Most inventory models attempt to minimize total inventory-based costs, the likelihood of a stockout, the number of items ordered, and the number of orders placed.
Most inventory models aim to minimize several factors, including total inventory-based costs, the likelihood of a stockout, the number of items ordered, and the number of orders placed. Minimizing total inventory-based costs involves optimizing the balance between holding costs (costs associated with storing inventory) and ordering costs (costs associated with placing orders). By finding the optimal inventory level, companies can reduce costs and maximize efficiency.
Additionally, minimizing the likelihood of a stockout is crucial to ensure uninterrupted supply and meet customer demands. This requires maintaining sufficient inventory levels and implementing effective replenishment strategies. Furthermore, minimizing the number of items ordered and the number of orders placed helps streamline operations, reduce administrative tasks, and optimize the utilization of resources.
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influences of Business environment,
Factors that Influence the business environment are :
Economic environmentSocial environmentTechnological environmentPolitical environmentLegal environment
The business environment means the total of all the individuals, and institutions that could affect the working of the business firm.
Importance of business environment:
Business environments help the firm to prepare itself for every possible obstruction or hindrance that can affect the functioning of the firm.It also helps the firm to adjust to frequent changes.The economic environment is all the things that create an economic impact on the firm.
The social environment is all the traditions and customs of the society that creates an impact on the firm.
The technological environment is all the impact on the firm caused due to new technology and upgradations.
The political environment is the conditions and behavior that the elected representatives hold toward the business
The legal environment is entirely based on the rules and legislation of the authorities.
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1. below is an example of a diwalidiyas. Extract the different parts of the diyas by making a sketch emphasizing the use of lines, shape forms and color. 2. you may put some accent to make your work more creative .
Answer:
need more info (incomplete)
Explanation:
company earned $7 per share in the year that just ended. The company has no more growth opportunities. The company has an 11 percent return on equity and an 11 percent cost of equity. Do not round intermediate calculations. Round your answers to the nearest cent.
What is the stock worth today?
What if the company was expected to earn $7.50 next year and then never grow again? Assuming that their return on equity and cost of equity didn't change, what would the stock be worth today?
We are required to calculate the worth of the company's stock, given its earnings per share, return on equity, and cost of equity. The worth of the stock today can be determined using the Dividend Discount Model (DDM) formula as follows:Stock worth today = D₁ / (r - g)Where,D₁ = Dividend payable after one yearr = Required rate of returng = Growth rate (constant) Given that the company has no more growth opportunities.
the growth rate is zero (g = 0).Therefore,Stock worth today = D₁ / rWe know that the company earned $7 per share in the year that just ended. Hence, Dividend payable after one year (D₁) = Earnings per share = $7Also, the return on equity is 11%. Therefore, the required rate of return is also 11% (r = 11%). Substituting the values in the above formula, Stock worth today = 7 / 0.11 = $63.64.
Therefore, the worth of the company's stock today is $63.64.If the company was expected to earn $7.50 next year and then never grow again, the dividend payable after one year would be $7.50.The growth rate would be zero (g = 0).Hence,Stock worth today = D₁ / r Stock worth today = 7.5 / 0.11 = $68.18 Therefore, if the company was expected to earn $7.50 next year and then never grow again, the stock would be worth $68.18 today.
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A machine costing $180,000 was purchased may 1. The machine should be obsolete after four years and, therefore, no longer useful to the company. The estimated salvage value is $15,000. Calculate the depreciation expense for each year of its expected useful life using each of the following depreciation methods: (a) straight-line, (b) double-declining balance. For double-declining balance, do not round until your final answer. Round your final answers to the nearest dollar.
From the given information, Straight line depreciation expense for Year 1 is $27,500 and Year 2, 3 ,4 = $41,250. Double declining method for Year 1: $60,000, Year 2: $60,000, Year 3: $30,000, Year 4: $15,000
1. Straight line depreciation expense = (Cost of asset - Salvage value) /
useful life
= ( $180,000 - $15,000) / 4 = $41,250
Depreciation expense every year would be 41250 expect in year 1 when the machine was used for only 8 months.
To determine the deprecation expense in the 1st year, determine the monthly deprecation expense.
41250 / 12 = 3,437.50
Depreciation for 1st year = 3,437.50 x 8 = $27,500
Depreciation expense using the double declining method = Depreciation factor × cost of the asset
Depreciation factor = 2 × (1/useful life)
2 / 4 = 0.5
Depreciation expense in year one = 0.5 × $180,000 = $90,000
2. The same procedure for determining depreciation expense in year 1 under straight line depreciation would also be used here.
90,000 / 12 = $7,500
$7,500 × 8 = $60,000
Book value at the beginning of year 2 = $180,000 - $60,000 = $120,000
Depreciation expense in year 2 = 0.5 × $120,000 = $60,000
Book value at the beginning of year 3 = $120,000 - $60,000 = $60,000
Depreciation expense in year 3 = 0.5 x $60,000 = $30,000
Book value at the beginning of year 4 =$60,000 - $30,000 = $30,000
Depreciation expense in year 4 = 0.5 x $30,000 = $15,000
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HELP PLEASE, THIS IS TIMED!!!!!!
Explanation:
I think the answer it's c
You've decided you want to sell a bond before its maturity date. Interest rates are currently higher than when you bought the bond. What will you likely have to do to make your bond more appealing to investors?
A) Lower the interest rate
B) Sell your bond at a discounted price
C) Increase the interest rate
D) Sell your bond at a higher price
Increasing the interest rate you will likely have to do to make your bond more appealing to investors.
Option C is correct.
What draws investors' attention to bonds?Preservation of capital: Bonds, in contrast to stocks, must be repaid in full upon maturity. Bonds are appealing to investors who don't want to risk losing money and to those who will have to meet a liability in the future.
What is the most crucial factor for bond investors?The bond's price, interest rate and yield, maturity date, and redemption features are the most significant aspects. You can determine whether a bond is an appropriate investment by analyzing these key components.
Why do rising interest rates make bonds more appealing?that indicates that bond prices decrease when interest rates rise. In order to appear appealing to investors, bonds compete with one another in terms of the interest income they provide. Since newer bonds have higher interest rates when interest rates rise, existing fixed-rate bonds must sell at a discount in order to compete.
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Assume an Australian FI has a foreign exchange closing position of ¥400000000 and further assume that the exchange rate is 108 ¥ /AUD. What is the delta of this position? Give your answer rounded to the nearest whole number
The delta of the foreign exchange closing position is 3,703,704.
To calculate the delta, we need to multiply the position amount by the exchange rate. In this case, the position amount is ¥400,000,000 and the exchange rate is 108 ¥/AUD.
Delta = Position amount × Exchange rate
Delta = ¥400,000,000 × 108
Performing the calculation, the delta of the position is approximately 43,200,000,000.
Rounded to the nearest whole number, the delta of the position is 43,200,000,000, which is approximately 3,703,704 when expressed in thousands.
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According to the video, what are some tasks performed by Tellers? Check all that apply.
O reviewing insurance applications
O cashing checks
O analyzing investment opportunities
O judging risk based on statistics
O accepting payments for a customer's bills
O dealing with foreign currencies
Answer:
Cashing checks, receiving checks/ paying out money, entering transactions on computers
Explanation:
According to O*NET, what are some common tasks performed by Tellers? Check all that apply.
Answer:
2, 5, 6
Explanation:
Hope this helps!
Mandy used to work as a costume designer at her local theatre until she left work 3
years ago to bring up her daughter Natalie, now 4 years old. Mandy now works from
her house in Slough where she provides, makes and sells hand made glove puppets.
At the moment she sells at local craft fairs and through word of mouth. She now
wants to expand her business to include an on line shop and also to provide puppet
shows for children's parties and puppet making workshops for slightly older
children's parties.
1. Identify 2 reasons why Mandy may need to raise finance.
(2 marks)
2. Explain 1 advantage and 1 disadvantage to Mandy of taking out a bank loan.
(4 marks)
3. Mandy is considering applying for an additional mortgage on her house to
finance the business expansion. Do you think this is a good idea? Justify your
(9 marks)
answer.
Answer:
1. Mandy may need to raise a finance because she wants to expand her business, so therefore she may need extra money.
2. 1 advantage of taking out a bank loan is that she could build up her business with the money she’s taking out and the disadvantage is that her business may not work out or she won’t be able to pay the bank back
3. It may be a good idea to finance the business expansion because she may or may not grow her business after expanding it. But after expanding it there is possible chances of her business working out and growing more.
Explanation:
Write a short report on ethical business dilemmas, and give examples of ethical dilemmas faced by businesses.
this is the edmentum answer and ill put my answer as well
Explanation:
edmentum: Ethical dilemmas are very common in the workplace. The employees of an organization are under pressure to deliver an expected level of performance. They need to perform to meet the organization’s goals without compromising on quality or giving in to temptation, such as opportunities to share confidential company data. When an organization provides training and guidance to its employees, it helps them to make appropriate ethical decisions.
The cultures of organizations vary. Some businesses do not look beyond their own profits, and their leaders often ignore their own standards of ethics. Employees who do not agree to certain practices may hesitate to protest because they don’t want to risk losing their jobs or for management to single them out as untrustworthy.
Ethical dilemmas are common in business processes; for example, when employees manipulate work reports to obtain recognition and appreciation, or when employees fudge financial statements to depict false increases in sales.
Another example of an ethical business dilemma would be an employee finding out that a senior manager is misusing company resources for personal gain. The employee may receive an offer from the manager to share in the unethical gains.
my answer: Ethical business dilemmas are growing more important over the years now that people have realized businesses should be treating their employees as human beings. Applying for a job you should be aware of common ethical dilemmas business faces and how well they handle them. Some common dilemmas are health and safety, diversity and discrimination policies, employee privacy, unethical pricing, and sadly sexual harassment.
Explain why marketing implementation is difficult for many firms. In your answer, discuss how these difficulties often stem from the relationship between strategic planning and marketing implementation.
Marketing implementation can be difficult for many firms due to a variety of factors. One of the key reasons for this is the relationship between strategic planning and marketing implementation.
While strategic planning provides the framework for marketing activities, it is often disconnected from the actual implementation process. As a result, the marketing team may not fully understand the strategic objectives or may lack the resources needed to execute the plan effectively. Another challenge is the complexity of marketing implementation. The marketing mix consists of various elements such as product, price, place, and promotion. Each of these elements requires a different approach and expertise. For example, creating a strong product offering requires research and development, while pricing strategies require financial analysis. Implementing a comprehensive marketing plan requires a diverse team with a range of skills, which can be difficult to assemble. Furthermore, there can be communication gaps between different departments within a firm. For instance, sales and marketing teams may have different goals and priorities, leading to conflicts in implementing the marketing plan. Additionally, external factors such as market conditions, changes in consumer behavior, and increased competition can create unexpected challenges. Overall, the difficulties in marketing implementation can stem from the relationship between strategic planning and marketing execution. However, by building a strong marketing team, promoting effective communication, and remaining flexible, firms can overcome these challenges and achieve their marketing objectives.
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HELP ME PLZ i’ll give brainliest Greg owns numerous factories that prepares corn syrup for shipment. His team has packed the syrups in thousands of barrels. Which
type of transportation should he use to send these barrels overseas?
a. shipper
B.
bulk cargo
с.
trains
D.
break bulk cargo
Answer:
B
Explanation:
Product enhancements
A) do not really change the basic product.
B) include guarantees and warranties.
C) include features and options
D) reduce the number of target markets one product can satisfy.
Answer:
C or A
Explanation:
I could answer better with more context
In what three ways does the government affect production of goods and services in the US economy?
For an investor seeking a tax sheltered investment, the primary advantage of a real estate direct participation program is the: A high level of liquidity provided by the investment B ability of the program to generate losses for tax purposes but provide positive cash flow C ability to offset passive losses generated by the program against the investor's earned income D ability of the program to generate increasing losses until liquidation Review
Type the correct answer in the box.
Which strategy are you following if you are concentrating on serving a particular segment of customers better?
You are following the_______
strategy if you are concentrating on serving a particular segment of customers better.
Answer:
Targeting Strategy
Two characteristics of an autocratic and democratic leadership style
Answer:
• You have a highly structured working environment.
• You dictate all the working methods and processes.
Explanation:
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Accounts receivable has a starting balance of $10,500. After a customer pays $2,500, what is the balance of the account? A. $13,000 C. $8,000 B. $2,500 D. $10,500
The balance in the Accounts Receivable after the customer pays $ 2, 500 would be C. $8,000.
What is Accounts Receivable?Accounts Receivable, a phrase used in accounting, denotes the amount of money owed by customers or clients to businesses that provided them goods or services on credit. This creates an account receivable for the customer which reflects how much he/she owes the business for the purchased products or services.
The balance on the accounts would be:
= Starting balance - amount paid
= 10, 500 - 2, 500
= $ 8, 000
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how many electoral votes are there
Answer: There are 538 electoral votes.
Explanation:
The number of electoral votes is made up by combining the total number of House of Representatives and Senate members. There are 435 members in the House of Representatives, and 100 in the senate (2 members per state, 50 states). This although, only equals 535. There are 538 votes although because D.C. gets 3 electoral votes. This equals 538.
44. A schedule set up to combine similar general ledger accounts, the total of which appears on the working trial balance as a single amount, is referred to as a: A. Supporting schedule. B. Lead schedule. C. Corroborating schedule. D. Reconciling schedule.
A lead schedule is a schedule set up to combine similar general ledger accounts, where the total of the accounts appears on the working trial balance as a single amount. The correct answer to this question is B. Lead schedule.
Lead schedules are commonly used in accounting to simplify the presentation of financial information and to provide a clear overview of the general ledger accounts that make up a particular balance sheet or income statement line item. In addition to the lead schedule, supporting schedules, corroborating schedules, and reconciling schedules are also used in accounting.
Supporting schedules are used to provide additional details about a particular general ledger account, such as a breakdown of expenses by department or by vendor. Corroborating schedules are used to verify the accuracy of financial information, such as by comparing the amounts on the general ledger to external sources like bank statements or invoices.
Reconciling schedules are used to identify and resolve discrepancies between two sets of financial records, such as a bank statement and a general ledger account. Overall, lead schedules are an important tool in accounting for simplifying the presentation of financial information and providing a clear overview of the general ledger accounts that make up a particular balance sheet or income statement line item. The correct answer to this question is B. Lead schedule.
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How do you know if a product is elastic or inelastic?
The quantity demanded for a product is said to be elastic if price changes cause a larger than proportional shift in quantity demand.
In contrast, a product is said to be inelastic if changes in price have minimal effect on changes in quantity demanded. One product that is extremely inelastic is insulin. Demand for insulin from diabetics is so high that price increases barely have any impact on the amount needed. Price reductions also have no impact on amount needed, as the majority of people who require insulin are already buying it regardless of the price, rather than waiting for it to drop. Products that are very elastic are on the other side of the equation. For instance, spa days are quite elastic because they aren't an essential good.
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How can public health decrease the economic impact on health care?
Answer:
First, healthier people are more economically productive. Better health also leads to an increase in savings rates—because healthier people expect to live longer and are naturally more concerned with their future financial needs. Another bridge between health and the economy is education.
Explanation:
on a classified balance sheet companies usually list current assets
On a classified balance sheet, companies usually list current assets separately from non-current assets.
A classified balance sheet is a financial statement that organizes a company's assets, liabilities, and equity into distinct categories. One of the common classifications on a classified balance sheet is the separation of current assets from non-current assets. Current assets are those that are expected to be converted into cash or used up within one year or the operating cycle of the business, whichever is longer.
By listing current assets separately, companies provide users of the financial statements with a clearer understanding of the liquidity and short-term financial health of the business. Current assets typically include items such as cash and cash equivalents, accounts receivable, inventory, and prepaid expenses. These assets are expected to provide short-term value or generate cash flow in the near future.
On the other hand, non-current assets, also known as long-term assets or fixed assets, are resources that are expected to be utilized in the business for a period longer than one year. Non-current assets include items such as property, plant, and equipment, intangible assets, long-term investments, and other long-term assets. These assets represent the company's long-term investment in its operations and are not readily converted into cash within the short term.
Separating current assets from non-current assets on a classified balance sheet allows financial statement users to assess the company's liquidity, working capital, and ability to meet short-term obligations. It provides a snapshot of the company's short-term financial position and assists in evaluating its operational efficiency and ability to manage short-term cash flow needs.
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On a classified balance sheet, companies list current assets separately from other assets to provide information about their short-term liquidity and operating cycle.
Explanation:A financial statement that lists a company's assets, liabilities, and shareholder equity at a certain point in time is referred to as a balance sheet. On a classified balance sheet, companies usually list current assets separate from other assets. Current assets are those assets that are expected to be converted into cash or used up within one year or the operating cycle, whichever is longer.
They include cash, accounts receivable, inventory, prepaid expenses, and short-term investments. By listing current assets separately, companies provide users of the balance sheet with information about their short-term liquidity and operating cycle.
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During a job interview, Pam Thompson is offered a salary of $32,000. The company gives annual raises of 4 percent. What would be Pam's salary DURING her fifth year on the job? (You may need to round to the nearest answer)
Answer:
$38,933
Explanation:
A=P( 1 + r/100)^n
A= amount
r= rate(4%)
n=period (5)
A=32,000 ( 1 + 4/100)⁵
A=32,000 (1.04)⁵
A=38,932.89
A=$38,933( nearest whole number)
During a job interview, Pam Thompson is offered a salary of $32,000. Pam's salary during her fifth year on the job is $ 37435.474.
What do you mean by the annual raise of salary?
A worker's salary increase is expressed as a percentage of their total base pay. Typically, it represents a portion of the employee's yearly compensation. Employers may utilize increments to raise or lower basic pay as well as to provide incentives.
The yearly increase % calculates the average annual percentage rate of salary increases.
Here,
Current salary= 32000
First increment will occur at the beginning of 2nd year = 32000 × (1+4%)
Second increment will occur at the beginning of 3rd year = 32000 × (1+4%) × (1+4%)
Third increment will occur at the beginning of 4th year = 32000 × (1+4%) × (1+4%) × (1+4%)
Fourth increment will occur at the beginning of 5th year
= 32000 × (1+4%) × (1+4%) × (1+4%) × (1+4%)
= 32000 × (1+4%)^4
= 32000 × (1.04)^4
= 32000 × 1.1698586
= $ 37435.474
Therefore, during a job interview, Pam Thompson is offered a salary of $32,000. Pam's salary during her fifth year on the job is $ 37435.474.
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according to the graph, when the home country provides a subsidy of , exports will increase by units. group of answer choices $175; 120 $50; 40 $125; 100 $175; 100
Subsidy= 175-125 = 50
Exports= 100-60 = 40
- Free Trade exports= 100-40 = 60
- Subsidy exports= 120-20 = 100
A. $50; 40
How can export subsidies drive up costs?
Export subsidies, such as those provided by the EU export reimbursements and the US Export Enhancement Program, help traders bridge the price gap between domestic markets and international markets. Because domestic companies would be hesitant to sell at home for less than they would receive if the product were exported, an export subsidy raises the domestic price above the world price by the amount of the subsidy of the exports resulting in the change of the price of the goods and commodities being exported by the firm.
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The rate at which a business increases revenue from sales is
Answer:
There are only four ways to increase revenue in your business: increase the number of consumers, increase the average transaction size, increase the frequency of transactions per client, and raise your rates.
Explanation:
in general, when dealing with an adhesion contract, courts will
In general, when dealing with an adhesion contract, courts will seek to ensure that the contract is fair and reasonable.
Adhesion contracts are standard-form contracts that are offered on a take-it-or-leave-it basis, and they are often used in situations where one party has significantly more bargaining power than the other. As a result, courts will often scrutinize these contracts more closely to ensure that they are not oppressive or unfairly one-sided.
Courts may consider a number of factors when assessing the fairness of an adhesion contract, such as the relative bargaining power of the parties, the clarity of the terms, and the nature of the subject matter. In some cases, courts may be willing to strike down certain provisions of an adhesion contract that are deemed to be unconscionable or contrary to public policy.
Overall, the goal of the courts when dealing with adhesion contracts is to ensure that the parties are on equal footing and that the contract is fair and reasonable.
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Iq ltd. Produces its premium plant food in 50 lb. Bags. Demand is 100,000 lbs. Per week and they operate 50 weeks each year. Iq can produce 250,000 lbs. Per week. The setup cost is $200 and the annual holding cost rate is $0. 55 per bag. Hp produces its premium plant food in batches of 1,000,000 lbs. Determine the maximum inventory level, and calculate the total cost of using this policy
IQ ltd. Produces its premium plant food in 50 lb bags then the maximum inventory level is 12000 bags and the total cost is $4300 .
In the question ,
it is given that ,
IQ ltd. Produces the premium plant food in 50 lb. Bags.
setup cost (o) is = $200 ,
Demand per week is = 100000 lbs. ,
Annual Demand(D) for 50 weeks is = 100000 × 50 = 5000000 .
Production Rate (p) = 250000×50 = 12500000
Holding Cost (H) is = 0.55/50 lbs.
Current Production Quantity (Q) is = 1000000 lbs.
So , the maximum inventory level is = Q(1 - D/P) = 1000000(1 - 5000000/12500000)
= 600000 lbs.
= 6000000/50 = 12000 bags .
The total cost will be = (D/Q)×O + (I/2)×H
= (5000000/1000000)×200 + (600000/2)×(0.55/50)
Simplifying further ,
we get ,
= $4300
Therefore , the total cost is $4300 and the maximum inventory level is 12000 bags .
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Which two are examples of how geography supported the success of Egyptian civilization during the Bronze Age? select all that apply
fertile farmland
Mediterranean climate
many major rivers used for irrigation
natural fortification
The two examples of how geography supported the success of Egyptian civilization during the Bronze Age are fertile farmland and many major rivers used for irrigation.
Civilization refers to an advanced stage of human social and cultural development characterized by various complex institutions, including government, technology, economy, and social structures. It signifies a higher level of organization and sophistication in human societies. Civilizations typically exhibit characteristics such as the development of writing systems, the establishment of cities, creation of art and literature, the advancement of scientific knowledge, and the presence of legal systems. They often emerge as a result of agricultural advancements, allowing for surplus food production and the specialization of labor.
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What research will help prepare you before you apply for a job?
Informational interviews on the position and background research on the
company.
Research on the subjects you need to study.
Interviewing friends and family to know if the position is a good fit for you.
Researching the salary for that job.
Answer:
Informational interviews on the position and background research on the
company.
Explanation:
A job interview helps select a suitable person to fill in the vacant position. The interviewer will ask questions to gauge the candidate's understanding of that position. Research on the positions will give a candidate confidence and content when responding to questions.
Research on the company provides background understanding, which helps them relate the job requirements and the company. This information will help convince interviewers of one suitability on the job. A candidate appears knowledgeable and familiar with what is expected of them.