand meaning encompasses not only the specific attributes and elements of a brand, but also the overall emotional and psychological associations that people have with it. A successful brand meaning will communicate a clear and consistent message that resonates with the target audience, creating a strong connection and loyalty between the brand and its buyers.

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Rudy Corporation is looking to purchase a building costing $430,000 by paying $65,000 cash on the purchase date, and agreeing to make annual payments for the next seven years. The first payment is due one year after the purchase date. Rudy's incremental borrowing rate is 8%. Each of the annual payments is closest to
a) 82,591
b) 52,143
c) 60,820
d) 70,106

Answers

The Payment amount is (c) $60,820. Rudy Corporation is looking to purchase a building for $430,000 with a $65,000 down payment, followed by annual payments for the next seven years. To find the closest annual payment amount, we need to determine the present value of the remaining balance and then calculate the annual payments using the given incremental borrowing rate of 8%.

First, let's find the present value of the remaining balance:
$430,000 - $65,000 = $365,000

Next, we can use the present value annuity formula to calculate the annual payment:
PMT = PV / [(1 - (1 + r)^-n) / r]

Where:
PMT = annual payment
PV = present value ($365,000)
r = incremental borrowing rate (0.08)
n = number of years (7)

PMT = $365,000 / [(1 - (1 + 0.08)^-7) / 0.08]
PMT ≈ $60,820

So, the closest annual payment amount is (c) $60,820.

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corey has not paid the premium on his universal life, flexible-premium policy for one month. His insurance company has yet to cancel the policy. Why?
a. His policy allows him to use accumulated cash value to cover mortality cost for the period
b. He has not passed the two-month free look period
c. His insurance company is too large to notice
d. His unsurer is a mutual company rather than a stock company

Answers

The most likely reason why Corey's insurance company has not cancelled his policy for missing one month's premium payment is that Option A is applicable.

Corey's policy has an accumulated cash value that can be used to cover the mortality cost for the period.

This means that the unpaid premium can be covered using the cash value that has been accumulated in the policy over time.

This is a feature of universal life policies that allows policyholders to skip premium payments under certain conditions. Options B, C, and D are not relevant to this situation.

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Your portfolio has provided you with returns of 11.4 percent, 6.2 percent, −.7 percent, and 14.6 percent over the past four years, respectively. What is the geometric average return for this period?
7.57 percent
7.25 percent
7.72 percent
7.55 percent
7.63 percent

Answers

7.72%(Approx) is the geometric average return for this period. answer is option (c).

What is geometric average return?

When a collection of values are calculated using the products of the terms, the geometric mean is the average rate of return. For series that show serial correlation, the geometric mean is best suited; this is particularly true for investment portfolios.

Popularly known as Geometric Mean Return, which is it is most frequently applied to compounded investments. On investments that are compounded over several periods, it is used to determine the average rate each period. An average that combines all values and determines the number's root is known as the geometric mean.

geometric average return=[(1+rate 1)(1+rate 2)(1+rate 3)(1+rate 4)]^(1/4)-1

= [(1+0.114)(1+0.062)(1-0.007)(1+0.146)]^(1/4)-1

which is equal to =7.72%(Approx).

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What is the allocation period used to expense stock-based compensation? O Compensation expense is allocated on the date the option's market price equals its exercise price. exercise price O Compensation expense is allocated over the vesting period. O Compensation expense is allocated from the time the option is granted to the employee until the option expiration date. O Compensation expense is allocated during the compensation arrangement period. A compensation arrangement period is the agreed upon dates between the employer and employee in which the option(s) will be available for the employee to exercise

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Compensation expense is allocated on the date the option's market price equals its exercise price exercise price is the allocation period used to expense stock-based compensation. The answer is OPTION A

"The primary goal of financial accounting is to provide useful information to management, shareholders, creditors, and other properly interested parties," the Supreme Court stated in Thor Power Tool Co. v. Comm.; "the major goal of the accountant is to protect these parties from being misled."

Contrarily, the equitable collection of tax income is the main objective of the tax system. The foreign tax credit (FTC) can only be used to offset U.S. taxes on income with a foreign source, hence it is significant. An American is liable for worldwide taxes on all of their income. The answer is OPTION A

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how might the current price wars change the pricing tactics used by the major pizza chains?

Answers

The current price wars may lead to a shift in pricing tactics by major pizza chains towards more dynamic and value-based pricing strategies in order to remain competitive and profitable in a crowded market.

What is pricing tactics?

Pricing tactics are the procedures and plans that companies employ to determine the costs of their goods and services. Choosing the ideal price point that will maximise profits while maintaining market competitiveness requires consideration of various elements, including pricing objectives, market demand, competition, and cost of production.

According to question:

The present price wars in the pizza sector, where large chains are vying for customers by providing steep discounts and promotions, are probably going to cause these chains to rethink their pricing strategies. The chains may adopt a more dynamic pricing strategy, where prices are modified in response to current demand and competition, as one possible change.

Using advanced algorithms and data analytics, dynamic pricing can be carried out to alter rates in real-time based on numerous criteria, including the time of day, day of the week, location, and demand. This strategy enables businesses to maintain competitive pricing in a market that is undergoing fast change.

Another potential change is that the chains may put more of an emphasis on value-based pricing, where the focus is on providing the client with a good value rather than just being the least expensive choice. This can entail increasing the amount of customizability possibilities or using higher-quality ingredients while keeping the price point appealing.

Overall, in order to remain competitive and profitable in a crowded market, large pizza chains may change their pricing approaches in favour of more dynamic and value-based pricing strategies as a result of the present price wars.

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Place each price discrimination scenario in the appropriate category.
Perfect price discrimination _______
Second-degree price discrimination _______
Third-degree price discrimination _______
Not price discrimination _______
Answer Bank - Pandy Jewelry charges each customer the maximum he or she is willing to pay for a particular picce of jewelry. - Art's Mac-n-Cheese sells for $0.99 at the Piggly Wiggly, but Bulky Warchouse sells a package of 12 boxey for $10. - Totally Teeth, a toothbrush retail store, sells toothbrushes for $4.00 cach, $7.00 for a two-pack, and $13.00 for a four-pack -Hungry Hungry Buffet charges $4.99 for kid's meals and $12.99 for adult meals,

Answers

Perfect price discrimination - Pandy Jewelry charges each customer the maximum he or she is willing to pay for a particular picce of jewelry.

What is discrimination?

Discrimination is the unjust or prejudicial treatment of different categories of people or things, especially on the grounds of age, race, gender, ethnicity, sexual orientation, or disability. It involves the unequal treatment of individuals based on their belonging to a certain group or class. Discrimination can take the form of direct or indirect actions, and can be expressed in both intentional and unintentional ways.

Second-degree price discrimination - Art's Mac-n-Cheese sells for $0.99 at the Piggly Wiggly, but Bulky Warchouse sells a package of 12 boxey for $10.
Third-degree price discrimination - Totally Teeth, a toothbrush retail store, sells toothbrushes for $4.00 cach, $7.00 for a two-pack, and $13.00 for a four-pack
Not price discrimination - Hungry Hungry Buffet charges $4.99 for kid's meals and $12.99 for adult meals

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In a partially undisclosed agency relationship, the law imposes liability on the agent in the event that the principal does not perform her contractual obligations.
true or false

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True.

In a partially undisclosed agency relationship, the agent acts on behalf of the principal but does not disclose the full extent of the principal's identity or involvement to the third party with whom they are dealing. In such a situation, the law imposes liability on the agent for any failure of the principal to perform contractual obligations. This is because the third party is not aware of the principal's identity and thus cannot hold them directly responsible. Instead, the third party must look to the agent for redress.

It is important to note that the level of liability imposed on the agent in such a situation may vary depending on the circumstances. For example, if the agent acted in good faith and believed that they had the authority to act on behalf of the principal, they may be able to avoid liability. However, if the agent knowingly misrepresented the extent of the principal's involvement or acted outside of their authority, they may be held fully liable for any damages or losses suffered by the third party.

Overall, it is important for both agents and principals to fully understand the nature of their agency relationship and the potential liabilities that may arise. By doing so, they can take steps to mitigate risk and ensure that they are acting in compliance with applicable laws and regulations.

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consider the market for kitchen paper towels. suppose demand is given by p = 100 - 3qd and supply is given by p = 2qs. what is the free market equilibrium (pe, qe)?

Answers

the free market equilibrium (Pe, Qe) for kitchen paper towels, we need to set the demand equation equal to the supply equation and solve for both price (P) and quantity (Q).

Demand: P = 100 - 3Qd
Supply: P = 2Qs

Set demand equal to supply:

100 - 3Qd = 2Qs

Since Qd = Qs (equilibrium quantity), we can rewrite the equation as:

100 - 3Q = 2Q

Now, solve for Q:

100 = 5Q
Q = 20

Now that we have the equilibrium quantity (Qe), we can plug it back into either the demand or supply equation to find the equilibrium price (Pe). We'll use the demand equation:

P = 100 - 3Q
P = 100 - 3(20)
P = 100 - 60
P = 40

So, the free market equilibrium for kitchen paper towels is (Pe, Qe) = (40, 20).

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The price of capital (r) is $50. What is the price of labor (w)?
$25
$50
$75
$100

Answers

The price of labor (w) is dependent on several factors, including supply and demand, productivity, and the cost of capital. In this scenario, we are given that the price of capital (r) is $50. The correct option is B


However, we can make some assumptions based on economic theory. In general, when the cost of capital (r) is high, it may be more expensive for businesses to invest in capital-intensive projects and they may look to substitute labor for capital.

This could increase the demand for labor, which may drive up the price of labor (w). On the other hand, if productivity is low, it may be more difficult for businesses to justify paying a high price for labor (w).

Therefore, without additional information, we cannot determine the exact price of labor (w) in this scenario. It is important to consider all relevant economic factors when determining the price of labor in a particular market.

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Complete question is:

The price of capital (r) is $50. What is the price of labor (w)?

A) $25

B) $50

C) $75

D) $100

1. A shortage of entry-level employees is a major concern of many hotel GMs. To the extent currently employed staff members can be retrained, there is less need to recruit new employees. List 3 specific activities that you, as a GM, can undertake to help reduce the employee turnover rate.
2. Many jobs in one hotel are similar to those in another. Assume that the compensation including benefits in your hotel and that of a nearby competitor were identical. Identify 3 features you as a GM could ensure existed in your hotel to make your property competitive with other potential employers.

Answers

Create a strong company culture that emphasizes teamwork, respect, and inclusiveness, making your hotel an attractive place to work.

1. As a GM, there are several activities that can be undertaken to reduce employee turnover rate in a hotel. These include:

- Developing a comprehensive employee training program that not only focuses on skills training but also on career development opportunities. This can help employees see a clear path for growth within the company and feel more invested in their job.
- Offering competitive wages and benefits packages, such as healthcare, retirement plans, and paid time off. This can help attract and retain employees who are looking for stability and security in their job.
- Creating a positive work environment that fosters teamwork, communication, and recognition. This can be achieved through regular employee meetings, feedback sessions, and recognition programs that celebrate employee achievements and contributions.

2. In a competitive job market where many hotels offer similar compensation packages, it's important for a GM to ensure their property stands out as an attractive place to work. Here are three features that can help make a hotel more competitive:

- A strong company culture that emphasizes a positive work-life balance and prioritizes employee wellbeing. This can be achieved through regular employee engagement activities, such as team-building events and wellness programs.
- Opportunities for career advancement and professional development. This can include mentoring programs, on-the-job training, and tuition reimbursement for further education.
- Employee perks and incentives, such as employee discounts on hotel amenities, free meals during work hours, and flexible scheduling options. These can help create a more positive work experience and help employees feel valued and appreciated.

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Better Life Nursing Home, Inc. has maintained a dividend payment of $4 per share for many years. The same dollar dividend is expected to be paid in future years. If investors require a 12 percent rate of return on investments of similar risk, determine the value of the company's stock.

Answers

To determine the value of Better Life Nursing Home, Inc.'s stock, we can use the Dividend Discount Model (DDM). This model calculates the value of a stock based on the present value of its future dividend payments, considering the required rate of return on investments of similar risk.

Here's a step-by-step explanation:

1. Identify the relevant information: - Dividend payment per share (D): $4 - Required rate of return (r): 12% or 0.12

2. Since Better Life Nursing Home has maintained the same dollar dividend for many years and expects to continue this trend, we can consider it a perpetuity. In this case, the DDM formula simplifies to: - Stock Value (V) = D / r

3. Plug the values into the formula: - V = $4 / 0.124. Calculate the value: - V = $33.33Based on the Dividend Discount Model, the value of Better Life Nursing Home, Inc.'s stock is $33.33 per share, considering the required 12 percent rate of return on investments of similar risk.

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If your company opted to pursue a strategy of related diversification, what industries or product categories could your company diversify into that would allow your company to capitalize on using your company's present brand name and corporate image to good advantage in these newly entered business or productr caterfores? Name at least two or three such industries or product categories, and indicate the specific benefits that might be captured by transferring your company's brand name to each of the other businesses / product categories.Would you prefer to pursue a strategy of related or unrelated diversifaction? Why?

Answers

I would prefer to pursue a related diversification approach since it enables us to capitalize on our current assets and position in a way that may boost our chances of success in new markets or product lines. Additionally, this strategy is more cost-effective than pursuing unrelated diversification due to the advantages of economies of scale and breadth.

If my company opted to pursue a strategy of related diversification, we could diversify into industries or product categories that are related to our current business, such as home goods or personal care products. By leveraging our existing brand name and corporate image, we could easily transfer our reputation for quality and reliability to these new product categories.

Specifically, we could enter the home goods industry by offering products such as furniture, bedding, or home decor that align with our brand's aesthetic and values. In the personal care products category, we could offer items such as skincare or haircare products that align with our brand's focus on natural ingredients and sustainability.

By diversifying into related industries or product categories, we could benefit from economies of scale and scope, which would allow us to spread our fixed costs across a wider range of products and increase our bargaining power with suppliers. Additionally, our existing customers would be more likely to trust and try our new products, which could lead to increased sales and revenue.

Overall, I would prefer to pursue a strategy of related diversification because it allows us to leverage our existing strengths and reputation in a way that can lead to increased success in new industries or product categories. Additionally, the benefits of economies of scale and scope make this strategy more cost-effective than pursuing unrelated diversification.

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