At any particular point in time, the output of the economy: A. is fixed because the supplies of capital and labor and the technology are fixed. B. is fixed because the demand for goods and services is fixed. C. varies because the supplies of capital and labor vary. D. varies because the technology for turning capital and labor into goods and services varies.

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Answer 1

At any particular point in time, the output of the economy varies because the supplies of capital and labor vary So correct answer is C.

At any particular point in time, the output of the economy can vary due to different factors. Option C is partially correct as the supplies of capital and labor can vary, resulting in a change in the output of the economy. However, this is not the only factor that affects the output of the economy.Option D is the most accurate answer as the technology for turning capital and labor into goods and services can vary, resulting in a change in the output of the economy. For example, if there is an innovation in the manufacturing process, the same amount of capital and labor can produce more goods and services, resulting in an increase in output.

In conclusion, the output of the economy can vary due to multiple factors, including changes in the supplies of capital and labor, changes in the demand for goods and services, and changes in technology. Therefore, none of the options provided in the question accurately represent the full picture of what affects the output of the economy. Capital and labor are two essential factors of production, and their availability can change due to factors such as investments, population growth, and labor market conditions. These variations in capital and labor supplies can lead to fluctuations in the economy's output.

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Carla Vista Co. had the following two transactions related to its delivery truck. 1. Paid $48 for an oil change. 2. Paid $549 to install special shelving units, which increase the operating efficiency of the truck. Prepare Carla Vista Co.’s journal entries to record these two transactions. Carla Vista Co. had the following two transactions related to its delivery truck. 1. 2. Paid $48 for an oil change Paid $549 to install special shelving units, which increase the operating efficiency of the truck. Prepare Carla Vista Co's journal entries to record these two transactions. (Credit account titles are automatically indented when amount is entered. Do not indent manually.If no entry is required, select "No Entry"for the account titles and enter O for the amounts.) No.Account Titles and Explanation Debit Credit 1. 2.

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The journal entries to record the two transactions for Carla Vista Co. are as follows:

1. Debit: Maintenance Expense ($48)

  Credit: Cash ($48)

2. Debit: Delivery Truck Enhancement ($549)

  Credit: Cash ($549)

1. The first transaction involves paying $48 for an oil change. This expense falls under maintenance expenses. The journal entry would be recorded by debiting the Maintenance Expense account with $48 and crediting the Cash account with the same amount.

2. The second transaction is the payment of $549 to install special shelving units that enhance the operating efficiency of the delivery truck. This cost is considered an enhancement or improvement to the truck's asset value. The journal entry would be recorded by debiting the Delivery Truck Enhancement account with $549 and crediting the Cash account with the same amount.

In both entries, the debits represent the increase in expenses or enhancements, while the credits represent the decrease in cash. These journal entries help accurately record and track the expenses and enhancements related to the delivery truck for Carla Vista Co.

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A monopolist is able to practice third-degree price discrimination between two markets. The demand function in the first market is 9₁ 240 - 4p2. The monopolist's total cost function is C(Q) = Q² where Q = 9₁ +92. To and the demand function in the second market is 92 = maximize his profits, he should a. charge a higher price in the first market than in the second. b. charge the same price in both markets. c. charge a higher price in the second market than in the first. d. sell only in one of the two markets.

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a. Charge a higher price in the first market than in the second.

To determine the profit-maximizing pricing strategy for the monopolist practicing third-degree price discrimination, we need to compare the demand functions in both markets and consider the total cost function.

The demand function in the first market is:

Q1 = 240 - 4P1, where Q1 represents the quantity demanded in the first market, and P1 represents the price charged in the first market.

The demand function in the second market is:

Q2 = 92 - P2, where Q2 represents the quantity demanded in the second market, and P2 represents the price charged in the second market.

The total cost function is:

C(Q) = Q²2, where Q represents the total quantity produced and sold.

To maximize profits, the monopolist should set prices in each market to maximize the difference between total revenue and total cost.

To do this, we need to determine the marginal revenue (MR) in each market. The MR is the derivative of the total revenue with respect to quantity (dTR/dQ).

For the first market:

TR1 = P1 * Q1

MR1 = d(TR1) / dQ1

Taking the derivative of TR1 with respect to Q1:

MR1 = d(P1 * Q1) / dQ1

MR1 = P1 - 4Q1

For the second market:

TR2 = P2 * Q2

MR2 = d(TR2) / dQ2

Taking the derivative of TR2 with respect to Q2:

MR2 = d(P2 * Q2) / dQ2

MR2 = P2 - 1

To maximize profits, the monopolist should set MR1 equal to MC1 (the marginal cost in the first market) and MR2 equal to MC2 (the marginal cost in the second market).

Since the cost function is C(Q) = Q^2, the marginal cost (MC) is the derivative of the cost function with respect to quantity (dC/dQ).

MC = dC(Q) / dQ

MC = d(Q²2) / dQ

MC = 2Q

Setting MR1 equal to MC1:

P1 - 4Q1 = 2Q1

Simplifying the equation:

5Q1 = P1

Setting MR2 equal to MC2:

P2 - 1 = 2Q2

Simplifying the equation:

2Q2 = P2 - 1

Now, we compare the prices in each market:

If 5Q1 > 2Q2 (which means P1 > P2), the monopolist should charge a higher price in the first market than in the second (option a).

Therefore, the answer is:

a. Charge a higher price in the first market than in the second.

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A firm has ROA (Return on Assets) of 16% and has the debt-equity ratio of 40%. What's the Return on Equity (ROE)? O 16.00% O 19.80% O 25.40% O 22.40%

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The formula for ROE is ROA x (1 + D/E), where D/E is the debt-equity ratio expressed as a decimal. Plugging in the given numbers, we get: ROE = 16% x (1 + 0.4)

ROE = 16% x 1.4
ROE = 22.40%

To find the return on equity (ROE) for a firm with a return on assets (ROA) of 16% and a debt-equity ratio of 40%, you can use the following formula:
ROE = ROA * (1 + Debt-Equity Ratio)

First, convert the debt-equity ratio to decimal form: 40% = 0.4
Now, plug the values into the formula:
ROE = 0.16 * (1 + 0.4)
ROE = 0.16 * 1.4
ROE = 0.224

Convert the result back to a percentage: 0.224 = 22.4% So, the Return on equity (ROE) for the firm is 22.4%.

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Suppose a five-year, $1000 bond with annual coupons has a price of $1050 and a yield to maturity of 6%. What is the bond's coupon rate? $ 1,050= C× 1. 0(. 1 − ...

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The bond's coupon rate, according to the question, is 4%.

The coupon rate of a bond refers to the annual interest payment as a percentage of the bond's face value. In this case, we have a five-year bond with a face value of $1000, an annual coupon payment, a price of $1050, and a yield to maturity of 6%.

To calculate the coupon rate, we can use the formula:

Bond Price = Coupon Payment × Present Value Factor + Face Value × Present Value Factor

Given that the bond's price is $1050 and the face value is $1000, we can rearrange the formula to solve for the coupon payment:

Coupon Payment = (Bond Price - Face Value) / Present Value Factor

Using the given yield to maturity of 6% and a five-year term, we can calculate the present value factor. Assuming annual coupon payments, the present value factor is 1/(1 + Yield to Maturity)^n, where n is the number of years.

Substituting the values into the formula, we have:

Coupon Payment = ($1050 - $1000) / Present Value Factor

Calculating the present value factor:

Present Value Factor = 1 / (1 + 0.06)^5 = 0.74726

Substituting the present value factor into the formula:

Coupon Payment = ($1050 - $1000) / 0.74726 = $53.36

Therefore, the bond's coupon rate is $53.36 / $1000 = 0.05336 or 5.336%, which can be rounded to 4%.

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the advantage of using normal costing instead of actual costing is

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One advantage of using normal costing instead of actual costing is that it provides a more accurate measure of the cost of production over a longer period of time. Normal costing uses predetermined overhead rates based on estimates of the amount of overhead that will be incurred during the production process. This allows for a more stable cost calculation, as actual costs may fluctuate significantly due to unexpected events or changes in production processes.

Additionally, normal costing is simpler to implement and requires less frequent adjustments, which can save time and reduce administrative costs. However, it is important to note that normal costing may not reflect actual costs in the short term, and adjustments may need to be made if significant variances occur between estimated and actual overhead costs.

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flawed ways to pursue a strategy to be a low-cost provider of branded footwear include A. failure to build and operate sizable production facilities (3 million pairs of capacity or more) in each of the four geographic regions and not producing/marketing branded footwear with an S/Q rating that is a minimum of 1-star above the industry-average in each geographic region. B. producing branded footwear that is not at least 2-stars below the industry average S/Q rating in each of the four geographic regions. C.failure to use green/environmentally-friendly materials in producing the company's footwear. D. overspending on efforts to reduce the company's distribution and warehouse expenses to an amount below $2 per pair sold in each of the four geographic regions. E. not exerting strong enough competitive efforts to produce and market branded footwear that has "adequate" to good" buyer appeal, thereby enabling the company to achieve high sales volumes and large market shares without the necessity of cutting the prices company charges for branded footwear to levels so low that the resulting super-thin profit margins per pair sold translate into unattractively low earnings per share. Copying, redistributing, or website posting is expressly prohibited and constitutes copyright violation.

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Flawed ways to pursue a strategy to be a low-cost provider of branded footwear include not building and operating sizable production facilities in each geographic region and producing/marketing footwear with a low S/Q rating.

Flawed ways to pursue a low-cost provider strategy for branded footwear include:

1. Failing to build and operate sizable production facilities (3 million pairs or more) in each geographic region and not producing/marketing footwear with an S/Q rating at least 1-star above the industry average. This can lead to insufficient production and lower quality products.

2. Producing footwear with an S/Q rating 2-stars below the industry average in each region, which can negatively impact brand reputation and customer satisfaction.

3. Not using environmentally-friendly materials in production, potentially harming the company's image and causing customer backlash.

4. Overspending on reducing distribution and warehouse expenses, which can lead to cutting costs in other essential areas, impacting overall performance.

5. Not exerting strong competitive efforts to produce and market footwear with adequate buyer appeal, resulting in low sales volumes, small market shares, and unattractive earnings per share due to super-thin profit margins from low prices.

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Which of the following arguments for privacy does NOT include dignity and well-being? a Kantian b Libertarian c Utilitariarn

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The argument for privacy that does not include dignity and well-being is c) Utilitarian.

Kantian and libertarian arguments for privacy often emphasize the importance of dignity and well-being as fundamental rights and values. Kantian ethics emphasizes the intrinsic value of human dignity and the respect for individual autonomy, which includes the right to privacy. Libertarian perspectives also prioritize individual rights and freedoms, recognizing privacy as essential for personal autonomy and protection from unjust interference.

On the other hand, utilitarian arguments for privacy typically focus on the overall societal benefits that privacy can bring, such as fostering trust, encouraging innovation, and promoting social harmony. While utilitarian arguments may acknowledge the value of individual well-being to some extent, they tend to prioritize the collective utility or societal outcomes rather than the inherent dignity and well-being of individuals.

Therefore, the utilitarian argument for privacy does not explicitly include dignity and well-being as central considerations.

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which of the following is not a particularly sound or valid reason why deliberate pursuit of unethical strategies and tolerance of unethical conduct is a risky practice?

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Of the following reasons, the one that is not particularly sound or valid for why the deliberate pursuit of unethical strategies and tolerance of unethical conduct is a risky practice is: The belief that being unethical can always lead to long-term success.
The pursuit of unethical strategies and tolerance of unethical conduct can lead to severe consequences such as loss of reputation, legal actions, and financial penalties. However, there is no valid reason to intentionally pursue unethical strategies or tolerate unethical conduct as it can also lead to a decrease in employee morale, customer loyalty, and overall company culture. In the long run, it is not a sustainable or successful business practice and can ultimately harm the company's success.
The reason this statement is not sound or valid is that while some companies may experience short-term success with unethical practices, it is not a sustainable strategy in the long run. Unethical conduct can lead to negative consequences such as legal issues, reputational damage, and loss of trust from customers and stakeholders.

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Which report would you use to show top-selling and/or worst selling products? quickbooks online
Product/Service List
Transaction List by Tag Group
Sales by Customer Summary
Sales by Product/Service Summary

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To show top-selling and/or worst selling products in QuickBooks Online, you would use the Sales by Product/Service Summary report. This report shows a breakdown of sales by product or service, including quantity sold, total sales, and average price.

You can sort the report by total sales to see which products are the top sellers, or by quantity sold to see which products are the most popular. This report is a great tool for analyzing your sales data and identifying areas where you may need to adjust your inventory or pricing strategy. Overall, the Sales by Product/Service Summary report is essential for any business looking to maximize profits and optimize their product offerings.
To show top-selling and/or worst-selling products in QuickBooks Online, you should use the "Sales by Product/Service Summary" report. This report provides a detailed summary of sales for each product or service, allowing you to easily identify the best and worst performers. To generate this report, follow these steps:

1. Log in to your QuickBooks Online account.
2. Click on "Reports" in the left sidebar menu.
3. In the search bar, type "Sales by Product/Service Summary" and select the report from the list.
4. Adjust the date range and any other filters as needed to get the desired data.
5. Click "Run report" to generate the summary.

By analyzing the "Sales by Product/Service Summary" report, you can make informed decisions about which products to focus on promoting and which ones may need improvement or discontinuation.

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in 2010, 1 swiss franc cost .56 british pounds and in 2012 it cost .51 british pounds. how much would 1 british pound purchase in swiss francs in 2010 and 2012?

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in 2010, 1 British pound could purchase 1.79 Swiss francs and in 2012, it could purchase 1.96 Swiss francs

To calculate how much 1 British pound would purchase in Swiss francs in 2010, we need to divide 1 by .56, which gives us 1.79 Swiss francs. Similarly, to calculate how much 1 British pound would purchase in Swiss francs in 2012, we need to divide 1 by .51, which gives us 1.96 Swiss francs. So, in 2010, 1 British pound could purchase 1.79 Swiss francs and in 2012, it could purchase 1.96 Swiss francs. This means that the value of the Swiss franc increased relative to the British pound between 2010 and 2012. It's important to note that currency exchange rates are constantly fluctuating, and these rates are based on many factors including the strength of each country's economy, political events, and global market trends.

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You have finally compiled your perfect portfolio. What is the beta of your perfect portfolio? The risk-free rate is 3%, the market return is 8%.
Stock Amount Invested Beta
A $4 million 1.8
B $2 million 1.6
C $2 million 1.4
D $1 million 0.8
E $1 million 0.4

Answers

The beta of the perfect portfolio can be calculated by weighting the betas of individual stocks based on the amount invested in each stock.

The beta of the perfect portfolio can be calculated by weighting the betas of individual stocks based on the amount invested in each stock. To calculate the beta of the perfect portfolio, you would multiply the beta of each stock by the respective amount invested, sum up these values, and divide by the total amount invested in the portfolio.

In this case, the weighted beta calculation would be: (4 million x 1.8 + 2 million x 1.6 + 2 million x 1.4 + 1 million x 0.8 + 1 million x 0.4) / (4 million + 2 million + 2 million + 1 million + 1 million).

The calculation results in a beta of 1.42 for the perfect portfolio. This beta represents the overall systematic risk of the portfolio, taking into account the weights and betas of the individual stocks. A beta of 1.42 indicates that the perfect portfolio is expected to be 42% more volatile than the overall market.

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High P/E ratios tend to indicate that a company will _______, ceteris paribus. A) grow quickly B) grow at the same speed as the average company C) grow slowly D) not grow E) none of the above

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High price-to-earnings (P/E) ratios tend to indicate that a company will (A) grow quickly, ceteris paribus.

The P/E ratio is a valuation metric that compares a company's stock price to its earnings per share (EPS). A high P/E ratio suggests that investors are willing to pay a premium for each dollar of earnings generated by the company. This typically occurs when investors have high expectations for future growth and are willing to pay a higher price for the company's shares.

A high P/E ratio can be interpreted as a signal of investor optimism and confidence in the company's prospects. It implies that investors believe the company will continue to generate strong earnings and experience above-average growth in the future. Consequently, companies with high P/E ratios are often viewed as growth stocks, attracting investors seeking capital appreciation rather than income.

However, it's important to note that a high P/E ratio alone does not guarantee future growth. Other factors such as the company's competitive position, industry dynamics, management effectiveness, and macroeconomic conditions also influence a company's growth prospects. Therefore, while a high P/E ratio suggests the potential for fast growth, it should be considered in conjunction with other fundamental and qualitative factors to make a more informed investment decision.

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Higher inflation than was expected back at the time that a loan is arranged is your friend when you are the
a) lender
b) borrower

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Higher inflation than was expected back at the time that a loan is arranged is your friend when you are the borrower. This is because inflation reduces the value of money over time, which means that the borrower will be paying back the loan with money that is worth less than what they borrowed.

On the other hand, the lender will be receiving payments in money that is worth less than what they originally lent, which means that inflation is not in their favor. When you are the following, higher inflation than anticipated at the time a loan is secured is your friend: Borrower (b) When inflation is more than planned, it helps the borrower since they can repay the loan with money that is less valuable than they originally anticipated. Inflation reduces the purchasing power of money. A decreased real cost of borrowing is the effect of this. Lenders lose out because they receive payments that have less purchasing power in the meantime.

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rx has an ending retained earnings balance of $51,100. if during the year dw paid dividends of $5,100 and had net income of $31,900, then what was the beginning retained earnings balance?

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According to the given question, the beginning retained earnings balance for RX was $24,300.

To determine the beginning retained earnings balance when the ending retained earnings balance for RX is $51,100, dividends paid are $5,100, and net income is $31,900, follow these steps:
So, the equation would be:

Beginning retained earnings balance = Ending retained earnings balance - Net income - Dividends paid

Plugging in the values given in the question, we get:

Beginning retained earnings balance = $51,100 - $31,900 - $5,100

Solving this equation, we get the beginning retained earnings balance of $14,100.

Therefore, the beginning retained earnings balance for RX is $14,100.

1. Calculate the total change in retained earnings by subtracting the dividends paid from the net income: $31,900 minus $5,100 = $26,800.
2. Find the beginning retained earnings balance by subtracting the total change in retained earnings from the ending balance: $51,100 minus $26,800 = $24,300.

So, the beginning retained earnings balance for RX was $24,300.

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In the New Keynesian model how should the central bank change its target interest rate in response to each of the following shocks? Use diagrams and explain your results. a. There is an increase in money demand. b. Total factor productivity is expected to decrease in the future.

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In the New Keynesian model, the central bank should adjust its target interest rate in response to various shocks to maintain stability in the economy.

a. Increase in money demand: An increase in money demand implies that households and firms want to hold more money for transactions and precautionary purposes. This results in a decrease in the velocity of money, causing a decrease in aggregate demand. To counteract this shock, the central bank should lower its target interest rate to encourage borrowing and investment, which will increase aggregate demand and stimulate economic growth.

An increase in money demand shifts the LM curve to the left, causing an equilibrium at a lower level of output and a higher interest rate. To offset this shock, the central bank should decrease the target interest rate, which shifts the LM curve to the right, leading to an increase in output and a decrease in the interest rate.

b. Expected decrease in total factor productivity (TFP): An expected decrease in TFP implies a decrease in the potential output of the economy, which shifts the production function downward. This causes a decrease in aggregate supply, resulting in higher prices and lower output. To counteract this shock, the central bank should raise its target interest rate to reduce aggregate demand and prevent inflation.

An expected decrease in TFP shifts the production function downward, leading to a decrease in potential output. This results in a leftward shift of the aggregate supply curve, causing an equilibrium at a higher price level and lower output. To offset this shock, the central bank should increase the target interest rate, which shifts the IS curve to the left, leading to a decrease in output and a decrease in the price level.

In conclusion, the New Keynesian model suggests that the central bank should adjust its target interest rate in response to various shocks to maintain stability in the economy. An increase in money demand should be countered with a decrease in the target interest rate, while an expected decrease in TFP should be countered with an increase in the target interest rate.

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a good that is rival but non exclusive is called a. a private good b. a public good can. d. a quasi-private good d. an external good e. an open access good

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A good that is rival but non-exclusive is called a quasi-private good.

This type of good is also known as a club good, which is a good that is consumed by a limited group of people who have access to it, but the consumption of one person does not prevent others from consuming it as well. This is where the good is rival because the consumption of one person reduces the amount of the good available to others, but it is non-exclusive because the good is accessible to more than one person.A classic example of a quasi-private good is a cable television subscription. Cable television is a rival good because the more people that are watching it, the more crowded the channels become, and the less viewing quality available to each viewer. However, it is non-exclusive because many households can subscribe to cable television and receive the same channels without preventing others from also subscribing and watching.Quasi-private goods can be contrasted with private goods, which are both rival and exclusive, and public goods, which are non-rival and non-exclusive. Private goods, such as food or clothing, are only consumed by one person at a time, and exclusive to those who purchase or own them. Public goods, such as clean air or national defense, are non-rival and non-exclusive because they are not depleted by consumption and are accessible to all.

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true/false. a correlation coefficient of provides the greatest risk deduction.

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False. A correlation coefficient does not provide the greatest risk deduction.

A correlation coefficient measures the strength and direction of the relationship between two variables. It is a statistical measure that ranges from -1 to +1.

While a correlation coefficient can provide insights into the relationship between variables, it does not directly provide risk deduction or risk reduction. The correlation coefficient indicates the degree to which the variables move together or in opposite directions, but it does not determine the level of risk or provide a measure of risk reduction.

Risk deduction or risk reduction typically involves diversifying investments or implementing risk management strategies to minimize the impact of adverse events. These strategies may include spreading investments across different asset classes, industries, or geographical regions to reduce the concentration of risk.

While correlation can play a role in diversification, the concept of risk deduction or risk reduction involves a broader analysis of factors such as risk tolerance, asset allocation, and risk management techniques. Therefore, it is incorrect to claim that a correlation coefficient provides the greatest risk deduction.

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a bond with a coupon rate of 5% has a ytm of 3%. the bond is trading a. at a discount b. at par c. cannot be determined d. at a premium g

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The bond is trading at a premium. This is because the coupon rate of 5% is higher than the current yield of 3%, meaning that investors are willing to pay more than the face value of the bond in order to receive the higher coupon payments.

The calculation of the bond's price to confirm the main answer. Using the formula for the present value of a bond, we can calculate the price of the bond:

Price = (Coupon Payment / (1 + YTM)^1) + (Coupon Payment / (1 + YTM)^2) + ... + (Coupon Payment + Face Value / (1 + YTM)^n)

Assuming that the bond has a face value of $1,000 and pays semi-annual coupons, we can plug in the given values to get:

Price = ($25 / 1.015) + ($25 / 1.015^2) + ... + ($25 + $1,000 / 1.015^20)
Price = $1,040.89

Since the price of the bond is higher than its face value, we can conclude that it is trading at a premium.

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At the end of the meeting, Martin agreed to take the proposals and summarize them in the following chart: Order Quantity (units) Number of Cases per Order Orders per Year Annual Ordering Cost Annual ICC Annual Total Cost Ferguson EOQ to nearest whole case EOQ Patrachalski QUESTIONS: 1. What is the cost difference between Ferguson's proposal to order 4 cases each time and Patrachalski's proposal to order 32 cases each time? 2. Lewin suggested looking at economic order quantity. Based on the lowest total annual cost, what order quantity should Martin recommend? 3. Let's explore the concept of "robustness." Lewin's proposal to use economic order quantity may be unrealistic since SM would like to place orders in whole cases. If the order quantity is decreased to the nearest whole case (which is a 2.78% reduction) what percent would your total annual cost change? What percent would your annual total cost change if the order quantity is increased to the nearest whole case? Hint: Use the formula ([New Total Cost / Old Total Cost] -1). Intro/Case Summary: Seahawk Manufacturing provider of grain towers/silos for farms VP needs help resolving an issue between Finanaicl Comptroller and Purchasing director. Ferguson said the cost to carry inventory is 32% and is trying to keep inventory costs low. Patrachalski's intern identified ordering costs and found every order placed is $58 regardless of quantity. VP of manufacturing would like them to meet in the middle but is not sure if it is the best solution. Seahawk's manufacturing goals are to reduce cost and increase profitability. Offering the two a test case proposing which order policy to go with. The Unit cost is $150.00, Order quantity is 18,752 units per 365 day year. 15 units per case. Lead time: 8 days with a standard deviation of 2 days Patrachlaski stated he was trying to keep his purchasing cost down by ordering in larger quantities and suggested buying 32 cases at a time. Also indicated he would avoid ordering partial cases which may result in incorrect quantities and consequently higher costs. Ferguson claimed the most important issue was the cost to carry inventory and argued for ordering 4 cases at a time to keep average inventories low. Lewin suggested using an economic order quantity - which determines the lowest total inventory cost by calculating the optimum order quantity detonated as Q. EOQ is the tradeoff between inventory carrying cost and ordering cost- the exact trade-off we are facing in Fiance and Purchasing.

Answers

The annual ordering cost for Ferguson would be $58 per order, resulting in an annual ordering cost of $72,500 (1,250 orders * $58 per order). Similarly, the annual ordering cost for Patrachalski would also be $58 per order, resulting in an annual ordering cost of $72,500 (1,250 orders * $58 per order). Therefore, there is no cost difference between the two proposals.

The cost difference between Ferguson's proposal to order 4 cases each time and Patrachalski's proposal to order 32 cases each time can be calculated by comparing their annual total costs. Since the order quantity is given as 15 units per case and there are 18,752 units per year, Ferguson would need to place 1,250 orders (18,752 units / 15 units per case) if ordering 4 cases at a time. Patrachalski, on the other hand, would need to place 1,250 orders (18,752 units / 15 units per case) if ordering 32 cases at a time.

To determine the order quantity that Martin should recommend based on the lowest total annual cost, the economic order quantity (EOQ) should be calculated. EOQ is the order quantity that minimizes the total annual cost by balancing the inventory carrying cost and the ordering cost. The given information does not include the carrying cost per unit or the cost of inventory holding, which are required to calculate the EOQ. Without these values, it is not possible to determine the specific order quantity that Martin should recommend.

The concept of "robustness" explores the impact of changing the order quantity on the total annual cost. Without specific values for the carrying cost per unit and the cost of inventory holding, it is not possible to calculate the exact percent change in the total annual cost when the order quantity is decreased or increased. The formula mentioned in the hint ([New Total Cost / Old Total Cost] - 1) requires the specific values of the old and new total costs. Therefore, without additional information, the percent change in the total annual cost cannot be determined.

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mozart borrowed a mortgage loan of $143,200. the loan terms require montly payments of 20 years at an apr of 4.75 percent, compounded montly. what is the amount of each mortgage payment?

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The amount of each mortgage payment for Mozart's loan of $143,200, with monthly payments over 20 years at an APR of 4.75%, compounded monthly, is $906.92.

To calculate the amount of each mortgage payment, we can use the formula for mortgage payments: [tex]P = L[c(1 + c)^n]/[(1 + c)^n - 1][/tex], where P is the monthly payment, L is the loan amount, c is the monthly interest rate (APR/12), and n is the total number of payments (20 years * 12 months/year).

Plugging in the values, we get: [tex]P = 143200[(0.0475/12)(1 + 0.0475/12)^240]/[(1 + 0.0475/12)^240 - 1][/tex]


Simplifying this expression, we get: P = $906.92

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when is it appropriate for her to use them? when she needs to provide objective background data when she wants to summarize or paraphrase when she needs to fill half a page with information

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It is appropriate for her to use objective background data when she needs to provide factual information that supports her arguments or provides context for the topic at hand. Objective background data refers to verifiable and unbiased information that is based on research or reliable sources. By incorporating such data, she can strengthen the credibility and reliability of her writing.

Objective background data is useful in various situations. When she wants to provide evidence or support for her claims, using objective background data helps to add credibility and persuasiveness to her arguments. It provides a solid foundation of facts and information that can help convince her audience of the validity of her viewpoint.

Additionally, objective background data is valuable when she wants to summarize or paraphrase information. These techniques allow her to condense complex ideas or research findings into a more concise and understandable form. By summarizing or paraphrasing, she can present information in a clear and digestible manner, making it easier for her audience to grasp the main points without getting overwhelmed by excessive details.

In summary, using objective background data is appropriate when she needs to provide factual support or context for her writing. It enhances the credibility of her arguments and helps to establish a strong foundation of reliable information. Additionally, summarizing or paraphrasing allows her to present information in a more concise and understandable manner.

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item 37 an increasingly popular approach that integrates financial and customer performance measures with measures in the areas of internal operations, learning, and growth is known as:

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Item 37 refers to an increasingly popular approach that integrates financial and customer performance measures with measures in the areas of internal operations, learning, and growth. This approach is known as the Balanced Scorecard.

The Balanced Scorecard is a strategic performance management framework that was first introduced by Robert Kaplan and David Norton in the early 1990s. It is designed to provide a balanced view of an organization's performance by considering not only financial metrics but also non-financial indicators that are critical for long-term success.

The Balanced Scorecard recognizes that financial measures alone are insufficient to assess the overall performance and health of a company. It takes into account other perspectives that are equally important in driving organizational success. These perspectives include the customer perspective, internal process perspective, and learning and growth perspective.

The customer perspective focuses on understanding and meeting customer needs and expectations. It involves measuring key customer satisfaction metrics, such as customer retention rates, market share, and customer loyalty. By monitoring these indicators, organizations can ensure that they are delivering value to their customers and building strong relationships.

The internal process perspective looks at the internal operations and processes that drive customer satisfaction and financial performance. It involves identifying critical processes, measuring their efficiency and effectiveness, and continuously improving them. This perspective helps organizations identify areas where they can streamline operations, reduce costs, and enhance productivity.

The learning and growth perspective recognizes that an organization's ability to innovate, learn, and develop its employees is crucial for long-term success. It involves measuring indicators related to employee training, skills development, knowledge sharing, and organizational culture. By investing in employee development and creating a culture of continuous learning, organizations can enhance their capabilities and adapt to changing market conditions.

By integrating these different perspectives, the Balanced Scorecard provides a comprehensive view of an organization's performance. It helps align the various functions and departments towards common strategic objectives and ensures that decision-making is based on a balanced set of measures. It also facilitates communication and collaboration across the organization, as employees at all levels can understand how their actions contribute to overall performance.

The Balanced Scorecard has gained popularity because it provides a holistic and balanced approach to performance management. It goes beyond financial measures and incorporates a broader set of indicators that are aligned with the organization's strategy and long-term goals. By using the Balanced Scorecard, organizations can better track their progress, identify areas for improvement, and make informed decisions to drive sustainable success.

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QUESTION 12 Assume that if M = 20,000, then QdX = 2400, and if M = 30,000, then QdX = 4900. Use these two income levels and quantities demanded of X to calculate the value of the income elasticity of demand. 0.71 O 1.71 1.36 -0.71

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The calculated value of the income elasticity of demand is approximately 2.08, which does not match any of the given options.

To calculate the income elasticity of demand, we need to use the formula:

Income elasticity of demand (Ey) = (% change in quantity demanded / % change in income)

First, let's calculate the percentage change in quantity demanded and income.

When M changes from 20,000 to 30,000, there is an increase of (30,000 - 20,000) = 10,000 in income.

The percentage change in income can be calculated as follows:

% change in income = (10,000 / 20,000) * 100% = 50%

Next, let's calculate the percentage change in quantity demanded.

When M changes from 20,000 to 30,000, QdX changes from 2,400 to 4,900.

The change in quantity demanded is (4,900 - 2,400) = 2,500.

The percentage change in quantity demanded can be calculated as follows:

% change in quantity demanded = (2,500 / 2,400) * 100% ≈ 104.17%

Now we can calculate the income elasticity of demand using the formula:

Ey = (% change in quantity demanded / % change in income)

Ey = (104.17% / 50%) ≈ 2.08

Therefore, the value of the income elasticity of demand is approximately 2.08.

Looking at the given options, none of them match the calculated value of 2.08. The closest option is 1.71, but it is still not the exact value.

It's important to note that the income elasticity of demand is a measure of how responsive the quantity demanded of a good is to changes in income. In this case, since the income elasticity of demand is positive (greater than zero), we can conclude that the good is a normal good. The magnitude of the elasticity (greater than 1) indicates that the good is income elastic, meaning that the quantity demanded is relatively sensitive to changes in income.

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Under the temporal method, how would cost of goods sold be remeasured? A) Beginning of the year rate. B) Average rate. C) Current rate. D) A single historical rate. E) Historical rates.

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Under the temporal method cost of goods sold be remeasured is E) Historical rates.

Under the temporal method, the cost of goods sold (COGS) is remeasured using different exchange rates depending on the nature of the inventory.

The temporal method is used to translate financial statements of foreign subsidiaries into the reporting currency of the parent company. It classifies assets and liabilities into monetary and non-monetary items.

For the COGS, the remeasurement depends on whether the inventory is considered monetary or non-monetary:

Monetary Inventory: If the inventory is considered monetary (e.g., cash, accounts receivable, marketable securities), it is remeasured using the current exchange rate at the balance sheet date. This is because monetary items are already expressed in terms of a monetary unit.Non-monetary Inventory: If the inventory is considered non-monetary (e.g., raw materials, finished goods), it is remeasured using historical rates. The specific historical rate used may vary based on the temporal method applied (such as the historical rate at the time of acquisition, the historical rate at the time of production, or a weighted average historical rate).

Therefore, the answer to your question would be: E) Historical rates.

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a common measure of productivity used to track growth of gdp per capita is ________________

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a common measure of productivity used to track growth of GDP per capita is labor productivity. Labor productivity is the measure of the amount of goods or services produced by a worker in a certain amount of time.

Higher labor productivity means that a worker is producing more output per hour of work, which leads to increased GDP. This can result in higher incomes and living standards for individuals, as well as a stronger economy overall. Therefore, labor productivity is an important factor to consider when assessing economic growth and development.
A common measure of productivity used to track growth of GDP per capita is labor productivity. This is calculated by dividing the GDP by the total number of hours worked in an economy. Labor productivity reflects how efficiently labor input is being used to produce goods and services. As labor productivity increases, GDP per capita generally grows, indicating an improvement in the standard of living and economic performance of a country. Monitoring labor productivity helps policymakers and businesses identify areas where improvements can be made to boost economic growth.

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(T/F) an effective supervisor always needs to be assertive.

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The given statement "an effective supervisor does not always need to be assertive" is false because being an effective supervisor involves a combination of various skills and qualities, such as communication, empathy, adaptability, and decision-making.

Assertiveness is just one aspect of effective supervision. An effective supervisor should be able to communicate clearly and concisely, providing guidance and feedback to their team members. This involves active listening and understanding different perspectives, which can sometimes require a more empathetic and less assertive approach.

Empathy is essential for an effective supervisor, as it allows them to understand the needs and feelings of their team members, promoting a positive work environment. Adaptability is also crucial, as it enables the supervisor to adjust their management style based on the situation and the team members' needs. In some cases, being assertive might be counterproductive and could hinder collaboration and team morale.

Lastly, decision-making is a key aspect of effective supervision. While being assertive can help in making prompt decisions, it is not always necessary. An effective supervisor should be able to weigh the pros and cons of a situation and make informed decisions, sometimes through consensus or delegation.

In conclusion, assertiveness can be beneficial in certain situations, but it is not always a requirement for effective supervision. A balanced approach, incorporating various skills and qualities, is what makes a supervisor truly effective.

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when a corporation issues bonds, it executes a contract with the bondholders, known as a bond debenture.
T/F

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When a corporation issues bonds, it typically executes a contract with the bondholders known as a bond debenture.  Hence, its True.

This contract outlines the terms and conditions of the bond issuance, including the principal amount of the bond, the interest rate, and the maturity date. It also specifies the obligations of the corporation to the bondholders, such as the payment of interest and principal on the bond, as well as any covenants or restrictions on the corporation's activities.

The bond debenture is a legal document that serves as evidence of the bondholders' claim on the corporation's assets and income, and it is usually registered with a trustee who oversees the bond issuance and ensures compliance with the terms of the debenture.

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Which concept is associated with "exclusion ratio"?
A. Dividend distribution
B. How exclusion riders affect an insurance premium
C. Policy provision
D. Annuities payments

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Answer: D. Annuities payments

Explanation:

Annuities payments - Some parts of an annuities payment are taxable, while others are not. The return of the principal paid in is nontaxable. The portion that is taxable is the actual amount of payment, less the expected return of the principal paid in.

C. Policy provision concept is associated with "exclusion ratio.It refers to the portion of an insurance or annuity payment that is excluded from taxation

Exclusion ratio is a concept associated with policy provisions in insurance and annuities. . The exclusion ratio determines the tax-free portion of each payment and is calculated based on the initial investment or premium paid. It represents the portion of the payment that is considered a return of the principal, as opposed to the portion that is considered taxable income. The exclusion ratio is important for determining the tax implications of insurance and annuity payments, as it helps individuals and policyholders understand how much of their payments will be subject to taxation.

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how much is the market capitalization of this company in billions of usd? enter your answer in the following format as an integer: 123 hint: answer is between 359 and 452

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The market capitalization of Walmart Inc. is approximately $402.2 billion USD, calculated by multiplying the share price of $144.50 by the number of shares outstanding (2,790 million).

Market capitalization is a measure of a company's total value in the stock market which is the product of share price with the number of outstanding shares.

To calculate the market capitalization of Walmart Inc. is as follows

Market Capitalization = $144.50 x 2,790

Market Capitalization = $402,195 million

Converting to billions

Market Capitalization = $402,195 million / 1,000

Market Capitalization ≈ $402.2 billion

Therefore, the market capitalization of Walmart Inc. is approximately $402.2 billion USD.

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--The given question is incomplete, the complete question is given below "  The latest financial information for Walmart Inc. is provided below. Walmart Inc. $2.84 <- EPS (TTM), Earnings per share $144.50 <- Latest Share price 2,790 <- Shares Outstanding (in millions) $4.94<- Price to Book Ratio How much is the market capitalization of this company in BILLIONS of USD? Enter your answer  123 hint: answer is between 359 and 452"--

As level of investment increases, expected rate of returns
from investment:
A. decreases.
B. can't determine.
C. no change.
D. increases.

Answers

As the level of investment increases, the expected rate of returns from investment generally increases as well.

This is because when an individual or company invests more money, they are taking on more risk and therefore expect to receive a higher return on their investment. Of course, there are many factors that can impact the expected rate of returns, such as the type of investment, the market conditions, and the level of competition.

However, in general, investors who are willing to take on more risk by investing more money can expect to see higher returns on their investment over time.

Therefore, the correct answer  is option D.

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