Based on the fact that Falz failed to make the purchase, Grain Farm most likely has the remedy of C ) Pay the difference between contract price and market price.
What is Grain farm to do?When a buyer (Falz) gets into an agreement to buy a land or property and fails to do so, this falls under real estate and damage.
Under real estate and damage, the buyer would then have to pay the seller (Grain Farm) a remedy which would be the difference between the market price of the property and the contract price.
Options for this question include:
the amount that Faiz expected to invest in the brewery a percentage of Faiz's unrealized profit. the difference between the contract and market prices of the land. nothing-Grain Farm still owns the land.Find out more on contract remedy at https://brainly.com/question/28480342
#SPJ1
the process of improving a firm’s relative advantage in the minds of its targeted customers, by emphasizing the key attributes of its offerings for the right sub segments is known as?
Value proposition in marketing is the process of improving a firm’s relative advantage in the minds of its targeted customers, by emphasizing the key attributes of its offerings.
What is value proposition in marketing?A value proposition in marketing is a brief explanation of the benefits that customers who buy a company's products or services would enjoy. It serves as a mission statement for the company as well as for customers.
In addition to a visual that piques interest, such as an image, video, or illustration, the best value proposition examples typically include a headline, subheadline, or brief text. After reading value propositions, customers should understand what a brand stands for.
Thus, it is a value proposition in marketing.
For more information about Value proposition in marketing, click here:
https://brainly.com/question/14266525
#SPJ1
Auto manufacturers are currently offering flex-fuel vehicles that are designed to run on ethanol gasoline mixtures. An economist recently analyzed the cost versus value consideration of these vehicles and found that the market is currently buying approximately the socially efficient amount of flex fuel vehicles. Under lobbying pressure from the car manufacturers and environmental groups, the federal government is considering a $3,000 subsidy paid per flex fuel vehicle sold. If this subsidy goes through, what would be the most likely impact on market efficiency?.
In most case, if the subsidy goes through, the most likely impact on market efficiency is that its decreases because the market is already operating at the most efficient level, however, if it were to go through sellers, its would make more causing a surplus causing the price to go back down to optimal/efficient.
What do we known as a subsidy?Basically, a subsidy refers to a direct or indirect payment to individuals or firms that are usually in the form of a cash payment from the government or a targeted tax cut. It is also defined as a benefit given to an individual, business or institution by the government. The aims of giving subsidy is to remove some type of burden which are considered to be in the overall interest of the public or an economic policy.
In economic, a subsidy are or can be used to offset market failures and externalities to achieve greater economic efficiency. However, some critics of subsidies asserts its problems with calculating an optimal subsidies, overcoming unseen costs and preventing political incentives from making subsidies more burdensome than they are beneficial.
Read more about subsidy
brainly.com/question/6945210
#SPJ1
when considering the plan−do−study−act cycle for problem solving, instructing other employees in the use of the new process occurs in the step.
When considering the plan−do−study−act cycle for problem-solving, instructing other employees in the use of the new process occurs in the act step.
An iterative, four-stage problem-solving paradigm called Plan-Do-Study-Act is used to implement change or improve processes. Internal and external customers should be involved while adopting the PDSA cycle since they may offer input on what works and what doesn't.
Problem-solving, which is a common component of most activities, is the process of reaching a goal by overcoming barriers. Simple daily duties to complicated concerns in the business and technical domains are all examples of problems that need to be solved. Both as individuals and as organizations, problem-solving abilities, and the issue-solving process are essential components of daily life.
To know more about Problem-solving refer to: https://brainly.com/question/9724788
#SPJ4
the amount of the a veteran must pay depends on factors such as military status, down payment amount, and whether the veteran’s entitlement is being used for the first time or a subsequent time
The amount of the Funding fee a veteran must pay depends on factors such as military status, down payment amount, and whether the veteran’s entitlement is being used for the first time or a subsequent time.
A veteran is someone who has extensive experience (and is typically skilled and respected) and knowledge in a certain occupation or field (from the Latin vetus, meaning "old"). A individual who has left the military is known as a veteran.
A war veteran is a military veteran who has participated directly in battle in a war (although not all military conflicts, or areas in which armed combat took place, are necessarily referred to as wars).Because of how closely their lived experience is tied to the conduct of war in general and the use of professional violence in particular, veterans of the military are unique as a group.
Learn more about veteran here:
https://brainly.com/question/11432778
#SPJ4
a medical supply company develops a new ear examination kit that allows customers to check their children for ear infections at home rather than go to the doctor. currently, this product is experiencing negative profits, and the company is spending a great deal of money on advertising to make consumers aware of the product. as a result, this product is most likely in the
As the ear examination kit is making a loss, the company is spending money on advertising to let customers know the product is still in the introductory stage of product life cycle.
The phrase "product life cycle" describes the time frame from when a product is first made available to buyers until it is taken off the market. Professionals in management and marketing employ this idea.
The product life cycle's introduction stage is the first one. The product is still fresh on the market, revenues are sluggish, and in order to increase sales, the corporation must spend a lot of money on advertising to make the product appealing to consumers.
Learn more about product life cycle here:
https://brainly.com/question/17485582
#SPJ4
what is the role of the product owner? •to represent the customer to the agile team •to prioritize the program backlog •to ensure quality by testing the solution • estimate the stories in the product backlog
A product owner is the executive in charge of the product. He makes judgments regarding numerous aspects of product development because he is a member of the Agileteam.
Agile is a philosophy or way of thinking that combines numerous incremental and iterative software development approaches. Agile can always bring about and adapt to change. Throughout the software development life cycle, the Agile methodology incorporates continuous planning, testing, integration, and client or stakeholder feedback.
Managing the product backlog: The Product Owner is in charge of creating the backlog items and managing them in accordance with the Lean canvas, the requirements of stakeholders, and business goals. The development team's project to-do list is shown below.
The items in the backlog should also be prioritised according to user value, time, and the needs of other departments.
To know more about Product and Agileteam , here
https://brainly.com/question/28049474
#SPJ4
using the percentage-of-receivables method for recording bad debt expense, estimated uncollectible accounts are $45,000. if the balance of the allowance for doubtful accounts is $11,000 debit before adjustment what is the amount of bad debt expense for that period?
If the balance of the allowance for doubtful accounts is $11,000 debit before adjustment what is the amount of bad debt expense for that period. The balance after adjustment in Allowance for Doubtful Accounts = $45,000.
Verified solutions are the solutions checked with the aid of using moderators or introduced with the aid of using them. If the solutions are genuine, good, properly explained, and are 100 % mistakes loose moderators or brainly professionals confirm them and adjustments are made.
Unfortunately, Brainly seems greater to be an area to get short solutions so that scholars can end homework faster. The solutions, despite the fact that they may be correct, regularly provide little to no elaboration or intensity at the topic, and there may be no assure that given solutions can be correct.
Learn more about doubtful accounts here:
https://brainly.com/question/25654164
#SPJ4
in 2002 real gdp in oceania was 561 billion and the population was 2.2 million. in 2001 real gdp was 500 and the population was 2.0 million. what was the approximate growth rate of real gdp per person?
The growth rate of real GDP is : 2%
Real GDP can be measured by taking the difference between the most recent year real GDP and the prior year real GDP. Then, divide this difference by the prior year real GDP.
Real GDP growth rate = (most recent years real GDP - the last years real GDP) / the previous years real GDP
Calculating:First of all since we are not given any inflation rate,
we can assume it is 0.
The real GDP per capita for Oceania during last year was:
($561 billion ÷ 2.2 million people).
$255,000 per person
The real GDP per capita for Oceania during the year before was:
($500 billion / 2 million people).
$250,000 per person
Growth rate of real GDP per person:
= {[($255,000 ÷ $250,000) - 1] x 100}
= 2%
Hence ,the growth rate of real GDP is 2%
Learn more about Real GDP:
brainly.com/question/14564898
#SPJ4
_2. Administrative management’s focus was based on what?
a. Improving efficiency
b. Using knowledge, fairness, and logical rules and procedures.
c. On how and what managers should do in their jobs
d. The employee’s humanistic needs
Administrative management’s focus was based on Using knowledge, fairness, and logical rules and procedures.
What is administrative management?This is the term that simply has to do with the way that information can be managed through different people.
This term has to do with the way that the storage of information and the ways that the information has to be distributed among people that are within an organization.
The roles that are within an organization are known to be within the elements of the administrative management that are in a company.
The work that is done here has to do with the planning and all of the ways that the administrative procedures would be coordinated in an organization in order to ensure the effective management is done.
Therefore we would have to say that the administrative management is one that is focused on the knowledge and the fairness that comes with logic and the processes in the business.
Read more on Administrative management here: https://brainly.com/question/26106218
#SPJ1
nazim also recently bought bonds with a clause stating that interest will be paid based on the inflation rate. when the inflation rate increases, the interest on the bonds will also increase. nazim has invested in .
Nazim has made a purchasing power bond / indexed bond investment.
What is Purchasing Power bond?Purchasing-power bonds, which alter their terms to maintain the contract's purchasing power rather than paying a fixed-dollar value, are a method for this adjustment.
Purchasing Power Bonds are subject to inflation risk, often known as purchasing power risk. It alludes to the possibility that rising prices will make an investor's assets and income less valuable as purchasing power. Interest rate risk is the chance that investment, particularly a bond, would lose value due to an increase in interest rates.
Therefore, Nazim made an indexed bond or purchasing power bond investment.
Learn more about Purchasing power bond investments, from:
brainly.com/question/14292801
#SPJ1
lorie reilly, a high school senior, is saving up to buy a small car priced at $8,700 to use while attending college. classes begin in 10 months. what amount can she deposit today at 5.25% to have enough to buy the car when school starts if she puts it into an investment that earns simple interest? what amount can she deposit today if the investment earns compound interest, compounded monthly? be sure to show equations and calculations
She can deposit $8333.33 today if the investment earns simple interest and can deposit $5215.83 if the investment earns compound interest, compounded monthly.
The amount Lorie Reilly can deposit if the investment earns simple interest can be determined using the following formula;
A = P (1 + rt)
Here A represents the final amount, r represents the interest rate and t represents the time in years and P represents the initial principal balance
Therefore, substituting the values;
8,700 = P [ 1 + (0.0525)(0.83) ]
8,700 = P ( 1 + 0.044)
8700 = 1.044 (P)
P = 8700 / 1.044
P = 8333.33
The amount she can deposit if the investment earns compound interest, compounded monthly can be determined using the following formula;
A = P (1 + r/n)^nt
Here, t represents the number of time periods elapsed in months and n illustrates the number of times interest applied per time period
8700 = P (1 + 0.0525)^10
8700 = P (1.0525)^10
8700 = P (1.668)
P = 8700 / 1.668
P = 5215.83
Therefore, Lorie Reilly can deposit $8333.33 if the investment earns simple interest and can deposit $5215.83 if the investment earns compound interest.
To learn more about compound interest, click here:
https://brainly.com/question/24274034
#SPJ4
tyler’s inc. makes soap. tyler plans to produce 5000 soaps next month. 5000 soaps require 2800 tons of detergent at the cost of $15 a ton. tyler also estimates the need for 9 workers to work 8 hours a day to meet the next month’s production target. the current labor rate is $16.50/hr. tyler estimates fixed manufacturing overhead cost to be $41,000 for the year and variable manufacturing overhead to be $7 per labor hour. the company plans to sell the soaps for $27 each. what is the total prime cost incurred by tyler for the next month? (assume the month has 30 days)
$72,600 is the total prime cost incurred by Tyler for the next month (assume the month has 30 days) for tyler’s inc. makes soap. tyler plans to produce 5000 soaps next month.
Prime Cost == Direct material cost + Direct Labor cost
Direct material cost = 3000 tons x $ 11 = $ 33,000
Direct labor cost = 10 workers x 8 hours x 30 days x $ 16.50 = $ 39,600
Prime Cost = $ 33000 + 39600 = $ 72,600
The expenditures incurred by a company that are soap directly tied to the labor and materials utilized in manufacturing are known as prime costs. It speaks about the expenses soap incurred in producing a good, which are calculated to ensure the highest possible profit margin for the producer. The prime cost determines the direct costs of Laboure and raw materials used in the production of a thing. Direct expenditures do not include indirect costs like marketing and office expenses.
The overall direct costs, which may be fixed or variable, associated with producing a product for sale are referred to as prime costs. The overall cost of the production inputs required to produce a specific output is calculated by businesses using prime costs.
Learn more about prime cost here
https://brainly.com/question/28419905
#SPJ4
assume a parent company owns a 100% controlling interest in its long-held subsidiary. the following excerpts are from the parent’s and subsidiary’s "stand alone" pre-consolidation income statements for the year ending december 31, 2019, prior to any investment bookkeeping or intercompany adjustments: parent subsidiary revenues $4,000,000 $2,500,000 cost of goods sold (2,800,000) (1,500,000) gross profit 1,200,000 1,000,000 selling general
$200,000 is the amount of "income from subsidiary" recognized by the parent company if it applies the cost method of pre-consolidation investment bookkeeping.
What are the 3 consolidation methods?
The three consolidation methods are full consolidation, proportionate consolidation, and equity consolidation. When the parent owns and over 50% of the subsidiary, the consolidation process is used in accounting, whereas the equity method is employed when the parent owns 20 to 50% of the subsidiary.
Parent Company owns 100% of the shares of its subsidiary which means there is no non controlling interest.
Here is the complete question-
Assume a parent company owns a 100% controlling interest in its long-held subsidiary. The following excerpts are from the parent's and subsidiary's "stand alone" pre-consolidation income statements for the year ending December 31, 2019, prior to any investment bookkeeping or intercompany adjustments:
Parent Subsidiary
Revenues $4,000,000 $2,500,000
COGS (2,800,000) (1,500,000)
Gross profit 1,200,000 1,000,000
SG&A (780,000) (606,000)
Net income $420,000 $394,000
On January 1, 2019, neither company held any inventories purchased from the other affiliate. All of the sales made by either company have the same gross margin regardless of whether they are made to affiliates or non-affiliates. The subsidiary declared and paid $200,000 of dividends during 2019.
Assume during the year ended December 31, 2019, the subsidiary sold to the parent $400,000 of merchandise. At December 31, 2019, the parent still held in its inventory 25% of the goods purchased from the subsidiary during 2019.
What is the amount of "income from subsidiary" recognized by the parent company if it applies the cost method of pre-consolidation investment bookkeeping?
Learn more on consolidation methods-
https://brainly.com/question/22264798
#SPJ4
What is the value of a stock that you believe will sell in three years for $81 a share and will pay $3. 00 in dividends every year for the three-year period assuming your required return is 10%?.
A stock is worth $69.32 which is calculated at the final stock worth of that value
As evidence,
Price of sale S = $81.
dividends the first year are $3.
second-year dividends equal $3.
Third-year dividends equal $3.
10% of returns
finding out
the price of a stock you anticipate selling in three years
solution
The selling price here will be $81 after three years.
and the first-year dividend is D1 = $3.00
so
Dividend for the second year D2 is $3.00
Third-year dividend D3 is $3.00
as mentioned in question
Therefore, the value of a stock is equal to D1/r+D2/r+2+D3/r+3+S/r.
A stock's worth is equal to 3/1.10+3/(1.10)2+3/(1.10)3+81/(1.10).
A stock's worth is $69.32.
To know more about the stock worth calculation visit here :
https://brainly.com/question/13382675
#SPJ4
Market researchers often report discretionary income. Discretionary income is your disposable income minus your fixed expenses. Your disposable income is $2,920. After you pay fixed expenses of rent, utilities, groceries, and a car payment, you have $900. What percentage of your disposable income is discretionary?.
If you have $2,920 in discretionary income, 16.67% of that amount is yours to spend as you like. You have $900 remaining after paying the fixed costs of rent, utilities, groceries, and a car payment.
A person or household's discretionary income, commonly referred to as disposable personal income (DPI), is the amount of money left over fixed costs after income taxes have been paid.
One of the primary economic indicators used to assess the overall health of the economy at the fixed costs macro level is the disposable personal income, which is widely watched.
After paying all applicable local, state, and federal taxes, an individual's salary is then converted into disposable income. It is also known as net pay or discretionary personal income. A household's is disposable income consists of its earnings plus any unemployment benefits and capital gains.
Learn more about discretionary income here
https://brainly.com/question/5805335
#SPJ4
when the government goes into deficit spending to stimulate the economy, it has to borrow more money. this borrowing may have a negative impact by when the government goes into deficit spending to stimulate the economy, it has to borrow more money. this borrowing may have a negative impact by causing interest rates to fall due to increased demand. causing the government to stop issuing bonds. increasing the national debt causing banks to go bankrupt.
To stimulate the economy, Because of the additional demand brought on by this borrowing, it can have a negative effect by pushing up interest rates.
A percentage of the principal, or the economy amount loaned, is what a lender charges a borrower as interest. The annual percentage rate, or APR, is the usual unit used to express the interest rate on a loan (APR).
The amount earned from a savings account or certificate of deposit at a bank or credit union may also be subject to interest rates (CD)interest rates. on these bank accounts is calculated as an annual percentage yield (APY).
The borrower is essentially charged interest for economy the usage of the asset. Cash, consumer goods, vehicles, and real estate are all examples of lent assets. As a result, an interest rate can be viewed as the "cost of money" because it increases the cost of borrowing the same amount of money.
Learn more about interest rates here
https://brainly.com/question/13324776
#SPJ4
diego wants to open a surf shop in his beach town. while he knows just about everything about surf boards, and related supplies, he needs general business advice. he goes to the small business administration and they connect him with a retired executive who has experience with start ups through what program?
he went into small business administration, and they put him in touch with a retired executive who has experience with startups through the Business Administration Study Program.
Business administration is a social science that studies the process of cooperation between two or more people in an effort to achieve certain goals. In other words, the definition of business administration is a science that focuses on human behavior.
In business administration, there are objects, subjects, and methods. In this case, the object is humans and their behavior, the subject studied is the form, part, and mechanism of cooperation, while the method is a way or idea developed in an effort to achieve the goals of the cooperation carried out.
You can learn more about Business administration here brainly.com/question/15249057
#SPJ4
a stock has a correlation with the market of 0.61. the standard deviation of the market is 30%, and the standard deviation of the stock is 31%. what is the stock's beta?
a stock has a correlation with the market of 0.61. the standard deviation of the market is 30%, and the standard deviation of the stock is 31%. the stock's beta is 0.63.
In arithmetic and data, the deviation is a measure of the difference between the observed fee of a variable and a few other costs, often that variables suggest. The signal of the deviation reports the route of that difference (the deviation is high-quality whilst the determined cost exceeds the reference value). The importance of the value indicates the scale of the distinction. A deviation that may be a distinction between a found fee and the true price of an amount hobby (where genuine price denotes the anticipated cost, along with the population mean) is an error. A deviation that is the distinction between the determined value and an estimate of the real cost (e.G. The sample suggest; the expected value of a pattern can be used as an estimate of the anticipated price of the population) is a residual. These ideas are relevant to facts in the c programming language and ratio tiers of dimension.
Learn more about deviation here
https://brainly.com/question/475676
#SPJ1
a monopoly is characterized by all of the following except group of answer choices the firm has market power. there are no close substitutes to the firm's product. entry barriers are high. there are only a few sellers each selling a unique product.
A monopoly is characterized by there are only a few sellers, each selling a unique product
Option D is correct .
A monopoly is a type of request structure where there's only one dealer of the good in the request. Only one dealer sells the good in the request and that is why it has the request power and full control over the prices of the good.
What's a monopoly characterized by?A monopoly is a business that's characterized by a lack of competition within a request and unapproachable backups for its product. Monopolies can mandate price changes and produce walls for challengers to enter the business.
What's monopoly and its types?A monopoly is an profitable request structure where one company or one dealer dominates with numerous buyers. There's a unique product in this request, and a dealer enjoys the power of deciding the price of goods as he doesn't have challengers for that particular product.
Learn more about Monopoly :
brainly.com/question/13276400
#SPJ4
alphabeta company offers employees opportunities to move laterally, learning different skills in different areas, rather than climb a vertical career ladder.
Providing employees with opportunities to move laterally rather than up the career ladder corresponds to the new social contract.
What is the new social contract?It corresponds to a new way of establishing rules and ordering society in order to increase well-being through the redistribution of opportunities for individuals in society.
Therefore, the social contract is a tool to protect the interests of individuals in society, specifying governmental rights and duties, through the institution of policies and moral rules for social order.
Find out more about social contract on:
https://brainly.com/question/17260213
#SPJ1
a product has demand of 4000 units per year. ordering cost is $20 and holding cost is $4 per unit per year. the cost-minimizing solution for this product is to order
Demand for a product is 4000 units annually. Ordering costs are $20, while annual holding costs are $4 per unit. Ordering this product online will reduce costs. Cost of inventory every year is $800.
The thing that is being sold is called a product. A service or an item might be considered a product. It may take the form of something tangible, virtual, or cyber. Every item has a cost associated with it, and it is priced accordingly. The market, the product's quality, the marketing strategy, and the segment it is intended for all affect the price that can be charged.
Every product has a shelf life after which it must be replaced and a life cycle after which it needs to be redesigned. To make a brand more applicable to the market and the times, brands in the FMCG industry can be updated, relaunched, or expanded, frequently maintaining the product virtually unchanged.
Learn more about inventory here
https://brainly.com/question/14184995
#SPJ4
during 2022 (its first year of operations) and 2023, fieri foods used the fifo inventory costing method for both financial reporting and tax purposes. at the beginning of 2024, fieri decided to change to the average method for both financial reporting and tax purposes. income components before income tax for 2022, 2023, and 2024 were as follows: ($ in millions) 2022 2023 2024 revenues $ 540 $ 550 $ 580 cost of goods sold (fifo) (54) (56) (62) cost of goods sold (average) (84) (88) (94) operating expenses (306) (314) (318) dividends of $35 million were paid each year. fieri’s fiscal year ends december 31. required: 1. prepare the journal entry at the beginning of 2024 to record the change in accounting principle. (ignore income taxes.) 2. prepare the 2024–2023 comparative income statements. 3.
Beginning in 2024, a journal entry will be made to reflect the change in accounting principle. Cost of products variance or change in 2023: A difference equals the cost of the products sold (FIFO) Cost of goods sold in 2023 (average) 2023 = $42 - $60 = $18
First In, First Out, sometimes known as FIFO, is a strategy of managing assets and valuing them that prioritises the sale, use, or disposal of assets that were produced or acquired first. The goal of FEFO is to make sure that the product with the earliest expiration date enters the market first.
The rules and regulations that businesses and other organisations must abide by when reporting financial data are known as accounting principles. The language and procedures that accountants must employ are standardised by these guidelines, making it simpler to analyse financial data.
Learn more about FIFO here:
https://brainly.com/question/17236535
#SPJ4
onestopshop provides consumers with a wealth of information about electronic equipment from various companies. this website allows customers to compare the benefits and prices to determine which items they want to purchase. thus, onestopshop is a
One-stop shop is a convenient way for customers to research electronics.
What is One-stop shop?
A one-stop shop is a business that provides its clients with a wide range of goods and services, all under one virtual roof. A one-stop shop can relate to a business that offers a variety of goods and services, or it can be a physical company where a client can conduct all of their business. For instance, a bank might be able to provide you with insurance coverage, investment advice, investment vehicles (like Deposit accounts), and accounts in addition to loans and accounts. The one-stop shop saves the customer a lot of time and effort compared to going to a different institution for every area of need
To learn more about one-stop shop
https://brainly.com/question/28199331
#SPJ4
Alex purchases a computer from dell to be delivered via fed ex. Dell delivers the computer to fed ex to be shipped to alex. During the delivery, the fed ex driver is having a bad day and just throws the boxes out the window of the delivery truck rather than setting the box by the front door as is standard practice. While throwing the computer it is damaged. Would dell be responsible for the damage to the computer?.
Dell will not be responsible for the damage to the computer in the above case because the title transfers to the buyer once the good is delivered to a common carrier.
At the time when a company, such as Dell, sends over its product to the buyer, it changes the name to the buyer as soon as it is sent out for delivery by the common carrier.
After giving the product to the carrier, it is not the responsibility of Dell if any damage to the computer is made.
The damage to the computer will either be accountable to FedEx if it has a policy for guaranteeing the safety of the product while delivery. If not, then the buyer will be accountable for the damage. However, in any of the cases, Dell will not be responsible once it has given the product to FedEx for delivery.
To learn more about delivery, click here:
brainly.com/question/15243454
#SPJ4
a country with a very low per capita gdp can have a very high growth rate because mathematically, when the ▼ ratio numerator denominator is ▼ lower higher the same , even a small difference in the ▼ numerator denominator ratio will result in a large growth rate.
It is true that a country with a very low per capital gdp can have a very high growth rate because mathematically, when the ratio numerator denominator is lower , even a small difference in the numerator ratio will result in a large growth rate.
What is capital gdp ?Per capita gross domestic product can be described as the financial metric which is been used in the expression of the country's economic output per person with respect to the population of the people in that particular country.
Therefore, the Per capita gross domestic product help to know how the country is moving in term of her finance.
Read more about gdp at:
https://brainly.com/question/1152672
#SPJ1
During the 1973 eruptions on the island of heimaey, residents used blank______ to build barriers that diverted lava flows away from their economically important fishing port.
In order to prevent lava flows from reaching their economically significant fishing port during the island of Heimaey's 1973 eruptions, locals constructed barricades out of blank pyroclastic debris
What exactly are pyroclastic substances?
Vapor, lava chunks, and clouds of ash carried through the air are all referred to as pyroclastic materials. Because vapour supplies its buoyancy, the movement of pyroclastic materials through the air is always quick and hot. These elements are potential of harming life and property in their pathways because of their general composition and the rapid, hot flow, which can reach miles away from the volcano.
Visit this site for more information on pyroclastic material: brainly.com/question/16582896
#SPJ4
the auditor traces a transaction from origination through the entity’s processes and information system until it is reflected in the entity’s financial reports when performing a(n
When conducting a walkthrough, the auditor follows a transaction from its point of genesis through the entity's procedures and information system until it is reflected in the entity's financial reporting.
One method an auditor could employ as part of the internal control audit is a walkthrough. An auditor must perform a walkthrough, which entails tracking each major type of transaction from its point of origination through the entity's information system to the point at which it appears in the entity's financial reporting.
Audits of accounting systems that evaluate reliability are called walk-through tests. These examinations aim to expose flaws and significant shortcomings in an organization's accounting processes.
Learn more about walkthrough here:
https://brainly.com/question/14981921
#SPJ4
How does the organization of the Federal Reserver System Help it perform its functions?
Answer:
The Federal Reserve System's main duties include conducting national monetary policy, supervising and regulating banks, maintaining financial stability, and providing banking services. The Federal Open Market Committee is the Fed's monetary policy-making body and manages the country's money supply.
Explanation:
emily company uses a periodic inventory system. at the end of the annual accounting period, december 31 of the current year, the accounting records provided the following information for product 2:
The preparation of the income statements of Emily Company, which uses a periodic inventory system, under FIFO and LIFO, is as follows:
Emily Company
Income StatementsFor the period ending December 31 of the current year
FIFO LIFO
Sales revenue $619,590 $619,590
Cost of goods sold:
Beginning inventory $37,570
Purchases 276,490
Cost of goods available $314,060 $314,060
Less Ending inventory (164,770) (149,290)
Cost of goods sold $147,290 $164,770
Gross profit $470,300 $454,820
Operating expenses (taxes) 188,500 188,500
Net Income $281,800 $266,320
What makes the FIFO method different from the LIFO method?The FIFO method values the ending inventory as a product of units brought in stock at the last period and their unit costs, while the cost of goods sold is valued as the product of units in stock earlier and their unit costs.
On the other hand, the LIFO method values the cost of goods sold as the product of units in stock at the last period and their unit costs, while the ending inventory is the product of the units in stock earlier and their unit costs.
Units Unit Cost Total Cost
Inventory, December 31, prior year 2,890 $13 $37,570
For the current year:
Purchase, April 11 8,960 14 125,440
Purchase, June 1 7,950 19 151,050
Total inventory 19,800
Sales ($57 each) (10,870)
Ending inventory 8,930
Operating expenses (excluding income tax expense) = $188,500
Total purchases = $276,490 ($125,440 + $151,050)
FIFO:Ending inventory = $164,770 ($151,050 + 980 x $14)
LIFO:Ending inventory = $149,290 ($37,570 + 7,890 x $14)
Learn more about FIFO and LIFO inventory methods at https://brainly.com/question/16243961
#SPJ1
Question Completion:Units Unit Cost
Inventory, December 31, prior year 2,890 $13
For the current year:
Purchase, April 11 8,960 14
Purchase, June 1 7,950 19
Sales ($57 each) 10,870
Operating expenses (excluding income tax expense) $ 188,500
Prepare income statements under FIFO and LIFO.
when the ceo of whole foods, john mackey, had to make decisions about the company's cost structure and value position in order to create a business level strategy he was:
When the CEO of whole foods, John Mackey, had to make decisions about the company's cost structure and value position in order to create a business-level strategy he was making strategic trade-offs.
In the field of business, trade-offs can be described as factors or activities that are not to be done by a company because these activities do not add to the core value of the company.
Strategic trade-offs can be described as the compromises that a company has to make in order for focusing on certain other aspects of the company.
Strategic trade-offs are made by looking into the cost structure of the company and its value position. Based on these, the costs are reduced in such a way that the value position of the company does not decline.
To learn more about strategic trade-offs, click here:
https://brainly.com/question/15296639
#SPJ4