The WACC should decrease as the firm's debt-equity ratio increases. This is the correct answer to the given question.
Let us understand WACC
WACC stands for weighted average cost of capital for a corporation. In any business, capital markets (both debt and equity) expect returns proportionate to the perceived riskiness of their investments, according to the weighted average cost of capital study.
The average rate of return a business is anticipated to provide to all of its shareholders, including debt holders, equity investors, and preferred equity investors, is known as the weighted average cost of capital (WACC). WACC Formula equals [Cost of Equity*% of Equity] plus [Cost of Debt*% of Debt*(1-Tax Rate)].
WACC is the cost of generating an extra dollar of revenue. For instance, a WACC of 5% suggests that the business needs spend on average $0.05 to obtain an extra $1. It's possible that the $0.05 represents the interest paid on debt or the dividend or capital return demanded by private investors.
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2. Hanna and Metta are identical twins who attended elementary school through high school together. Hanna got a job after high school, and Metta got a job after graduating from college. Hanna earns $36,000 a year, and Metta earns $69,000 a year. Select the best explanation for this wage difference. A Hanna has less human capital than Metta. Metta has less human capital than Hanna B C. Hanna has received a compensating differential D Hanna is a member of a union I
The reason for the wage difference is Hanna has less human capital than Metta. (option A).
What is the reason for wage difference?Wage is the total amount of money that is paid to labor for the services rendered in the production process.
The wage paid to labor differs for different reasons. One of the reasons for a difference in wage is human capital. The more educated or more trained a person is, the higher the human capital is. The higher the human capital, the higher the wage that is paid.
Another reason for wage differences is union. The presence of a union in the labor market increases the bargaining ability of labor. Thus, if a worker belongs to a union, it is expected that her wages would be higher when compared with the wage of a person that does not belong to a union.
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According to the capital asset pricing model, which of the following will increase the expected rate of return on a security that has a beta that is less than that of the market? Assume the market rate of return is greater than the risk-free rate and both rates are positive. (Which ines apply)
I. decrease in the risk-free rate
II. increase in the risk-free rate
III. increase in the market risk premium
IV. decrease in the market rate of return
Answer choices:
II and III only
II and IV only
I and III only
II, III, and IV only
I and IV only
Of the following will, in accordance with the capital asset pricing model, raise the expected rate of return on a security whose beta is lower than the market's.
Which of the choices is true?According to the current circumstances, both the risk-free rate and the market risk premium will rise.The only right answers are II and III.
What do you mean when you say a risk-free rate?The risk-free rate of return, sometimes abbreviated to the "risk-free rate," is the rate of return on a fictitious investment with predetermined payments over a predetermined period of time that is presumed to fulfill all financial obligations.The value of a risk-free rate is calculated by subtracting the current inflation rate from the total yield of the treasury bond matching the investment duration.
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ethan djuna is a territorial salesperson for lennox heating and air conditioning systems. every six months djuna's sales manager gives him feedback by showing djuna a comparison between his actual sales figures and his sales objectives. this feedback is called a appraisal. controlled compensation projected prospective performance
The feedback is called a performance appraisal.
An employee's job performance is analyzed and evaluated by their manager or supervisor during a performance appraisal. Normally, annual or semi-annual performance reviews are undertaken on a regular basis. Although they can take many different forms, they usually involve a review of the tasks, goals, and responsibilities of each employee as well as an evaluation of how well they are performing in relation to those goals.
The feedback that Ethan Djuna's sales manager is giving him by showing a comparison between his actual sales figures and his sales objectives is called a performance appraisal. Because they give employees the chance to get feedback on their performance and give employers the chance to pinpoint areas for improvement and encourage employee growth, performance evaluations may be helpful for both people and businesses.
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you are given: a european put option on a stock is priced with a two-period binomial tree. the risk-neutral probability of an down-move in the stock price remains constant throughout the tree. the put option tree is as follows:
Therefore, the Value of two-month European name alternative with a stock price or strike rate of $49 is $2.23.
How do you rate a put alternative in a binomial model?Calculating Price with the Binomial Model
The fundamental approach of calculating the binomial choice mannequin is to use the same chance each duration for success and failure until the alternative expires. However, a dealer can comprise one of a kind probabilities for each duration primarily based on new statistics received as time passes.
What is the danger impartial assumption in the binomial model?Under the threat neutrality assumption, ultra-modern fair rate of a spinoff is equal to the expected value of its future payoff discounted by means of the chance free rate.
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https://brainly.com/question/17135327#SPJ4campaign spending limit too low: your campaign spending limit must be at least $100.00 for this currency. (
A changeable cap on the total amount your advertising campaign can spend is known as a campaign spending limit.
Expenditure on Campaign restrictions makes sure that after you've achieved your spending cap, all the ad sets and advertising in your campaign stop running even though they don't alter how your ads are delivered.
The daily expenditure cap for the majority of campaigns is equal to your typical daily budget times 2.
To capitalize on swings in traffic, your campaign may spend up to twice its typical daily budget on any one day. At the end of the month, the average daily expenditures will have matched your daily budget.
Your daily spending cap will be USD 10 * 2 = USD 20, for instance, if your average daily budget is USD 10.
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a salesperson in your organization spends most of her time traveling between customer sites. after a customer visit, she must complete various managerial tasks, such as updating your organization's order database.
Configure the VPN connection to use IPsec is a key step that you should take implementing this configuration.
For implementing a configuration, there are a few steps that need to be followed. First, you need to identify the desired state of the system. This includes specifying what needs to be configured, as well as the desired values for each setting.
Once the desired state is identified, you need to create the necessary configuration files. These files will contain the actual settings and values that need to be implemented. Finally, you need to deploy the configuration files to the system and ensure that they are applied correctly.
The question is incomplete, the complete question is:
A salesperson in your organization spends most of her time traveling between customer sites. After a customer visit, she must complete various managerial tasks, such as updating your organization's order database.
Which key steps should you take when implementing this configuration?
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the cumulative effect of a change in accounting principle should be recorded as an adjustment to retained earnings, when the change is: cash basis of accounting for vacation pay to the accrual basis. straight-line method of depreciation for previously recorded assets to the double-declining-balance method. longer useful life of equipment to shorter useful life. completed-contract method of accounting for long-term construction-type contracts to the percentage-of-completion method.
Completed-contract method of accounting for long-term construction-type contracts to the percentage-of-completion method.
Production is a well-known time period which means the artwork and technology to shape objects, systems, or businesses,[1] and springs from Latin constructio (from com- "together" and struere "to pile up") and old French production.[2] To construct is the verb: the act of constructing, and the noun is production: how some thing is constructed, the character of its shape. In its maximum widely used context, creation covers the procedures concerned in turning in homes, infrastructure, commercial centers and related activities thru to the give up in their lifestyles. how some thing is constructed, the character of its shape. In its maximum widely used context, creation covers the procedures concerned in turning in homes, infrastructure, commercial centers and related activities thru to the give up in their lifestyles.
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which of the following items would not result in a deferred tax asset for finanial reporting purposes
Option B. Investment in tax-exempt bonds. A deferred tax asset is a result of a deductible temporary difference, which investment in tax-exempt bonds does not provide.
Deferred Tax Assets: What Does Not Qualify?A deferred tax asset is an item that a company can use to reduce its future income tax payments. It is created when a company records a deductible temporary difference on its financial statements that results in a lower tax liability than the amount reported on financial statements.
Examples of items that could potentially result in a deferred tax asset include unused tax credits, deductions for accelerated depreciation, and tax loss carry forwards. However, investment in tax-exempt bonds does not create a deferred tax asset as this does not result in a deductible temporary difference.
Since the question is not complete, here's the full answer:
Which of the following items would not result in a deferred tax asset for financial reporting purposes?
Choose the right option:
A. Unused tax creditsB. Investment in tax-exempt bondsC. Deduction for accelerated depreciationD. Tax loss carry forwardsLearn more about taxes: https://brainly.com/question/25783927
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A. We sent surveys to three West Coast companies; San Francisco Unlimited, San Jose Premier, and San Diego Logic.
B. We sent surveys to three west coast companies: San Francisco Unlimited, san jose premier, and San Diego Logic.
C. We sent surveys to three West Coast companies: San Francisco Unlimited, San Jose Premier, and San Diego Logic.
Correctly complete the following sentence.
The Research Committee (have been ///are /// is ??) going to put together a work plan.
(FROM THREE OPTION WHICH IS THE RIGHT ANSWER?)
Three West Coast businesses—San Francisco Unlimited, San Jose Premier, and San Diego Logic—received surveys from us.
What is the price of launching a survey?According to data from Home Advisor, a straightforward property boundary survey can cost anywhere between $100 and $600, while a mortgage survey typically costs $500. You'll probably spend extra for a surveyor's time if the features and records history of the property are more complicated.
Why are surveys so expensive?Land that is more challenging to reach or navigate often carries a higher surveying fee. Typically, properties with a lot of trees or that are particularly steep will cost more.
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In the short run, the firm will realize an economic loss but will continue to produce if the price is:A) below P2
B) between P1 and P2 C) between P2 and P3 D) between P3 and P4
In the short run, the firm will realize an economic loss but will continue to produce if the price is between P3 and P4.
The firm will continue to produce in the short run when the price will thus fall below the average total cost, but will remains above average variable cost, the firm will then continue to operate in the short run.
However, here it will be producing the quantity where MR = MC doing so minimizes its losses. Suppose in the short run when the firm goes through an economic loss then it will be difficult for that firm.
Hence, option D is correct.
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The Rational Rule for Sellers is that sellers should choose the quantity _____ and choose the price _____.
1where marginal revenue equals marginal cost; with maximum marginal revenue
2that is associated with a minimum average total cost; with maximum marginal revenue
3that is associated with a minimum average total cost; that is on the seller's demand curve for the quantity
4where marginal revenue equals marginal cost; that is on the seller's demand curve for that quantity
On the seller's demand curve, marginal cost equals marginal revenue at that production level. A supply curve is a graphical representation of a supply schedule.
The connection between the cost of an item or service and the quantity demanded over a specific time period is represented graphically by the demand curve. The price and quantity requested are often represented with the price on the left vertical axis and the horizontal axis, respectively. The law of demand states that when the price of a particular good rises, the quantity required falls, all other things being equal. This is shown by the demand curve moving downward from the left to the right. The price is implied to be the independent variable in this formulation, and the quantity to be the dependent variable. Economics is an exception to the general norm that the independent variable appears on the horizontal or x-axis.
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Which of the following describes an estate for an unknown period of time, with either party permitted to terminate the lease by giving notice to the other?
A. Estate at will
B. Estate for years
C. Leasehold estate
D. Life estate
The option that describes an estate for an unknown period of time, with either party permitted to terminate the lease by giving notice to the other is Estate at will. option A is correct
What is Lease?A contractual arrangement under which one party agrees to rent an asset or property of any kind owned by another party are outlined in a lease contract.
It ensures that the tenant, also known as the lessee, will have access to the property and, in return, will make monthly payments to the lessor (the landlord or owner of the property). If either party violates the contract's conditions, there will be repercussions for both the lessee and the lessor. A type of incorporeal right is a lease.
Thus option that describes an estate for an unknown period of time to terminate is estate at will lease agreement.
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the lorenz curve and the line of perfect income equality will be one and the same in an economy if 20% of all households receive 20% of all income. t/f
True. the Lorenz curve and the line of perfect income equality will be one and the same in an economy if 20% of all households receive 20% of all income.
What is the Lorenz curve?The Lorenz curve in economics is a graphical depiction of the distribution of wealth or income. Max O. Lorenz created it in 1905 to symbolize the unequal distribution of wealth.
An illustration of income or wealth inequality on a graph is a Lorenz curve. According to income or wealth, the horizontal axis of the graph represents percentiles of the population.
A graphical representation of the wealth distribution in a community is the Lorenz curve. The inequality increases with the curve's distance from the bisector. The most commonly used indicator of income disparity in a community is the Gini coefficient, which was calculated from the Lorenz curve.
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27) Assume that an economy experiences both positive population growth and technological progress. In this economy, which of the following is constant when balanced growth is achieved?
A) K
B) NA
C) K/N
D) Y/NA
E) none of the above
The correct option is B that is none of the above.
From the following NA is constant when balanced growth is achieved.
As per the given data,
we need to find among which of the options when constant when balanced growth is achieved.
According to question,
it is given that,
Assume that an economy experiences both positive population growth as well as technological progress.
As stated in the Golden Rule that in the economic system, the government will only borrow for investment and not to finance the expenses. By definition this means that on average in a recession the government should only borrow to pay for investments that will benefit future generations , the economy will experience both positive population growth and technological progress. In this economy, investment (I) is stable when there is balanced growth.
Therefore, the following option is wrong.
A) Y/NA
C) S (saving)
D) all of the above
Therefore, the correct option is B.
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1) Which of the following mathematical expression is used to calculate budgeted variable overhead cost rate per output unit?
A) Budgeted output allowed per input unit × Budgeted variable overhead cost rate per input unit
B) Budgeted input allowed per output unit ÷ Budgeted variable overhead cost rate per input unit
C) Budgeted output allowed per input unit ÷ Budgeted variable overhead cost rate per input unit
D) Budgeted input allowed per output unit × Budgeted variable overhead cost rate per input unit
D) Budgeted input allowed per output unit × Budgeted variable overhead cost rate per input unit
Budgeted input allowed per output unit × Budgeted variable overhead cost rate per input unit.
budgetA budget is an estimate of revenue and costs for a given period of time that is generally created and re-evaluated on a regular basis. Budgets may be created for an individual, a group of individuals, a company, a government, or almost anything else that generates and spends money.
A cash budget is a thorough plan that shows how cash will be collected and utilized. After the cash budget is produced, the budgeted income statement and finally the budgeted balance sheet may be prepared. A budget (from the ancient French word for purse) is a quantifiable financial plan for the next accounting period. A budget is a key concept in microeconomics, which use a budget line to represent the trade-offs between two options.
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While mass production allows companies to produce a greater number of goods at a lower cost, flexible manufacturing technology also provides companies with these standards and at the same time allows a company to
customize its products.
Flexible manufacturing technology also provides companies with these standards and at the same time allows a company to customize its products.
A production technique called a flexible manufacturing technology is made to quickly adjust to changes in the kind and volume of the product being manufactured. A variety of parts can be manufactured by machines and automated systems, which can also adapt to changing production levels.
This flexibility is typically divided into two categories, each of which has a wide range of subclasses. The ability of the system to be altered to produce new product types and the ability to alter the sequence in which operations are carried out on a part fall under the first category, which is referred to as routing flexibility.
The ability to use several machines to carry out the same operation on a part falls under the second category of machine flexibility, along with the system's capacity to withstand significant variations in volume, capacity, or capability.
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for the firm's organizational structure, group of answer choices organizational structure specifies the firm's formal reporting relationships, procedures, controls, authority, and decision-making processes. organizational structure specifies the work to be done and how to do it. it is critical to match the firm's structure to the firm's strategy. all options listed
The organizational structure outlines the formal reporting ties, protocols, checks, authority structures, and decision-making processes for the company.
The internal, formal framework of a company called the organizational structure shows how management is set up, interconnected, and how authority is distributed across the business. The objective of organizational structure is to provide managers with in-depth feedback on how well an organization and its people are performing and gaining a competitive edge. An organizational structure is made up of the allocation of resources at different levels in accordance with their positions, levels of authority, and roles. It makes it possible for departments within an organization to coordinate their efforts, plan together, and communicate about shared goals. •Organizational structure outlines the following: -The formal reporting relationships, procedures, controls, and power and decision-making processes for the company.
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kainen company reported the following information at the end of the year: common stock ($1 par value; 570,000 shares outstanding) $ 570,000 preferred stock, 6% ($10 par value; 28,000 shares outstanding) 280,000 retained earnings 935,000 the board of directors is considering the distribution of a cash dividend to the two groups of stockholders. no dividends were declared during the previous two years. assume the three cases below are independent of each other.
Kainen company needs to budget $570,000 for the common stock of the new building and $28,000 for the cost of the land, as the board of directors is considering the distribution of a cash dividend.
Given,
Common stock = $570,000
Preferred stock = 6%
Retained earnings = $935,000
An investment is said to represent ownership in a portion of the issuing corporation and so it is referred to as a common stock, which is also known as equity. Shares are commonly referred to as units of stock.
So, here in order to cover the cost of the new structure and also its property, the Kainen company must set aside $570,000 and $28,000, respectively. Thus, cash dividend is considered.
Hence, people tend to own shares of common stock.
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jonas is a 60% owner of ard, an s corporation. at the beginning of the year, his stock basis is zero. jonas's basis in a $20,000 loan made to ard and evidenced by ard's note has been reduced to $0 by prior losses. during the year, jonas's net share of ard's taxable income is $10,000. at the end of the year, ard makes a $15,000 cash distribution to jonas.
Jonas's net share of Ard's taxable income for the year is $10,000. Ard gives Jonas a cash payment of $15,000 at the conclusion of the year. Jonas now has a basis of $0 for his shares and $0 for the debt following these transactions.
Due to earlier losses, Jonas's basis in a $20,000 loan to Ard that is attested by a note that Ard signed has been reduced to $0. Jonas's net share of Ard's taxable income for the year is $10,000. Ard gives Jonas a cash payment of $15,000 at the conclusion of the year. Jonas now has a basis of $0 for his shares and $0 for the debt following these transactions.
His stock basis is zero at the start of the year. Due to earlier losses, Jonas's basis in a $20,000 loan to Ard that is attested by a note that Ard signed has been reduced to $0. Jonas's net share of Ard's taxable income for the year is $10,000.
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some companies that produce paper will also produce a by-product that is sold as a binder (something that binds, or holds, things together). from which part of trees does this by-product come
The part of trees this by-product comes from is lignin.
Lignin is found within the middle lamella, in addition to in the secondary mobile wall of xylem vessels and the fibers that enhance flowers. it is also discovered in epidermal and now and again hypodermal cellular walls of a few plant life.
Lignins are used regularly in formulations involving proteins however little is understood approximately the floor interactions among those important biomacromolecules. in this painting, we look at the interactions on the stable-liquid interface of lignin with the two important proteins in soy, glycinin (11S) and β-conglycinin.
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If interest rates in the U.S. increase significantly over a short period of time, we should expect to see:
A. consumption spending to increase and investment spending to decrease.
B. consumption spending to decrease and investment spending to increase.
B. consumption spending and investment spending to decrease.
D. consumption spending and investment spending to increase.
If Interest rates in the U.S. increase significantly over a short period of time, we should expect to see consumption spending and investment spending decrease. It's option C.
Interest rate means the cost a client pays to a lender for adopting finances over a period of time expressed as a change rate of the loan quantum. Companies would suddenly and suddenly be hit with advanced borrowing costs.
This would negatively have an impact on earnings, increase their cost of capital, and dampen investment. Also, investors would see their net worth plunge if they are invested in bonds.
Lower interest rates increase business investment by making it cheaper and easier for businesses to adopt plutocrats in order to finance new systems. They have much the same effect on consumers, who might act on a major new purchase or buy a home because low backing rates make it attainable.
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Prince Corporation holds 75 percent of the common stock of Sword Distributors Inc., purchased on December 31, 20X1, for $2,160,000. At the date of acquisition, Sword reported common stock with a par value of $900,000, additional paid-in capital of $1,250,000, and retained earnings of $530,000. The fair value of the noncontrolling interest at acquisition was $720,000. The differential at acquisition was attributable to the following items:
Inventory (sold in 20X2) $ 50,000 Land 70,000 Goodwill 80,000 Total Differential $ 200,000 During 20X2, Prince sold a plot of land that it had purchased several years before to Sword at a gain of $28,000; Sword continues to hold the land. In 20X6, Prince and Sword entered into a five-year contract under which Prince provides management consulting services to Sword on a continuing basis; Sword pays Prince a fixed fee of $92,000 per year for these services. At December 31, 20X8, Sword owed Prince $23,000 as the final 20X8 quarterly payment under the contract.
On January 2, 20X8, Prince paid $280,000 to Sword to purchase equipment that Sword was then carrying at $320,000. Sword had purchased that equipment on December 27, 20X2, for $480,000. The equipment is expected to have a total 15-year life and no salvage value. The amount of the differential assigned to goodwill has not been impaired.
At December 31, 20X8, trial balances for Prince and Sword appeared as follows:
Prince Corporation Sword Distributors Inc.
Item Debit Credit Debit Credit
Cash $ 52,700 $ 40,000 Current Receivables 102,800 90,400 Inventory 298,000 220,900 Investment in Sword Distributors 2,812,250 Land 406,000 1,211,000 Buildings & Equipment 2,570,000 3,080,000 Cost of Goods Sold 2,193,000 510,000 Depreciation & Amortization 184,000 83,000 Other Expenses 1,363,000 213,000 Dividends Declared 48,000 18,000 Accumulated Depreciation $ 1,098,000 $ 410,000 Current Payables 93,200 441,300 Bonds Payable 879,000 190,000 Common Stock 91,000 900,000 Additional Paid-in Capital 1,270,000 1,250,000 Retained Earnings, January 1 1,474,800 1,300,000 Sales 4,877,000 1,002,000 Other Income or Loss 93,000 27,000 Income from Sword Distributors 153,750 Total $ 10,029,750 $ 10,029,750 $ 5,493,300 $ 5,493,300 As of December 31, 20X8, Sword had declared but not yet paid its fourth-quarter dividend of $5,000. Both companies use straight-line depreciation and amortization. Prince uses the fully adjusted equity method to account for its investment in Sword.
Required:
a. Compute the amount of the differential as of January 1, 20X8.
b. Verify the balance in Prince’s Investment in Sword Distributors account as of December 31, 20X8.
c. Present all consolidation entries that would appear in a three-part consolidation worksheet as of December 31, 20X8. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field. Round your answers to nearest whole dollar amount.)
Straight line basis is a method of calculating depreciation and amortization, the method of expensing an asset over a longer length of time than when it was once purchased.
It is calculated by dividing the distinction between an asset's cost and its anticipated salvage fee by way of the quantity of years it is expected to be used.
How do you amortize the use of the straight line method?The straight line amortization equation to calculate straight line amortization is pretty simple. You subtract the anticipated salvage fee of the intangible asset from its book value, and then you divide that the ensuing amount via the variety of intervals that the asset will be active.
Amortization is the technique that is used to decrease the fee of the asset over time, whilst depreciation is the loss in fee of the asset over time. This perception helps in better appreciation the financial implications of the purchase and saving time, effort, and money.
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https://brainly.com/question/19091134#SPJ4Which of the following actions is unlikely to help make a company's branded footwear more competitive vis-a-vis the brands of rival firms?
a. Increasing advertising expenditures in those geographic regions where unit sales are lowest
b. Increasing the company's rebate offer from $6 to $8 in the geographic region where unit sales are lowest
c. Investing in plant upgrades to reduce the reject rates at each of the company's plants
d. Increasing the S/Q rating of the company's branded footwear from 5 stars to 7 stars in all four geographic regions
e. Signing more celebrities to endorsement contracts and thereby boosting the company's celebrity appeal ratings in all four geographic regions by 15 points or more
Putting money into upgrading the plants to lower the reject rates at all of the company's facilities.
The company will not be able to increase its market competitiveness by investing in plant upgrades. It can only possibly reduce the reject rate by 50% in roughly two years. After all of the parts, equipment, and materials have been received, upgrades typically take a year to complete, and it will take another year to determine how the upgrades affect production.
The majority of the footwear industry is made up of brands like Nike, Reebok, Adidas, and Puma. Basketball shoes, running shoes, and soccer shoes are just a few examples of specialized segments of this market where performance is the primary consideration.
However, some customers think fashion is important, which has put the footwear industry in a creative phase where performance and fashion are combined to create a new mix known as the lifestyle division. Because Nike and Adidas compete for mind share, or the attention of consumers, they use marketing strategies like brand ambassadors, product proliferation, and price to their advantage.
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I am attempting to create a new listing with a new product and receive this error:
The SKU does not match any ASIN and contains invalid value(s) for attributes required for creation of a new ASIN.
I purchased my GTIN UPCs directly from GS1 last week. I have been patiently waiting for them to validate on the Amazon side however I am still getting this error. All the details match in both systems, brand etc…
How can I get past this error to move forward. I opened a support case and it has been a never ending circle of getting nowhere with the support reps. Its like they don’t even read what is submitted. I’ve sent the brand, GS1 certificates, Product photos, manufacturer info - everything they ask for multiple times. Very frustrating.
Any ideas?
The problem will be rectified when you send in full documentation of the product to the company.
How to solve the problem?The problem is that the SKU does not match any ASIN and contains invalid values or attributes required for creation of a new ASIN.
To this regard also, keep on sending and reminding the sales REP
Based on this, you will receive a message acknowledging the error about adding your product.
An approval for replacement will be granted and a request to list the products.
In conclusion, you will be requested to list the GTIN UPCs rom GSI again for validation on the Amazon site.
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Coleman Manufacturing Co.'s static budget at 10,000 units of production includes $40,000 for direct labor and $6,000 for electric power. Total fixed costs are $20,000. At 12,000 units of production, a flexible budget would show
variable costs of $55,200 and $20,000 of fixed costs.
A flexible budget uses the variable cost per unit, and then the actual units are multiplied by this variable cost per unit. The variable costs are $40,000 direct labor costs and $6,000 electric costs. Thus, total variable costs is $46,000, which is then divided by 10,000 units to equal $4.60 variable costs per unit. Then, at 12,000 units, the budget for variable costs is $55,200 (12,000 × $4.60). The fixed costs by definition do not change at different levels of production.
C) $55,200 in variable costs and $20,000 in fixed costs. An ongoing cost that fluctuates in value in response to factors like output and sales revenue is known as a variable cost.
The static budget cost per unit for variable costs is applied to the actual units sold or produced in a flexible budget, which is an adjusted budget. The amounts in the static budget for fixed costs do not change.
Flexible budget 12,000 units $55,200 (46,000 x (12,000/10,000)) $20,000 $75,400
tactic budget 10,000 units $46,000 $20,000 $66,000.
Budgets that can be adjusted in response to changes in revenue and costs over the course of the fiscal year are known as "flexible budgets," and they take into account the expected unpredictability. Companies begin by taking into account the anticipated fixed costs—or at least the costs that they do not anticipate changing throughout the course of the year.
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Full Question = Coleman Manufacturing Co.'s static budget at 10,000 units of production includes $40,000 for direct labor and $6,000 for electric power. Total fixed costs are $20,000. At 12,000 units of production, a flexible budget would show
a. variable and fixed costs totaling $79,200.
b. variable costs of $46,000 and $20,000 of fixed costs.
c. variable costs of $55,200 and $20,000 of fixed costs.
d. variable costs of $55,200 and $24,000 of fixed costs.
marketing techniques can be categorized into two categories: program-based techniques and technology-based techniques
A healthcare marketing plan is a written document that specifies the medical practice's marketing techniques and the particular steps that must be performed to meet objectives.
Your ability to engage with more patients and develop those ties into lifelong, devoted clients is made possible by healthcare marketing. Good patient involvement follows successful healthcare marketing, which in turn promotes a thriving practice. Concerns about confidentiality emerge when patient data is exploited for marketing campaigns. Increasing patient involvement in their own treatment is essential for saving costs, enhancing results, and minimizing health risks. Healthcare marketing is a task that need constant adjustment to the laws and trends of the day. Because a person's health and a facility's opportunity to give care are at stake, it also necessitates a different strategy for interacting with customers than other marketing.
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a single worker at the ice cream production plant used to fill the container, put the lid on the container, seal the container, and then place it in the packing box. today the process is not as complex because the assembly line has been designed for two workers to get the job done at an even faster rate. structuring the assembly line to maximize efficiency is an example of which of the following? multiple choice question.
Structuring the assembly line to maximize efficiency is considered to be an example of Industrial Engineering.
Industrial Engineering is said to be concerned with the analysis, design, and control of production and service operations and systems. In the past, an industrial engineer was said to work in a manufacturing plant and was involved with the operating efficiency of the workers and also the machines.
However, this is considered as an expanding profession as here industrial engineers are said to work can help with cost control by increasing the efficiency.
Hence, the industrial engineers tend to find ways in order to eliminate wastefulness in production processes.
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sunshine clothing company issues 1,000 shares of $1 par value common stock at $30 per share. later in the year, the company decides to purchase 100 shares at a cost of $33 per share. record the purchase of treasury stock.
The journal entry would be:
Debit: Treasury Stock - $3,300
Credit: Cash - $3,300.
Treasury stock is stock that a company has repurchased from the open market and is no longer considered outstanding. The company holds treasury stock as a way to control the number of shares that are available on the market. Treasury stock is not entitled to any corporate rights, such as dividends or voting rights.
The journal entry for treasury stock is a debit to the treasury stock account and a credit to the cash account. The amount of the debit is the amount paid for the stock. The amount of the credit is the same amount.
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jovan is an efficient member of the design team at cheer advertising. however, he is often burdened with extra work that forces him to work overtime. frustrated by this situation, he wrote an email to the head of the design department expressing the difficulties he is facing at work. in this scenario, jovan has engaged in
A) downward communication
B) upward communication
C) horizontal communication
D) informal communication
jovan is an efficient member of the design team at cheer advertising. however, he is often burdened with extra work that forces him to work overtime. frustrated by this situation, he wrote an email to the head of the design department expressing the difficulties he is facing at work. in this scenario, jovan has engaged in upward communication. Thus correct option (b).
Describe upward communication with an example.
Meetings at work are an illustration of upward communication since they promote face-to-face interaction between senior management and lower-level staff.
Cooperation, friendliness, and understanding between employers and workers are fostered via upward communication. They become more kind and experience a sense of empowerment. Feedback from upward communication is really helpful.
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Answer: Its B
Explanation:
riegel company uses the lcnrv method, on an individual-item basis, in pricing its inventory items. the inventory at december 31, 2025, consists of products d, e, f, g, h, and i. relevant per unit data for these products appear below. item d e f g h i estimated selling price $120 $110 $95 $90 $110 $90 cost 75 80 80 80 50 36 cost to complete 30 30 25 35 30 30 selling costs 10 18 10 20 10 20 instructions using the lcnrv rule, determine the proper unit value for balance sheet reporting purposes at december 31, 2025, for each of the inventory items above.
A component of the present assets is an inventory. The inventory of goods consists of those that are purchased and then resold to the general public for a greater price.
The lower of cost or net realisable value is used to measure inventories (LCNRV).
We deduct the expected cost to complete from the estimated selling price to arrive at the net realisable value.
Item I, Item D, Item E, Item F, Item G
Cost 75 80 80 80 50 36 Cost to complete $120 $110 $95 $90 $110 $90 Estimated selling price 30 30 25 35 30 30
Selling expenses 10 18 10 20 10 20
Item D $75
Item E $62
Item F $60
Item G $35
Item H $50
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