intends to develop and sell seven units the following year. As a result, if a special order is approved, operational income would increase by $840,000.
By produce, what do you mean?produced, producing is a verb that takes an object. to induce steam to be produced; to cause something to arise. to create anything by intelligence or artistic ability: to make a fantastic painting. to build cars for export; to manufacture; to make.
Briefing
The computation is shown below:
Offer price per unit $60
Less: Variable costs per unit:
Direct materials ($20)
Direct labor ($14)
Variable overhead ($12)
Variable selling $0
Incremental profit per unit (a) $14
Units offered to sell (b) 60,000
Effect on Operating Income (Increase) (a × b) $840,000
Therefore, in the case when the special order is accepted, the effect on operating income would be increase by $840,000
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for one-shot investments, the planning horizon is equal to:
For one-shot investments, the planning horizon is equal to one year. Planning horizon is a timeframe, over which a specific plan is intended to take place. It is the number of periods that need to be covered by planning decisions. It is the period over which a company should anticipate profits or losses and make investment decisions.
The planning horizon for one-shot investments, like a construction project or acquiring a specific piece of equipment is usually one year. A one-shot investment is an investment in which the investor does not anticipate receiving any additional income from it. As a result, it's usually treated as a sunk cost or a cost that cannot be recovered. It is the number of periods that need to be covered by planning decisions. It is the period over which a company should anticipate profits or losses and make investment decisions.
A one-shot investment is an investment in which the investor does not anticipate receiving any additional income from it. As a result, it's usually treated as a sunk cost or a cost that cannot be recovered. It is the number of periods that need to be covered by planning decisions. It is the period over which a company should anticipate profits or losses and make investment decisions. For one-shot investments, the planning horizon is equal to one year. Planning horizon is a timeframe, over which a specific plan is intended to take place. It is the number of periods that need to be covered by planning decisions. It is the period over which a company should anticipate profits or losses and make investment decisions.
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An extremely rainy spring and summer may impact growing crops. This is an example of what type of risk
Answer:
Environmental risk
Explanation:
In simple words, The environmental risk of farming refers to the affect that various agricultural activities have on the environments in which they operate, as well as how those impacts can be linked to those practices. Agriculture's ecological influence varies greatly depending on the activities used by growers as well as the size at which they operate.
Stocks and Their Valuation Robert has the following information available: . Pan Asia Mining Co's stock (Ticket: PAMC) is trading at $15.00. The company's stock is expected to pay a year-end dividend of $0.72 that is expected to grow at a certain rate. The stock's expected rate of return is 7.20%. . Based on the information just given, what will be Robert's forécast of PAMC's growth rate? О 7.15% 0 1.99% О 3.60% 2.40% Which of the following statements accurately describes the relationship between earnings and dividends when all other factors are held constant? All else being equal, growth in dividends requires growth in earnings. O Retaining a higher percentage of earnings will result in a lower growth rate O. Long-run earnings growth will decrease when firms retain earnings and reinvest them in the business.
Robert's forecast of PAMC's growth rate will be 3.60%.
The expected dividend payment is $0.72. We want to know the growth rate. Since the formula for Gordon Model is: Price = D / (r - g), we can solve for g to find the growth rate. The formula can be manipulated as follows:
Price = D / (r - g)
D / Price = r - g g = r - D / Price
g = 7.2% - 0.72 / $15.00g = 3.60%Therefore, Robert's forecast of PAMC's growth rate will be 3.60%
.Now, talking about the relationship between earnings and dividends when all other factors are held constant. The statement which accurately describes it is "All else being equal, growth in dividends requires growth in earnings."The earnings of the company is an important factor in determining the dividend payout. A company that has high earnings or profits will likely increase its dividend payout over time. The reason is that dividends are a portion of a company's profits that are distributed to shareholders. So, as the company's profits increase, the dividend payout will also increase.
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What steps should you take in order to start a commercial cleaning business?
How should you proceed in actually starting this company?
To start a commercial cleaning business, follow these steps: develop a business plan, register the business, acquire licenses, purchase equipment, hire staff, implement marketing strategies, and build client relationships.
Starting a commercial cleaning business requires a systematic approach. Begin by developing a comprehensive business plan that outlines your goals, target market, services offered, pricing, and marketing strategy. Next, register your business and obtain the necessary licenses and permits to operate legally. Purchase or lease the required cleaning equipment and supplies, ensuring you have the necessary tools to deliver effective services. Hire and train a competent team of staff members, emphasizing proper cleaning techniques, safety protocols, and customer service skills. Develop and implement effective marketing strategies to promote your services and reach potential clients. Lastly, focus on building strong client relationships by offering competitive pricing, delivering exceptional service, and seeking customer feedback for continuous improvement.
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This activity is important because it covers important terms for effective money management. The goal of this exercise is to identify the best ways to manage your personal finances. Complete each statement with the correct term. Note not all terms will be used.
Remainder Part of the Question:
Build Your Financial Base Terms:
The ______ is one of the best places to put your money.
A _______ is one of the worst places to keep long-term investments.
You can use a _______ to keep track of purchases.
Your _______ is likely to be the largest of the most important investments you make.
It is wise to plan your financial future with _______.
Available Options are:
Credit Card, Bank Account, Home, Uncertainity, Excitement, car, insurance, stock market, payday loan.
Answers:
A. Stock market
B. Bank Account
C. Credit Card
D. Home
E. Insurance
Explanation:
A. The Stock Market is one of the best places to put your money.
Stock markets are the source of raising funds for investments by the companies. The stock market helps the investor to choose the investment with appropriate returns and risks. Furthermore the investor can also diversify its return by managing the portfolio of investments.
B. A Bank Account is one of the worst places to keep long term investment
The lowest returns are on saving accounts hence it is the worst place for long term investments.
C. You can use Credit Card to keep a track of your purchases.
Credit cards can be used for tracking all of purchases because monthly statement mailed to you includes all the spendings during the year.
D. Your Home is likely to be the largest of the most important investments you make
Buying home is considered as one of the largest investments as it takes substantial savings of the person to buy an house. A roughly estimate would be the savings of 3-4 years for a small house for a couple.
E. It is wise to plan your financial future with Insurance.
Because Insurance helps you to lower your financial risks. The risk is associated with life, home, car, and physical assets and thus the investor must use insurance facility.
Which bond portfolio where all investment is made up front would be most negatively affected by a sharp rise in interest rates?
a. ladder
b. bullet
c. barbell
d. balloon
Option C. barbell
By definition, money market products are liquid. Each buyer knows that they will be paid when they mature in the near future, so they are easily traded at a discount that matches the market rate.
When interest rates rise, bond prices fall (and vice versa), and long-term bonds are the most sensitive to changes in interest rates. This is because longer-term bonds have longer durations than shorter-term bonds that are nearing maturity with fewer coupon payments.
Special considerations. Series I bonds are considered low risk as they are backed by the full trust and credit of the U.S. government and do not depreciate in redemption value. However, that security comes with a low yield comparable to high-yield savings accounts and certificates of deposit (CDs).
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Explain how the U.S. economic system differs from the economic system in Cuba.
What is product positioning?
Answer:
Product positioning is a strategic exercise that defines where your product or service fits in the marketplace and why it is better than alternative solutions. The goal is to distill who your audience is, what they need, and how your product can uniquely help. Product positioning is the basis of your marketing story.
Explanation:
Required information [The following information applies to the questions displayed below.) As of December 31 of the current year, Armani Company's records show the following. Hint. The owner invested $1,900 cash during the year. Cash Accounts receivable Supplies Equipment Accounts payable Armani, Capital, December 31, prior year Armani, Capital, December 31, current year Armani, Withdrawals Consulting revenue Rental revenue Salaries expense Rent expense Selling and administrative expenses $ 10,900 9,900 6,900 5.900 12,800 16,900 20,800 13,900 34,800 23,800 20,900 12,900 8.900 Required: Prepare the current year-end balance sheet for Armani Company. ARMANI COMPANY Balance Sheet December 31 Assets Liabilities Total liabilities Equity Required: Prepare the current year-end balance sheet for Armani Company. ARMANI COMPANY Balance Sheet December 31 Assets Liabilities Total liabilities Equity Total assets Total liabilities and equity
In this case, the total assets amount to $33,600, the total liabilities amount to $12,800, and the total equity amounts to $56,300. The total liabilities and equity is $69,100.
ARMANI COMPANY Balance Sheet
December 31
Assets:
- Cash: $10,900
- Accounts Receivable: $9,900
- Supplies: $6,900
- Equipment: $5,900
Total Assets: $33,600
Liabilities:
- Accounts Payable: $12,800
Equity:
- Armani, Capital, December 31, prior year: $16,900
- Owner's Investment during the year: $1,900
- Armani, Withdrawals: $20,800
- Consulting Revenue: $13,900
- Rental Revenue: $34,800
- Salaries Expense: $23,800
- Rent Expense: $20,900
- Selling and Administrative Expenses: $12,900
Total Equity: $56,300
Total Liabilities and Equity: $69,100
To prepare the balance sheet, we start with the assets section. We list the amounts for each asset category: cash, accounts receivable, supplies, and equipment. Then, we calculate the total assets by adding up the amounts. Next, we move on to the liabilities section. Here, we only have one item: accounts payable.
Finally, we determine the equity section by considering the capital at the beginning of the year, the owner's investment during the year, withdrawals made by the owner, and the various revenues and expenses. We calculate the total equity by summing up these amounts. To complete the balance sheet, we add the total liabilities to the total equity, giving us the total liabilities and equity.
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As a project manager, part of your communication plan is to perform backlog clean-up every month. What additional details should the communication plan include? Select all that apply.
The additional details that should be included in the communication plan for performing backlog clean-up every month are: Location, Type of communication, Recipients, and Duration.
What additional details should be included in the communication plan?The communication plan for performing backlog clean-up every month should include details such as the Location where the clean-up will take place, the Type of communication that will be used (e.g., in-person meeting, email, video conference), the Recipients who need to be informed or involved in the clean-up process.
The Duration of the clean-up session (e.g., how long it is expected to take). Including these additional details in the communication plan helps ensure that everyone is aware of when and how the backlog clean-up will be conducted, facilitating effective coordination and productivity improvement in the organization.
Full:
As a project manager, part of your communication plan is to perform backlog clean-up every month. What additional details should the communication plan include? Select all that apply. Location Type of communication Recipients Duration
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What is the yield to maturity on an 18-year, zero coupon bond selling for 40% of par value? Assume annual compounding.
Select one:
a. 6.92%
b. 5.22%
c. 6.37%
d. 30.00%
e. 4.86%
The yield to maturity (YTM) on an 18-year, zero coupon bond selling for 40% of its par value is 6.92%.
Yield to maturity (YTM) is the total return anticipated on a bond if it is held until its maturity date. It represents the average annual rate of return that an investor can expect to earn by investing in a bond until it matures, assuming all coupon payments are reinvested at the same YTM.
Yield to maturity takes into account the bond's purchase price, its face value (par value), the coupon rate, the number of years to maturity, and the reinvestment of coupon payments. It reflects the present value of all future cash flows (coupon payments and the final principal payment) discounted at the YTM rate.
To calculate the yield to maturity (YTM) of a zero coupon bond, we need to use the formula:
YTM = (Face Value / Current Price) ^ (1 / Number of Years) - 1
In this case, the bond has a maturity of 18 years and is selling for 40% of its par value. This means the current price is 40% of the face value.
Let's calculate the yield to maturity:
YTM = (100% / 40%) ^ (1 / 18) - 1
YTM = 2.5 ^ 0.05555 - 1
YTM = 1.0692 - 1
YTM = 0.0692
Converting the decimal to a percentage, we get:
YTM = 6.92%
The yield to maturity (YTM) on an 18-year, zero coupon bond selling for 40% of its par value is 6.92%. Therefore, the correct answer is (a) 6.92%.
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What strategy do companies use for their financial benefit
Answer:
Companies utilize outsourcing as a business strategy to minimize their manufacturing costs.
It is a business approach in which businesses recruit someone from outside the firm to undertake work or produce an item that would otherwise be more expensive if done within the organization.
Both commodities and services can be purchased from outside the organization through outsourcing.
Explanation:
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What does a risk mean in regard to investments?
A. Uncertain outcomes
B. Certain outcomes
C. High rate of return
D. Low rate of return
E. Both A and C
regard to investments?
F. Both B and D
Every investment-related uncertainty that has the potential to have a negative influence on your financial well-being is referred to be a risk.
What are risk mean in regard to investments?
It is the possibility of losing the money invested if the security's fair price drops. Higher returns are offered by riskier securities. Market risk is a major component of the risk, but it is not the only one. Other risk categories include inflation risk, reinvestment risk, and credit risk, among others. For instance, market circumstances might influence the value of your investment to increase or decrease (market risk).
Market risk, credit risk, operational risk, strategic risk, liquidity risk, and event risk are just a few of the categories into which risks may be divided. One of the risk categories with the highest priority for every firm is financial risk. Financial risk is a result of market fluctuations, which may be influenced by a variety of causes.
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What is the definition of risk-averse?
Risk-averse is a term used to describe a person or organization that is hesitant to take risks and prefers to choose options that offer a lower potential return but also have a lower level of risk.
Risk-averse refers to an individual or entity's preference for avoiding or minimizing potential losses, even if it means sacrificing potential gains. Risk aversion is often seen in investors who prioritize the preservation of their capital over taking significant risks that could result in high returns. Risk aversion is not just limited to financial decisions but can also apply to everyday decision-making.
People who are risk-averse tend to choose the safest option, even if it means forgoing an opportunity that could offer a higher reward. In some cases, risk aversion is rooted in fear, while in others, it is a result of a person's personal or professional circumstances. Being risk-averse is a valid approach to decision-making, but it can also lead to missed opportunities if it is not balanced with a willingness to take calculated risks.
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A company has a poor impression with the public. Who might they hire to make it better?
A.
A graphic designer
B.
An advertising agent
C.
A public relations manager
D.
A quality assurance professional
Answer:
c
Explanation:
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during which stage of lewin's change model should managers encourage employees to exhibit the new behaviors and then reinforce employees making the desired change?
During the "refreezing" stage of Lewin's change model, managers should encourage employees to exhibit the new behaviors and reinforce employees making the desired change.
During the third stage of Lewin's change model, managers should encourage employees to exhibit the new behaviors and then reinforce employees making the desired change. The correct answer is Unfreeze, Change, and Refreeze.
What is Lewin's Change Model?
Lewin's Change Model is a three-stage approach to change management that was developed by Kurt Lewin, a social psychologist, in the 1940s. It is a framework that explains how to make necessary modifications to any system or organization's structures and procedures. The Lewin's Change Model comprises three stages:
Unfreeze, Change, and Refreeze, as explained below:
Unfreeze: This step entails helping people accept that a change is required, breaking down the current situation, and starting to create the motivation to change.
Change: This stage involves transitioning from the current state to a new desired state. The actual change process necessitates providing people with new tools, perspectives, and approaches to handle the transition effectively.
Refreeze: This step involves establishing the changes and making them permanent by introducing a new status quo. It entails implementing new systems, procedures, and structures to sustain the improvements and ensure that the new behaviors are followed.
During the "refreezing" stage of Lewin's change model, managers should encourage employees to exhibit the new behaviors and reinforce employees making the desired change.
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assume that the production order quantity model can be used in a situation where annual demand is 3,650 units, setup cost is $50, holding cost is $12 per unit per year, the daily demand rate is 10 units, and the daily production rate is 100 units. the production order quantity is units.
The production order quantity is units is 184.
Solution:
Q = (2KD/(h(1-x)^(1/2)
Q = (2503650/(12(1-(10/100)
= (365,000/10.8)^(1/2)
= 183.83
In conventional production inventory management, production order quantity was determined by referring to costs such as ordering cost and inventory cost. However, quality may change due to deterioration during the manufacturing process.
Economic Order Quantity is the ideal order quantity that a business purchases for its inventory. A minimum order quantity is a small number of products that must be purchased from the supplier in one order. The supplier sets his MOQ so as not to waste resources on orders that bring little or no profit. May be based on quantity or total order value.
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Under what circumstances will the multiplier be smaller, other things being equal? a. the larger the fraction of each dollar of disposable income that is spent on imports
b. the smaller the fraction of each dollar of disposable income that goes to saving c. the smaller the fraction of each dollar earned that goes to taxes d. the larger the fraction of each dollar of disposable income spent on consumption
The correct answer is: b. the smaller the fraction of each dollar of disposable income that goes to saving
The multiplier effect refers to the amplification of an initial change in spending or investment in the economy. It measures how much total output or income increases in response to an initial injection of demand.
The multiplier is calculated as 1/(1 - MPC), where MPC represents the marginal propensity to consume. The MPC represents the fraction of each additional dollar of disposable income that is spent rather than saved.
If the fraction of each dollar of disposable income that goes to saving (the saving rate) is smaller, the MPC will be larger. This means that a larger portion of each additional dollar of income will be spent rather than saved. As a result, the multiplier will be larger because there is a higher propensity to consume.
Conversely, if the saving rate is larger (the fraction of each dollar of disposable income that goes to saving), the MPC will be smaller. This implies that a smaller portion of each additional dollar of income will be spent, leading to a smaller multiplier effect.
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Investor presentations of ________ provide an opportunity for discussions to take place regarding the continuing corporate performance on ________ value creation story and a ________ value creation plan.a) short-term plans; short term; short termb) short-term plans; long term; long termc) long-term plans; short term; long termd) long-term plans; long term; long term
Investor presentations of "long-term plans" provide an opportunity for discussions to take place regarding the continuing corporate performance on "long-term" value creation story and a "long-term" value creation plan. The correct option is D.
The long-term plans is the planning in which the target goals which is taken as a longer period of time to reach and need more processes steps.
That's why, most of the investor presentations of long-term plans which is to provide an opportunity for discussions to take place for the continuing corporate performance on long-term value creation story and a long-term value creation plan.
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· Hope's contribution to her RETIREMENT plan...
a. is a post-tax contribution on which she pays federal income taxes
b. is pre-tax and therefore not included in federal income taxes
c. Is a contribution to her Social Security
d. is taxed at a rate of 15%
Based on Hope's check, her contribution to her RETIREMENT plan b. is pre-tax and therefore not included in federal income taxes.
What does the check say?The check notes that Hope's retirement contribution is not included in her federal taxable income.
This means that the contribution is paid pre-tax and will not be liable for federal income taxes. She will most probably pay taxes on the retirement fund when she withdraws from it.
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Rakeesh owns a deli shop on campus. He has a daytime manager and a nighttime manager, both of which report to Rakeesh directly. This is an example of a ______ structure.
A structure such as the one Rakeesh has where everyone reports directly to the CEO, is called a Flat Organizational Structure.
What is an Organizational Structure?
This is a system within an organization that spells out how people must relate to one another.
It also highlights how certain activities must flow for the objectives and or goals of that business or entity to be achieved.
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If an employee took a $1.79 candy bar from her employer every day and worked five days a week for 50 weeks of the year, how much would that pilfering cost the company? If 20 employees did the same thing how would that affect the company’s profits? i need help asap
If an employee took a $1.79 candy bar from her employer every day and worked five days a week for 50 weeks of the year, the cost of the pilfering would be $ 447.50.
If 20 other employees did it, the company would lose $8, 950.
How is the company affected ?The loss from the first employee is:
= $ 1. 79 x 5 days x 50 weeks
= $ 447. 50
If 20 employees all did the same, the loss to the company would be:
= 447. 50 x 20
= $ 8, 950
The level of theft can have immense implications on the profits of an organization that vary depending on its overall revenue and size. Besides the explicit financial loss concerning stolen goods, there is also a possibility of indirect expenses such as reduced worker productivity because of employee thefts or even needing more security personnel and equipment, which are costly investments. The company's reputation might take a significant hit in the long run due to these actions.
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Mason bought a rotisserie in preparation for a party he was planning. When he put a chicken on the rotisserie, it would not rotate, but stayed in one position where it burned the chicken on one side a left it raw on the other. Does Mason have any recourse?
Answer:
Yes Mason has recourse
Explanation:
In this scenario Mason bought a rotisserie that did not work as expected. That is it did not rotate as it should thereby causing burning of the chicken.
Even is the seller of the rotisserie did not give a warranty to cover the product, there is an implied warranty that covers the use of goods.
Implied warranty is the minimum requirement expected from the use of a product. For example a.television is expected to come on when in use..
So Mason has a recourse because he is covered by implied warranty.
Which of the following stages of the product life cycle is likely to utilize reminder advertising for marketing communications as profit margins narrow?
a. Maturity stage
b. Decline stage
c. Introduction stage
d. Cannibalization stage
e. Growth stage
The maturity stage of the product life cycle is likely to utilize reminder advertising for marketing communications as profit margins narrow.
The maturity level takes place after the advent and boom ranges. The maturity level is the longest degree of the product existence cycle. on this level, income increase begins to say no; the organization reaches the best point inside the call for the cycle; and advertising strategies have minimum effect on income growth.
The growth and maturity stages of a product life cycle are:-
retaining product first-rate and including features or assist offerings for the product.retaining pricing to increase demand for the product.increasing distribution channels to address demand.aiming promotion at a much wider target audience.A maturity degree is when a product has been set up inside the marketplace in the p.c. adulthood degree of a product is stated to be attained whilst the product has reached its top in income and the extent income boom tends to stagnate.
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2 Why is the retailor referred to as a middleman in the chain of distribution?
By facilitating the movement of goods and services and establishing connections between producers and customers, retailers play a crucial role in the distribution chain.
Due to their pivotal location in the chain of distribution between the makers or producers of goods and the final consumers, retailers are frequently referred to as middlemen. They are essential in bridging the divide and facilitating the trade of goods and services between the two sides. The following justifies the retailer's status as a middleman:
1. Intermediary Role: By buying products in bulk from producers or wholesalers and selling them to final customers in smaller amounts, the retailer serves as an intermediary. They act as a connecting point in the supply chain, ensuring that goods are efficiently delivered to their intended clients.
2. Physical Distribution: Retailers are in charge of the actual product distribution. To guarantee prompt delivery to customers, they oversee logistics, inventory, and storage of the goods. This calls for activities like shipping, warehousing, and order fulfilment.
3. Market Access: Retailers give producers a platform to connect with a larger consumer base. They are able to connect products with the appropriate target market thanks to their extensive networks, market expertise, and customer relationships. Retailers frequently have a number of stores and/or an online presence, extending the geographic reach of their items.
Retailers interact directly with customers, which is important for understanding their requirements, preferences, and purchase patterns. They enhance the overall client experience by providing individualised help, product demos, and after-sales support.
5. worth Addition: Retailers increase the worth of their items through branding, packaging, price, and marketing initiatives. They distinguish items, provide a unique selling proposition, and raise consumer awareness. Retailers may also combine products, give discounts, or offer other services to draw customers.
Retailers play a crucial role in the distribution chain by easing the flow of goods and services, linking producers with consumers, and enhancing the overall customer experience, despite the fact that the term "middleman" occasionally has the connotation of being unneeded or redundant.
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What system of government would you introduce into south africa right now if you were elected as president. Discuss why your system would you benefit all people of this country
A federal form of government is one that South Africa might find advantageous.
This arrangement gives the regions more autonomy by dividing power between a central government and regional governments. As regional governments could address the particular requirements of their communities, this could aid in addressing the problem of inequality in the nation.Additionally, by providing for more diverse political representation and accommodating a wider variety of political beliefs, a federal system may help to maintain political stability. By encouraging regional competition and more local decision-making, it may also encourage economic development. The current political system and constitution would need to be significantly changed in order to adopt a federal system, and those who profit from the current centralised government are likely to be strongly opposed.Ultimately, any system of government should prioritize the needs and well-being of all citizens, regardless of their background or social status. It is important to carefully consider the potential benefits and drawbacks of any proposed system of government and to engage in open and transparent dialogue with all stakeholders to ensure that the voices of all citizens are heard and respected.
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Schister Systems uses the following data in its Cost-Volume-Profit analyses: Total Sales $ 400,000 Variable expenses 220,000 Contribution margin 180,000 Fixed expenses 120,000 Net operating income $ 60,000 What is total contribution margin if sales volume increases by 30%?
Total contribution margin is $234000
Contribution is the value of sales less variable cost of sales
Contribution margin= Sales revenue - variable cost of sales
180,000 =$400,000-220,000
If sales increase by 30%, total contribution will also increase by the same percentage because the variable cost is linear
Total contribution margin = 130%×180,000
=$234000
So, the Total contribution margin is $234000.
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The next dividend payment by Savitz, Inc., will be $1.96 per share. The dividends are anticipated to maintain a growth rate of 4 percent forever. If the stock currently sells for $39 per share, what is the required return?
The required return for Savitz, Inc. is 10%. To calculate the required return for Savitz, Inc., we can use the Gordon Growth Model, which assumes that the stock price is equal to the present value of all future dividends. The formula is: required return = (dividend / current stock price) + growth rate.
In this case, the dividend is $1.96 per share and the current stock price is $39 per share. The growth rate is 4 percent. So, plugging in the numbers, we get: required return = ($1.96 / $39) + 0.04 = 0.1, or 10%.
Therefore, the required return for Savitz, Inc. is 10%. This means that investors would expect to earn a return of 10% on their investment in the company's stock, given its current dividend payment and growth rate.
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On December 1, 2021, Carlos entered into a lease on a building for use in his business for $1,000 per month. Under the lease terms, Carlos pays 18 months’ rent ($18,000) in advance on December 1. How much can Carlos deduct for rent in 2021?
a. $12,000
b. $18,000
c. $1,000
d. $13,000
The amount that Carlos can deduct for rent in the year 2021, based on his annual rent is c.$1,000.
Rent in 2021When recording rent, you can only record it for the period that the financial statement is for.
The rent given is for 18 months from December 2021 which means that it will be for only a single month in December.
The rent will therefore be a rental amount for a month:
= Rental amount / Number of months
= $18,000 / 18
= $1,000
In conclusion, option C is correct.
Find out more on prepaid rent at https://brainly.com/question/1079277.
Which college is better for oncology of the following?
- The University of Toledo Health Science Campus
- The Ohio State University Wexner Medical Center
Answer:
B hope this helps :)
Answer:
B good luck good sir or madam