If a company picks an organizational architecture that is inappropriate for its marketplace, then:

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Answer 1
50 points sorry...............

Related Questions

What is one difference between what a Computer Programmer and an Information Support Specialist does?

A) A Computer Programmer oversees the design and maintenance of websites, while an Information Support Specialist designs computer codes for websites.
B) A Computer Programmer designs computer codes for websites, while an Information Support Specialist oversees the design and maintenance of websites.
C) A Computer Programmer oversees information technology projects, while an Information Support Specialist designs videos games and creates documentation for them.
D) A Computer Programmer analyzes ways to create or improve computer systems, while an Information Support Specialist helps computer users with problems.

Answers

One difference between both is A Computer Programmer designs computer codes for websites, while an Information Support Specialist oversees the design and maintenance of websites. Thus the correct option is B.

What is Computer Programmer?

A  Computer Programmer is referred to as an individual who has a keen knowledge of coding and programming through which he develops websites based on the requirements of Clients.

An information Support Specialist refers to an individual who has expertise or specialty in supporting information by providing services like monitoring the design and maintenance of websites.

A career selection is based on the interest of an individual. Skills need to upgrade timely in order to seek better growth and progress in one career. In both cases, the skills are different from each other with distinct job responsibilities.

Therefore, option D is appropriate.

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Select all that apply. When writing your resume, you must include your _____.

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you should include your name but I cant select all that apply you need to include it. I don't even know if it has name in it.

Answer: Skills, Contact Info., Work Experience, and Education or Training

Explanation:)

Barehugs is popular loungewear that prides itself on its versatility. last year, its net sales were $1,750,000 with cost of goods of $390,000. taxes totaled $61,650. the company's expenses totaled $960,000. calculate the company's net after tax profit margin percentage

Answers

First, we need to find the gross margin.
Gross margin = net sales - cost of goods sold 
Gross margin = $1,750,000 = $390,000 
Gross margin = $1,360,000

Then, we need to find the net profit before tax.
Net profit before tax = gross margin - expenses
Net profit before tax = $1,360,000 = $960,000
Net profit before tax = $400,000

Net income after taxes = (total revenue - total expenses)/total revenue
Net income after taxes = (1,750,000 - 960,000)/(1,750,000)
Net income after taxes % = 45%

Carbund is a professional medical fraternity. individuals have to meet certain criteria to become a member of the group. the national association outlines the activities that the members are expected to perform. given the information, carbund is an example of a(n) _____.

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The fact that Carbund is a professional medical fraternity and individuals have to meet certain criteria to become a member of the group means that Carbund is a formal group. The main characteristic of the formal groups is that they always have objective and criteria must be met in order to be a member of the group.

If a union raises the wage in its industry above equilibrium then there is an increase in

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A union is a worker association that bargains with employers over wages, benefits, and working condition.
If a union raises the wage in its industry above equilibrium then there is an increase in the quantity of labor supplied and reduce in the quantity of labor demanded. This results in unemployment.

When a union raises wages above the equilibrium level, unemployment increases because the supply of labor exceeds the demand. Workers benefit from higher wages, but fewer jobs are available. This reduces firms' incentive to hire.

Impact of Union Wage Increases on Employment

If a union raises the wage in its industry above the equilibrium wage, there is an increase in unemployment. This happens because the higher wage, denoted as Wu, is above the equilibrium wage We. As a result, the quantity of labor supplied (Qs) exceeds the quantity of labor demanded (Qd) by firms.

Union wage negotiations create a situation where workers benefit from higher wages, but the firms' demand for labor decreases. Firms may reduce hiring when wages are higher than the equilibrium, resulting in fewer workers being employed.

In conclusion, while workers who remain employed enjoy higher wages, the overall number of jobs available in the market decreases due to reduced demand for labor.

The ad curve:
a.explains long run fluctuations in output and inflation.
b.shows how changes in equilibrium output affect the inflation rate.
c.demonstrates how central banks respond to changes in interest rates by changing the inflation rate.
d.all of the above.
e.none of the above. 7.the ad curve:
a.explains how inflation affects output in the short run.
b.indicates the level of aggregate output corresponding to different goods-market-clearing levels of the interest rate.
c.is downward sloping, because with higher inflation comes higher interest rates and lower spending, so equilibrium aggregate output declines.
d.all of the above.
e.none of the above.

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b. meabye can you give me a heart??plz

Match each product or service with the type of manufacturing most likely to be used

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Job order:
-Customized home
-Tax returns
-Wedding invitations

Process:
-Chocolate chip cookies
-Oil changes
-Soft drinks

Technician A says that the push rod connects to a pivoting component mounted at the top of the cylinder head called the camshaft. Technician B says that the push rod is used to transmit the up-and-down motion of the lifter to the top of the cylinder head. Who is right?

A. B only
B. Neither A nor B
C. A only
D. Both A and B

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C. A only I think is the answer

Answer:

tech b only

Explanation:

TECH B ONLY

Most Information Technology careers require workers to perform their jobs in

A) a home office.
B) a business office.
C) a secure office.
D) an off-site office.

Answers

IT careers increasingly offer the option of telecommuting, allowing professionals to work from a home office or other remote locations. Companies like Merrill Lynch & AT&T have adopted remote work, with reported benefits such as higher satisfaction and productivity. Successful telecommuting aligns employee capabilities, job requirements, and suitable work environments. Option B

In the context of Information Technology careers, the option for workers to perform their jobs can vary greatly. While traditional roles may require being in a business office, the trend of telecommuting has opened up the possibility for IT professionals to work from various locations such as a home office, satellite offices, or even coffee shops. This flexibility is becoming increasingly common, especially given the advances in digital technologies that allow for work to be done virtually anywhere with internet connectivity.

Companies like Merrill Lynch & Co. Inc. and AT&T Inc. have incorporated telecommuting as a part of their work culture, with significant percentages of their workforce working remotely at least part of the time. The benefits reported for telecommuting include higher productivity, less stress, lower turnover, and higher job satisfaction, although it’s important to note that successful telecommuting arrangements require matching the right employees with the right jobs to suitable environments.

Financial subsidies for ergonomic workspaces and internet costs, as well as supportive workplace policies, are examples of how employers can facilitate effective telecommuting arrangements, ensuring that both individual and organizational needs are met in a flexible work setting.

The correct option is B), "a business office", as most Information Technology careers require workers to perform their jobs in a business office, although remote work options are increasing.

Traditional business office settings provide secure networks and collaborative environments most critical for IT roles. Technological advancements still balance the increase in occasional remote work opportunities.

Most Information Technology (IT) careers primarily require workers to perform their jobs in a business office (Option B). While telecommuting, or working remotely, is becoming more popular, particularly due to technological advancements and situations like the COVID-19 pandemic, the traditional office environment remains the most common setting for IT positions. These workers need secure networks, robust IT infrastructure, and collaborative environments which are more easily provided in a business office.For example, companies like AT&T and Merrill Lynch have extensive telecommuting options, but many roles still necessitate a physical presence in a business office to access specific resources and for tasks that demand high security and team collaboration.

Mark is selling gourmet apples at a price of ​$2 per pound. ​ currently, he sells 100 pounds of apples per week. this​ week, mark raises his price to ​$3​, and his sales of apples fall to 75 lbs. ​mark's initial revenue from apple sales was ​$ nothing. ​mark's new revenue from apple sales is ​$ nothing. since​ mark's revenue increased when the price of apples​ rose, the demand for​ mark's gourmet apples must be ▼ elastic unitary inelastic .

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Since Mark's revenue increased when the price of apples rose, the demand for Mark's gourmet apples must be inelastic

When you measure the elasticity of demand, it's showing how the quantity demanded of a good or service changes when the price and only the price changes. Some products have an elastic outcome and some inelastic based on demand and how customers react to the price changes. 

Mark's increase in revenue from $200 to $225 after a price increase, despite a decrease in quantity sold, demonstrates that the demand for his gourmet apples is inelastic. Elasticity relates to how much consumers' quantity demanded changes in response to price changes, and inelastic demand indicates a lesser change. The concepts of substitution and income effects provide further insight into the factors affecting demand elasticity.

Initially, Mark was selling gourmet apples at $2 per pound, selling 100 pounds per week, which brought him a revenue of $200 weekly. After raising the price to $3 per pound, his sales dropped to 75 pounds per week, resulting in a new revenue of $225. This increase in revenue despite the drop in quantity sold indicates that the demand for Mark's gourmet apples is inelastic.

When demand is inelastic, consumers' quantity demanded doesn't change significantly with a price increase, hence revenue increases. Conversely, if demand were elastic, the quantity demanded would drop enough to lower total revenue following a price increase. Therefore, since Mark's revenue increased after the price hike, buyers are relatively unresponsive to the change in price, which makes the demand inelastic.

Discussing the substitution and income effects helps to further elaborate on the concept of price elasticity of demand. For instance, consider the case where a large harvest reduces the price of apples to $1 per pound. This lower price of apples increases the marginal utility of each $1 spent on apples, leading to an increase in demand. The substitution effect suggests that consumers will substitute more expensive goods for cheaper apples, while the income effect implies that consumers feel 'richer' because of the lower price and therefore buy more. Both effects contribute to defining the elasticity of demand.

You buy a $10,000 par treasury bill at $9,575 and sell it 60 days later for $9,675. what was your ear?

Answers

To find the EAR:

EAR = (sold price/purchase price)^(days in year/days you had it) -1
EAR = (9,675/9,575)^(365/60)-1
EAR = .06524 

Then to make the decimal a percentage multiply the answer by 100.
EAR = .06524(100)
EAR - 6.52%

Answer:

The effective annual rate (EAR) is 6.52% .

Explanation:

EAR is the actual annualized return rate of an investment brings about, in which effect from compounding times within a year is taken into consideration.

Assume we use a 365-day-per year basis for compounding purpose, we have the below EAR calculation:

+ Return on 60-day investment = 9,675/9,575 - 1 = 1.044%;

+ EAR of the 60-day investment = (1+1.044%)^(365/60) - 1 = 6.52% ( which is understood that a year has 365/60 = 6.10 compounding periods).

So, the answer is 6.52%.  

________________ refers to the total number of units that are purchased at that price. quantity quantity demanded supply market quantity

Answers

Quantity demanded refers to the total number of units that are purchase at that price.

When you are in demand of something, it means you want/need something. Quantity refers to the amount of something you want/need. In this situation you are purchasing the amount you need at the set price given.

Quantity demanded refers to the total number of units that are purchased at that price.

Quantity demanded is defined as the amount of a product that buyers are prepared to purchase at a certain price during a specified period, assuming that all other factors affecting demand (like income levels, preferences, and prices of substitutes) are held constant. This concept is often summarized using the Latin phrase ceteris paribus, which means 'all other things being equal.'

For instance, imagine a town where 100,000 movie tickets are sold each month at a price of $8 per ticket. In this scenario, the quantity demanded for movie tickets at a price of $8 is 100,000. If the price were to increase to $12, we would expect the quantity demanded to decrease; conversely, a price drop to $4 would likely cause the quantity demanded to rise.

If inventory is in stock, what does that mean?

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It means that an item is available for purchase, I think.

If inventory is in stock, it means that an item is available for purchase.

What is inventory?

Inventory or stock refers to the goods and materials that a business holds for the ultimate goal of resale, production or utilization. Inventory  includes all the items, goods, merchandise, and materials held by a business for selling in the market for earning a profit.

A company's inventory represents one of the most valuable assets it has because the turnover of inventory represents one of the primary sources of revenue generation and subsequent earnings for the company's shareholders.

Inventory in stock means what is available to serve customers and put products in their hands.

Therefore, the quantity available for purchase is denoted by inventory in stock.

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In an advertising plan, the ____ is the section in which the client and the agency lay out the key factors that define the current conditions and then explain the importance of each factor.

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In an advertising plan, the "situation analysis" is the section in which.........


An advertising plan refers to an advancement outline that, when taken after, gives the heading to organizations and organizations to support deals, make mindfulness in the market, and draw in with an altogether new client base. An advertising plan will guarantee that your organization's cash will be spent sensibly and will achieve the greater part of the correct target crowds.

how to learn algebra

Answers

Make sure you know you basic math operations. (+ , - , x , /) Know your Oder of operations (some call it as PEMDAS) Know how to work with negative numbers. Make sure to keep your work organized. Understand what variables are/stand for.

Final answer:

Learning algebra requires understanding basic arithmetic, learning rules and properties of algebra, practicing different types of problems, seeking help when needed, and using online resources and textbooks.

Explanation:

Learning algebra can be a challenging but rewarding experience. Here are some steps to help you learn algebra:

Start by understanding basic arithmetic operations such as addition, subtraction, multiplication, and division. These operations form the foundation of algebraic expressions.Learn the basic rules and properties of algebra, such as the distributive property, associative property, and commutative property. These rules will help you simplify expressions and solve equations.Practice solving different types of algebraic problems, such as simplifying expressions, solving equations, and graphing linear functions. The more you practice, the more familiar you'll become with algebraic concepts and techniques.Seek help from your teacher or tutor if you're struggling with certain topics or concepts. They can provide additional explanations and examples to clarify your understanding.Use online resources, textbooks, and practice worksheets to supplement your learning. These resources often provide step-by-step explanations and practice problems for you to work on.

Remember, learning algebra requires patience, practice, and perseverance. Don't be afraid to make mistakes and learn from them. With time and effort, you'll become more confident in your algebra skills.

Vin diesel owns the fredonia barber shop. he employs 7 barbers and pays each a base rate of $1,380 per month. one of the barbers serves as the manager and receives an extra $530 per month. in addition to the base rate, each barber also receives a commission of $5.92 per haircut. other costs are as follows. advertising $270 per month rent $940 per month barber supplies $0.30 per haircut utilities $180 per month plus $0.25 per haircut magazines $25 per month vin currently charges $11.47 per haircut. determine the variable costs per haircut and the total monthly fixed costs. (round variable costs to 2 decimal places,
e.g. 12.25.) total variable cost per haircut $ total fixed $ compute the break-even point in units and dollars. (round answers to 0 decimal places,
e.g. 1,250.) break-even point haircuts break-even point $ determine net income, assuming 2,380 haircuts are given in a month.

Answers

Given:                         Variable Cost     Fixed Cost 
                                     per haircut          per month
base salary                                               9660
manager bonus                                          530
commission                     5.92
advertising                                                 270
rent                                                            940
barber supplies                0.30
utilities                             0.25                   180
magazines                                                  25              
Total                                6.47                11605

Revenue                         11.47

Break even point in unit = Fixed expenses per month / Contribution margin per month.

Break even point in unit = 11,605 / (11.47-6.47) = 11,605 / 5 = 2,321 haircuts

Break even point in $ = Fixed expenses / Contribution margin ratio

Break even point in $ = 11,605 / (5/11.47) = 11,605 / 0.44 = 26,375

Net Income = (Contribution Margin * # of haircuts) - Fixed expenses

Net Income = (5 * 2,380) - 11,605 = 11,900 - 11,605 = 295

Final answer:

The variable costs per haircut for the Fredonia Barber Shop are $6.47, and the total monthly fixed costs are $11,475. To compute the break-even point and the net income, one would analyze the costs and revenue associated with a certain number of haircuts provided in a month.

Explanation:

To determine the variable costs per haircut and the total monthly fixed costs for Vin Diesel's Fredonia Barber Shop, we first need to calculate each separately. The variable costs per haircut include the commission for each barber and the costs of barber supplies and utilities that are associated with each haircut. The fixed costs are the monthly expenses that do not change regardless of the number of haircuts given.

The variable cost per haircut is computed as the sum of the commission per haircut, the cost of barber supplies per haircut, and the additional utility cost per haircut:
$5.92 (commission) + $0.30 (supplies) + $0.25 (utilities) = $6.47 per haircut.

The total fixed costs include the base rate pay for all barbers, including the extra pay for the managing barber, as well as monthly costs for advertising, rent, utilities, and magazines. Adding these together gives us:
7 barbers × $1,380 (base rate) + $530 (extra for manager) + $270 (advertising) + $940 (rent) + $180 (utilities) + $25 (magazines) = $11,475 per month.

To compute the break-even point in units (haircuts) and dollars, the break-even point in units is the total fixed costs divided by the price per haircut minus variable costs per haircut. Similarly, multiply the number of break-even haircuts by the price to find the break-even point in dollars.

Finally, to determine the net income assuming 2,380 haircuts in a month, we need to calculate the total revenue from these haircuts and subtract the sum of the total fixed costs and the total variable costs (variable cost per haircut times the number of haircuts).

financial choices revolve around three primary decisions: spending, saving, and .

Answers

revolves around spending, saving, and borrowing!
spending, saving and borrowing

Suppose that today you buy a bond with an annual coupon of 6 percent for $1,080. the bond has 13 years to maturity. what rate of return do you expect to earn on your investment? assume a par value of $1,000. (do not round intermediate calculations. enter your answer as a percent rounded to 2 decimal places,
e.g., 32.16.)

Answers

Assuming the bond has a par value of $1,000 and pays semi-annually, the BEY (equivalent bond yield) when you bought it was 5.14828% 

[Do an IRR calculation: CF0: (1,080), 25 cash flows of 1,000*0.03 = 30, and a final cash flow of par + coupon $1,030. Double that IRR to reflect BEY on an annual basis.] 

So, if YTM falls to 4.14828%... 
0.0414828 / 2 = 0.02074 <this is the new semi-annual discount rate 
Price = sum of the discounted cash flows. 
PV of the coupons, use PV ordinary annuity 
n = (13 - 2) * 2 = 22 semi-annual periods remain 
PVoa = PMT[(1 - (1 / (1 + r)^n)) / r] 
= 30[(1 - (1 / 1.02074^22)) / 0.02074] 
= 30[(1 - 0.63658) / 0.02074] 
= 30[17.52141] 
= 525.64 

PV of par: 1,000 / 1.02074^22 = 636.58137 
Sum PV coupons + PV Par = Price = $1,162.22 
Notice the bond sells at a premium b/c the coupon rate is higher than the market (discount) rate. Some "value" has been added b/c of the "pull to par" - less time until you collect par at the maturity date. 

HPY = [(coupons collected + sale price) / purchase price] - 1 
coupons for 2 years = 4 * 30 = 120 
HPY = [(120 + 1162.22) / 1080] - 1 
= 0.18724, or 18.72%

Bargeron corporation has a target capital structure of 62 percent common stock, 7 percent preferred stock, and 31 percent debt. its cost of equity is 14.2 percent, the cost of preferred stock is 7.2 percent, and the pretax cost of debt is 8.9 percent. the relevant tax rate is 30 percent.
a. what is the company's wacc? (do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places,
e.g., 32.16.) wacc %
b. what is the aftertax cost of debt? (do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places,
e.g., 32.16.) aftertax cost of debt

Answers

Bargeron corporation has a target capital structure of 62 percent common stock, 7 percent preferred stock, and 31 percent debt. its cost of equity is 14.2 percent, the cost of preferred stock is 7.2 percent, and the pretax cost of debt is 8.9 percent. the relevant tax rate is 30 percent.a. what is the company's wacc?

Paul has been forced to retire from his company after over 30 years of employment. compared with his peers who voluntarily retired, he is more likely to be:

Answers

Paul is more likely to be depressed

Axiomatic appeals are generally based on ________.

Answers

Axiomatic appeals are generally based on socially accepted ideals.

Axiomatic is referring to something being true, self-evident or unquestionable. If an idea is the norm, or socially acceptable it's likely that the appeal would happen and rule in favor of the norm.

How might a recent college graduate's investment portfolio differ from someone who is nearing retirement

Answers

A recent college graduate's investment portfolio will differ from someone who is nearing retirement due to the length of time someone who is at the end of their career has had to invest whereas someone who is a recent college graduate hasn't had the time/money to invest. Building an investment portfolio takes time and effort and a lot of learning during the beginning stages to help have a bigger, better portfolio at retirement time.

Recent college graduates and the person who is nearing retirement has a difference in the investment portfolio. This is because growth, time, and income the retiring person has invested in their whole career.

What is an Investment portfolio?

An investment portfolio is a collection of assets that include stocks, bonds, cash, and other financial instruments. A growth component should be included in the portfolio, especially at a young age.

An investment portfolio consists of all the investments person has in various accounts like 401(k)s and IRAs are examples of employer-sponsored programs, saving accounts, certificates of deposit, Brokerage accounts, Accounts for Robo-advisors, and many different accounts.

Thus, there is a huge difference in investments portfolio of people according to their ages.

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Teenage workers are assumed to have ________ labor supply, therefore a 5% increase in wage would result in ________ percentage change in quantity of labor supplied.

Answers

Teenage workers are assumed to have ELASTIC labor supply, therefor a 5% increase in wage would result in GREATER percentage change in quantity of labor supplied.
let me know if you have any further questions
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Miller's hardware plans on saving $42,000, $54,000, and $58,000 at the end of each year for the next three years, respectively. how much will the firm have saved at the end of the three years if it can earn 4.5% on its savings

Answers

To solve for the ending amount saved after three years:
FV = (first year savings x interest amount as a decimal) + (second year savings x interest amount as a decimal) + third year savings amount X interested as decimal 

FV = (42,000 x 1.045 + (54,000 x 1.045) + (58,000 X 1.045)
FV = $167,508.33

The amount saved by the firm at the end of the three years if it can earn 4.5% on its savings is  $167,508.33.

What is savings?

Savings are the funds left over after expenditures and other commitments have been subtracted from earnings. Savings reflect money that would otherwise be idle and not invested or used on consuming. Saving also entails lowering expenses, such as recurrent charges.

According to the question, Miller's Hardware intends to save $42,000, $54,000, and $58,000 at the conclusion of each of the next 3 years. The savings of the firm can be computed as follows:-

Future Value = (first year savings x interest rate) + (second year savings x interest rate in decimal) + (third year savings X interest rate in decimal)

Future Value  = (42,000 x 1.045 + (54,000 x 1.045) + (58,000 X 1.045)

                       = $167,508.33

Therefore, it can be concluded that If the company can earn 4.5% on its investments, it will have saved $167,508.33 at the end of three years.

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Worldwide consulting limited is an italian-based service company with activities in 23 countries. the company operates by embedding a large number of expatriates in foreign subsidiaries, even though the expatriates are not always familiar with the host country to which they are assigned. what is the most important benefit worldwide consulting is most likely to achieve through this practice?an exchange of information and knowledge across subsidiaries facilitated by the expatriates.the presence of expatriate employees enhances the prestige of the foreign subsidiaries and increases client satisfaction.the presence of a large number of expatriates improves employee motivation and reduces employee turnover.having ex-pat employees allows the parent company to keep tighter control of its offshore subsidiaries.

Answers

The answer is that the most important benefit worldwide consulting is most likely to achieve through this practice having ex-pat employees allows the parent company to keep tighter control of its offshore subsidiaries.

What is the reason for pooling costs? to shift costs from low-volume to high-volume products. it is a budgeting technique designed to accurately track fixed costs. determining a pool rate for all costs incurred by the same activity reduces the number of cost assignments required. this procedure helps to determine which costs are directly related to production volume. it simplifies departmental overhead costing procedures?

Answers

Pooling costs is defined as a system to accurately budget and track fixed costs.  When companies do this, they noticed they are able to reduce the number of costs that have. Fixed costs are things like rent, mortgage and other business costs that stay the same no matter how much or how little of a good or service is created. 
Final answer:

Pooling costs is a budgeting technique used to allocate fixed costs from low-volume to high-volume products or activities, helping to determine costs directly related to production volume and simplifying overhead costing procedures.

Explanation:

In business, pooling costs refers to a budgeting technique designed to accurately track fixed costs. It involves combining the costs of multiple low-volume products or activities to allocate those costs to high-volume products or activities.

This pooling of costs helps to determine which costs are directly related to production volume and simplifies departmental overhead costing procedures. By spreading the overhead costs across multiple products or activities, it can result in a more accurate reflection of the cost per unit and help make better informed decisions regarding pricing and resource allocation.

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A company has $100,000 in cash, $300,000 in accounts receivable, $50,000 in inventory and a $300,000 office building. its current liabilities are $250,000. what is the company's current ratio, and does that ratio good short-term financial strength?

Answers

CR=750/250=3
that ratio is very good

Final answer:

The company's current ratio is 1.8, implying it has $1.80 in assets for every $1.00 of liabilities, indicating good short-term financial strength.

Explanation:

The company's current ratio is calculated by dividing its current assets by its current liabilities. Current assets include cash, accounts receivable, and inventory. The total current assets of the company are $100,000 (cash) + $300,000 (accounts receivable) + $50,000 (inventory) = $450,000. The current liabilities are $250,000. Therefore, the current ratio is $450,000 / $250,000 = 1.8.

A current ratio of 1.8 indicates that the company has $1.80 in current assets for every $1.00 of current liabilities. This is considered to be a good sign of short-term financial strength, as a ratio above 1 typically indicates that a company should be able to cover its short-term obligations without liquidating any fixed assets.

In order for the economy to be strong, businesses must? A.produce goods and pay workers B.provide labor and pay workers C.Produce goods and buy goods D.provide labor and buy goods

Answers

Final answer:

For an economy to be strong, businesses must produce goods and pay workers. This results in an increase in worker income and a positive cycle of demand, supply, and further demand. This dynamic is significantly assisted by the application of the division of labor.

Explanation:

In order for the economy to be strong, businesses must produce goods and pay workers. This dynamic is key to strong economic activity. Businesses that produce goods require workers to supply labor. These workers then earn wages which increase their income. This income is then often used to make purchases, creating demand for goods in the market. As more goods are purchased, more suppliers are drawn into the market to meet the increased demand, resulting in increased production.

Furthermore, this process is also rooted in the principle of the division of labor. This is where workers specialize in specific tasks, and in turn, trade the fruits of their labor with others. Workers connected to a labor market can, therefore, contribute significantly to an economy's growth by providing specialized labor, thereby helping businesses to produce goods and services efficiently.

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An ad for asian sensations newest product line of snack foods encourages its readers to "thai something new." the creatives who designed this ad intended its headline to be a(n):

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The creatives who designed this ad intended its headline to be an attention-getting device. It is defined as having to show an opening statement in which the speaker uses that is to be engaged to the attention of the audience are likely to be capture after the component of the introduction that the speaker has given.

Lindon company is the exclusive distributor for an automotive product that sells for $40 per unit and has a cm ratio of 30%. the company's fixed expenses are $180,000 per year. the company plans to sell 16,000 units this year. required: 1. what are the variable expenses per unit? 2. what is the break-even point in unit sales and in dollar sales? 3. what amount of unit sales and dollar sales is required to attain a target profit of $60,000 per year? 4. assume that by using a more efficient shipper, the company is able to reduce its variable expenses by $4 per unit. what is the company's new break-even point in unit sales and in dollar sales? what dollar sales is required to attain a target profit of $60,000?

Answers

Variable cost per unit is $12. The break-even point is 15000 units and $600,000. The required sales is $80,000. The new break-even is 22,500 units and $900,000.

Given,

product that sells for $40 per unit and has a cm ratio of 30%. the company's fixed expenses are $180,000 per year. the company plans to sell 16,000 units this year.

Required to calculate:

1. What are the variable expenses per unit?

2. What is the break-even point in unit sales and in dollar sales?

3. What amount of unit sales and dollar sales is required to attain a target profit of $60,000 per year?

4. Assume that by using a more efficient shipper, the company is able to reduce its variable expenses by $4 per unit.

what is the company's new break-even point in unit sales and in dollar sales? what dollar sales are required to attain a target profit of $60,000?

1.

Variable expenses per unit:

The contribution margin (CM) ratio is 30%, which means that 30% of the selling price covers variable expenses.

Variable expenses per unit = CM ratio * Selling price per unit

Variable expenses per unit = 0.30 * $40 = $12

2.

Break-even point:

Break-even point (in units) = Fixed expenses / Contribution margin per unit

Break-even point (in units) = $180,000 / $12 = 15,000 units

Break-even point (in dollars) = Break-even point (in units) * Selling price per unit

Break-even point (in dollars) = 15,000 * $40 = $600,000

3.

Target profit of $60,000:

Required unit sales for target profit = (Fixed expenses + Target profit) / Contribution margin per unit

Required unit sales for target profit = ($180,000 + $60,000) / $12 = 20,000 units

Required dollar sales for target profit = Required unit sales for target profit * Selling price per unit

Required dollar sales for target profit = 20,000 * $40 = $800,000

4.

New break-even point with reduced variable expenses:

New variable expenses per unit = Variable expenses per unit - Reduction in expenses

New variable expenses per unit = $12 - $4 = $8

New break-even point (in units) = Fixed expenses / Contribution margin per unit (new)

New break-even point (in units) = $180,000 / $8 = 22,500 units

New break-even point (in dollars) = New break-even point (in units) * Selling price per unit

New break-even point (in dollars) = 22,500 * $40 = $900,000

New dollar sales for target profit = (Fixed expenses + Target profit) / Contribution margin ratio (new)

New dollar sales for target profit = ($180,000 + $60,000) / 0.30 = $800,000

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Final answer:

The variable costs per unit are $28, break-even point is 15,000 units ($600,000 sales), and to attain a $60,000 profit per year we need 20,000 units ($800,000 sales). Reducing variable costs per unit by $4 reduces the break-even point to 7,500 units ($300,000), and the target of $60,000 profit is reached at 10,000 units ($400,000).

Explanation:

The first step is to calculate the variable expenses per unit. As the contribution margin (CM) ratio is basically the portion of each sale that contributes to covering fixed costs and then generating profits, it equals (Selling Price - Variable Cost) / Selling Price. Rearranging for Variable Cost gives us: Variable Cost = Selling Price - (CM ratio * Selling Price). Substituting the given values: Variable Cost = $40 - (0.30 * $40) = $28.

Next, we calculate the break-even point in both unit and dollar sales. The break-even point in units is the Fixed Costs / (Selling Price - Variable Cost), substituting gives: 180,000 / (40 - 28) = 15,000. To get break-even in dollars, multiply the break-even units * Selling Price, so, 15,000 * $40 = $600,000.

To calculate the unit and dollar sales to reach a target profit of $60,000, add the target profit to the fixed expenses and divide by the unit CM: (180,000 + 60,000) / (40 - 28) = 20,000 units. Dollar sales would then be 20,000 * $40 = $800,000.

Finally, if variable expenses are reduced by $4, the new variable cost per unit is $24, and the break-even point changes to 180,000 / (40 - 24) = 7,500 units or $300,000 in dollar sales. To compute the new sales to attain a target profit of $60,000, we use the formula: (180,000 + 60,000) / (40 - 24) = 10,000 units, which equals $400,000 in dollar sales.

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