It is known as Lean Manufacturing.
How would you define manufacturing?
The process of transforming a raw material into a finished, physical product is known as manufacturing.
Making a process more effective while it transforms certain resources into other resources, frequently with the intention of being sold to a client, is what manufacturing includes.
In other word, The process of producing items using labor, equipment, instruments, biological or chemical processing, or formulation, is known as manufacturing.
The manufacturing process involves:
Casting and molding.Machining.Joining.Shearing and forming.To learn more about manufacturing from the given link
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jared is struggling to make payments on a high-cost mortgage. he returns to the mortgage lender that made the loan and applies for a loan modification. if the mortgage lender agrees to modify the loan, it may:
If jared is struggling to make payments on a high-cost mortgage. he returns to the mortgage lender that made the loan and applies for a loan modification. if the mortgage lender agrees to modify the loan, it may: Not charge any fees for the loan modification.
What is loan modification?
Loan modification can be defined as the way in which a lender tend to modify or change a borrow loan terms or repayment plan among others.
Although high cost mortgage tend to prohibits agent as well as assignees from collecting fees from borrower because they want to modify their loan which is why Jared will not be charge for the loan modification he want the lender to make as a result of him finding it hand to make payments on the high-cost mortgage
Therefore we can conclude that Jared will not be charge any fees.
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an economy that is undergoing industrialization, is growing faster than developed economies, and has capital markets that usually entail greater risk is referred to as a(n)
An undergoing industrialization and growing faster than developed economies is an emerging market economy.
An economy that is evolving into a developed market economy is an emerging market economy. These often have a monetary union, equity markets, and banking system, which means they are industrialising, and because of their quick growth and can provide investors with higher profits.
Key traits of such an economy are economic expansion, growing per capita income, accessibility to overseas investors, and a reliable legal regime. As a market economy develops, it frequently becomes more integrated with the larger economy. Thus, it may see higher trade volume, more liquid local debt and equity markets, and foreign direct investment all of which generally involve more risk.
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In Macroland, autonomous consumption equals 100, the marginal propensity to consume equals 0. 75, net taxes are fixed at 40, planned investment is fixed at 50, government purchases are fixed at 150, and net exports are fixed at 20.
The vertical intercept of the expenditure line is:
Induced expenditure equals:Autonomous expenditure equals:Planned aggregate expenditure equals:The slope of the expenditure line is:The vertical intercept of the expenditure line is:Induced expenditure equals:
According to given question Autonomous expenditure equals is 290 in Macroland.
What do you mean by investment?An investment is something that is purchased with objective of earning money or gaining fame. A purchase for products that are not used right away but will be utilized to create wealth down the road is referred to as an investment in an economic prospects.
Briefing:Spending that is autonomous is spending which is unattached to income. In this case, because C = 100 + 0.75(Y - T),
we have PAE = C + I + G + NX = [100 + 0.75(Y - 40)] + 50 + 150 + 20 = 100 + 0.75Y - 30 + 50 + 150 + 20 = 290 + 0.75Y.
Autonomous expenditure is the vertical intercept of 290.
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a mutual fund has a beginning of year net asset value (nav) per share of $50. during the year, the fund has net investment income (nii) of $2 per share. at the end of the year, the fund distributes $1 per share in dividends to its shareholders. the end of year nav per share is: a $49 b $50 c $51 d $52
The net value per share after the end of the year is 51$ as given in option c of the given question.
What are mutual funds, exactly?A mutual fund is a group of investments that is expertly supervised by a fund manager. a trust that, after receiving funds from a number of participants who share similar investing objectives, invests them in stocks, bonds, money market instruments, and/or other securities.
Is it a good idea to invest in mutual funds?Mutual funds may be a worthwhile investment for those looking to diversify their investments. Determine whether investing in mutual funds is the best decision for you. It depends on your unique situation whether you should invest in mutual funds, which offer convenience and diversification at a low cost.
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which of the following is shown on the income statement of both merchandising and service companies? a. gross profit b. operating expenses c. cost of goods sold d. sales revenues
Operating expenses is the income statement of both merchandising and service companies.
Where are the Operating expenses ?A company's operating expenses are listed below the line on the income statement. They may be divided into several line items for various categories of expenses, or they may be reported as a single line item occasionally.
An continuing cost for maintaining a system, a business, or a product is known as an operating expense, operating expenditure, operational expenditure, operational expenditure, or opex. The cost of developing or providing non-consumable pieces for the product or system is its counterpart, a capital expenditure.
The costs of doing business are known as operating expenses, commonly referred to as selling, general, and administrative expenses (SG&A). Rent and utilities, sales and accountancy, marketing and advertising, and management and administrative wages are among them.
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a firm has invested $500 in a new machine that is expected to last for the next 4 years. the machine will be depreciated on a straight line basis down to zero by the end of its 4 year life. the firm projects that the machine will generate consecutive annual cash inflows of $550 beginning in one year and will generate consecutive annual cash outflows at 260 also beginning in one year.. assuming the tax rate of 38%, determine the firm's cash flow next year.
The company's cash flow might be 186.80 next year.
Cash flow refers to the quantity of cash or cash equivalents that a business gets or expends for the purpose of making payments to creditors. The liquidity condition of the business is frequently studied using cash flow analysis.
Spending that occurs in the normal course of business is included in cash flow from operations. Payroll, the cost of items sold, rent, and utility bills are a few examples of these financial outflows. When corporate activities are very seasonal, cash outflows might vary greatly.
Future year's cash flow
Inflow = 500
Outflow = 260
Depreciation = 500/5 = 100
Tax rate = 38%
Cashflow = (500-260-100) × (1-0.38) + 100
= 186.80
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martin, the ceo of a struggling company, has gathered his employees to deliver the unhappy news that the company has filed for bankruptcy and everyone is being let go. he doesn't want his employees to feel sad, so as he gives his speech, he makes sure to smile widely and make eye contact with everyone. how effective is martin's use of nonverbal communication? a.) effective, because his facial expression is reinforcing his message. b.) ineffective, because his smile may confuse or irritate his audience, since it conflicts with his message. c.) ineffective, because it would be better for him to use a variety of facial expressions. d.) effective, because his smile reflects how he wants his audience to feel.
The non-verbal communication is b.) Ineffective, because his smile may confuse or irritate his audience since it conflicts with his message.
Because much of our nonverbal communication is unconscious, we tend to believe that nonverbal communication is more credible than verbal communication. Nonverbal communication is the exchange of information through body language, such as gestures, eye contact, and facial emotions. Martin has assembled his team in the scenario provided to break the bad news that the business has declared bankruptcy and everyone will be laid off.
Although he gives his speech and doesn't want his employees to feel sad, he shouldn't grin broadly or make eye contact with everyone because this won't show that he is unhappy about the endeavor closing and missing out on so many people. His smile may confuse or annoy his listeners because it contradicts his message, making his nonverbal communication ineffective.
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five years ago you took out a 30-year mortgage with an apr of 4.15% for $350,000. if you were to refinance the mortgage today for 15 years at an apr of 3.45%, how much would your monthly payment change by? group of answer choices
Five years ago you took out a 30-year mortgage with an apr of 4.15% for $350,000. if you were to refinance the mortgage today for 15 years at an apr of 3.45%, The monthly payment will decrease by $104.79.
Refinancing occurs when the conditions of an existing loan are met, such as: B. Interest Rates, Payment Schedules, or Other Terms. Borrowers tend to refinance when interest rates fall. Refinancing involves reassessing a person's or business' credit and repayment status.
Refinancing is when a homeowner gets a new mortgage to replace their current mortgage. A new loan is meant to save you money or achieve another financial goal. For example, most people refinance to lower interest rates and pay less on their mortgage, often saving thousands of dollars in interest on their mortgage.
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in february 2018, aaa bonds yielded 3.47%, baa bonds yielded 4.60%, and comparable treasuries yielded 2.95%. assume a face value of $100. a. what was the credit spread on aaa bonds? (enter your answer as a percent rounded to 2 decimal places.) b. what was the spread on baa bonds? (enter your answer as a percent rounded to 2 decimal places.) c. what do you think would be the difference in price (as a percent of face value) between a typical 13% 10-year baa bond and a similar treasury bond? (do not round intermediate calculations. enter your answer as a percent rounded to 2 decimal places.)
The credit spread on AAA bonds = Yield of AAA bonds - treasury security
= 3.47 - 2.95 = 0.52
The spread on BAA bonds = Yield of BAA bonds - treasury security
= 4.60 - 2.95 = 1.65
What does the term "Treasury security" mean?The U.S. Department of the Treasury issues debt obligations under the name "Treasury securities," which includes Treasury bills, notes, and bonds. Because they are backed by the full faith and credit of the United States government, Treasury securities are among the safest investments.
Assuming annual compounding
Par value = 100
Coupon of BAA bond = 13% × 100 = 13
YTM = 4.60%
Number of years = 10
Price of bonds = PV of coupons + PV of Par Value
= 13 × ((1-(1+4.60%)^ - 10)/4.60%+100/(1+4.60%)^10
= 931.498837224
Price of treasury bond = 100/(1+2.95%)^10 = 74.7715684%
Difference in price as % of Par value = 931.498837224 - 74.7715684% = 235.002%
Assuming semi annual compounding
Par value = 100
Coupon of BAA bond = 13% × 100/2 = 13/2= 6.5
YTM = 4.60%/2
Number of years = 10 × 2 = 20
Price of bond = PV of Coupons + PV of Par value
= 6.5 × ((1-(1+4.60%/2)^-20)/4.60%+100/(1+4.60%/2)^20
= 216.982411.327
Price of treasury bond = 100/(1+2.95%/2)^20=100/(0.51475)^20
= 58.6236553187
Difference in price as % of Par value =
216.982411327% - 58.623655318 = -17.51%
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one major objective in setting standards is to a.set them low so employees will not be stressed or pressured. b.set them to actual costs. c.set them high to push employees to work harder and faster. d.motivate employees to achieve efficient operations.
Direct labor time variances are unfavorable when actual hours exceed standard hours. Each of Douglas Industries' 5,500 units required 2.5 standard hours of production time.
What does it mean to use the terms "standard hours allowed" or "standard quantity allowed"?"Standard hours allowed" and "standard quantity allowed" refer to the following: the actual output in units divided by the permissible standard input. In a standard costing system, overhead is added to work in progress by: dividing the period's output in standard hours by the rate that has been predetermined.
What are the three things you need to think about to make sure your customers are happy?Customer understanding, service, and technology are the three main factors influencing modern customer satisfaction. You can create real customer loyalty and provide positive, consistent customer experiences by utilizing these factors.
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what's one of the main motivations for individuals in the economic system of capitalism? question 19 options: a) humanitarian concerns b) religion c) divine right d) profit
Profit is one of the main motivations for individuals in the economic system of capitalism.
The economic system known as capitalism promotes and permits private ownership of companies that work to make a profit. Nations all across the world use a variety of economic systems, including capitalism and socialism. The most basic type of capitalism is frequently referred to as a free market economy. Communism is a popular variety of socialism. The economic system known as capitalism bases prices on supply and demand and relies on a free market to decide the most effective distribution of resources.
The two-class system, private ownership, profit motive, minimum government intervention, and competition are only a few of the many distinct features of capitalism.
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in purchasing a category is: a. represented by the strategic sourcing matrix b. a related group of items c. a standard grouping of materials that all companies use regardless of industry d. only a and b
The organization organizes related purchase items in a logical way by using category as a strategic tool. As a result, both a and b are correct. Depending on the strategy mix, different businesses may group items differently. Consequently, the correct choice is option d.
What are the four important sourcing areas?The four stages of strategic sourcing are data collection, spend analysis, market research, negotiation, and contracting. Strategic sourcing is a procurement process.
What distinguishes purchasing from strategic sourcing?By taking into account things like contract negotiation, supplier development, and outsourcing models, strategic sourcing brings your purchasing power into line with your strategy. It is different from conventional sourcing, which entails locating a supplier based on straightforward factors like price and location. Management of the supply chain is another name for this.
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in september, the board of directors of chaparral steel approved a stock split of 2-for-1. after the split, how many shares of chaparral steel stock will an investor have if he or she owned 1,100 shares before the split?
An investor have 550 shares if he or she owned 1,100 shares before the split.
What does the term "shares" mean?
Shares are fractional ownership interests in a corporation. For some businesses, shares are a type of financial instrument that allows for the equitable distribution of any declared residual profits in the form of dividends. A stock with no dividend payments does not distribute its income to its shareholders.
Equity shares and preference shares are the two main types.
Equity securities Ordinary shares are another name for equity shares. They are among the most prevalent types of shares.
Companies issue stock to raise funds for operating expenses. These shares reflect ownership in the company and confer ownership rights on the holder. The shareholder receives a specified number of rights by acquiring shares.
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how do mergers and acquisitions differ? multiple choice question. a merger is when two firms are forced to join together; an acquisition is when two firms join willingly. a merger is when two firms join together; an acquisition is when more than two firms join together. a merger describes the domestic takeover of a firm, while an acquisition describes the international takeover of a firm. a merger describes the joining of two independent companies, while an acquisition describes the purchase or takeover of a firm.
A merger unites two businesses into a single, entirely new company, whereas an acquisition includes one firm buying another without forming a new organization. This is the primary contrast between a merger and an acquisition.
A merger occurs when two separate organizations come together to create a single, new entity. On the other side, an acquisition occurs when one entity is taken over by another. Mergers and acquisitions may be carried out to widen a company's client base or boost its market share in an effort to improve shareholder value.
An acquisition is when one firm (the acquirer) purchases and takes over the operations of another business (the acquiree), as opposed to a merger, which takes place when two or more businesses combine to form one corporate entity (the acquired).
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let us assume that it is common practice to purposely underestimate bids in order to win nasa contracts. is it wrong for kendahl to take part in this activity as long as it does not overstate the actuals costs it incurs?
If I were in Kendal, I will have issues personally, as the bid proposed for the contract is not ethical and it is being designed to win the contract with nonrealistic quotes. Thus it will have an impact on Kendal. We should avoid unethical practices in the organization.
An organization or organization (Commonwealth English; see spelling differences), is an entity—including an enterprise, an institution, or an affiliation—comprising one or extra humans and having a selected cause. The word is derived from the Greek word organon, which means device or device, musical tool, and organ. There are an expansion of criminal forms of companies, along with organizations, governments, non-governmental companies, political agencies, international companies, armed forces, charities, now not-for-profit corporations, partnerships, cooperatives, and academic establishments, and many others.
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if a listing sales associate shows a property to a ready, willing and able buyer what is he not permitted to do?
The listing sales representative is prohibited from:
give the purchaser erroneous or misleading information regarding the property
omit important details about the property
inspire the purchaser to submit a bid that is not in their best interests
assets refer to both the set of rights that furnish people prison authority over precious items as well as the real treasured gadgets themselves. relying on the assets' nature, the owner can be able to devour, regulate, share, redefine, hire, mortgage, pawn, sell, exchange, transfer, deliver away, or even abandon the belongings; but, regardless of the belongings' nature, the owner is usually entitled to apply the belongings in accordance with the granted belongings rights.
The primary unit of possession is recorded within the land books, land registers, or equivalent. it is described through unique ownership and homogeneous real property rights and may encompass one or more adjacent or geographically separate parcels.
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consider two firms, with and without, that have identical assets that generate identical cash flows. without is an all-equity firm, with 1 million shares outstanding that trade for a price of $24 per share. with has 2 million shares outstanding and $12 million in debt at an interest rate of 5%. in a perfect capital market, the stock price for with is closest to: a) $8.00 b) $24.00 c) $6.00 d) $12.00
The capital structure theory of Modigliani and Miller states that a company's valuation is unaffected by its capital structure. A company's capital structure is how it funds its operations.
A company can raise money for its operations through equity or debt. This theory is based on some presumptions, and according to these presumptions, a company's capital structure has no bearing on whether it chooses to finance its operations with debt or equity.
The total value of With and Without must be the same as under MM's perfect capital market, assuming MM's perfect capital conditions are met.
What are the Modigliani-Miller model's four main assumptions?
The Modigliani-Miller Theory only holds under four conditions: there are no taxes, there are no costs associated with bankruptcy, symmetric information, and equal borrowing costs.
What are the MM theory of capital structure's presumptions?
Companies that operate in a world of perfectly efficient markets are assumed to pay no taxes, securities trading is carried out without incurring any transaction costs, bankruptcy is possible but incurs no costs, and information is perfectly symmetrical.
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1. fenner smith is contemplating dividing his portfolio between two assets, a risky asset that has an expected return of 30% and a standard deviation of 10%, and a safe asset that has an expected return of 10% and a standard deviation of 0%. (a) if mr. smith invests x percent of his wealth in the risky asset, what will be his expected return?
If Mr. Smith invests x percent of his wealth in the risky asset, his expected return will be 0.5%.
rx=30x+ 10(1−x) (Expected Return); sd: σx=10. Solving this yields the following budget line: rx = 2σx+10 is the budget line. After concurrently resolving both equations with two unknowns. If Mr. Smith's utility function is u( rx,σx)=min( rx,30-2σx), then his ideal values for rx and σx are 20 and 5, respectively.
For the equation 20 =rx=30x+10(1-x), we identify an x that solves the equation. The solution is x=0.5.
The expected return is the projected gain or loss on an investment with known historical return rates (RoR). It is calculated by dividing potential outcomes by their probability of occurring, adding the outcomes, and then deleting the outcomes.
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What are the three elements that are required in order to have successful operations and supply chain management?.
Strategy, business process, and business analysis are the three components that must be integrated for operations & supply chain management to be effective.
The following is the justification:
Strategy: For the individual and the business, strategy was crucial. Planning is crucial in this situation so that things can be carried out more effectively.
Business data analysis: The data of the company can be analyzed to identify the issue and quickly find a solution.
Business process: The business process might include aspects of production, marketing, and finance that support operations and the supply chain.
Therefore we can conclude that the three elements that require integration to be successful for operations & supply chain management is strategy, business process, and the business analysis.
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for most breach of contract claims, the remedy at law will be awarded by the court to the nonbreaching party.
For most breach of contract claims, the remedy at law will be awarded by the court to the nonbreaching party. There are many options for dealing with contract violations, including restitution, rescission, specific performance, and damages.
You may be able to bring a breach of contract lawsuit when someone violates the conditions of a contract. These disputes are frequently encountered in commercial litigation. A claim for breach of contract must have the following four components: a legitimate contract, performance, breach, and damages. We outline each component of contract breach in Texas, viable defenses, and the possible financial penalties you could face. Our business litigation attorneys at Massingill have the knowledge and abilities to achieve a successful outcome for you.A court will typically hear a contract case where one or both parties allege that the terms of the agreement have been broken. A breach of contract occurs when a promise that is a component of a contract is not kept without a valid justification.
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the population of new york city would have totaled 1.2 million in 1860 if it had included the then-independent city of
The population of New York City would have totaled 1.2 million in 1860 if it had included the then-independent city of Brooklyn.
Many of the state's new immigrants settled in the cities in the early 1900s.
They came there to discover jobs in the towns' growing factories and corporations.
Immigrants settled particularly in towns in the Northeast and Midwest. The result became speedy urbanization, or an increase of cities, in those areas.
The percentage of the population residing in cities came to be the most important in California, the Midwest, and the Northeast.
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Which type of temporary group is formed to address a specific situation in an organization?
A.
interest group
B.
secondary group
C.
self-managed group
D.
task group
E.
command group
Out of the choices provided above, it can be concluded to state that the task group is formed to address a specific situation in an organization. Therefore, the option D holds true.
What is the significance of a task group?A task group can be referred to or considered as a group that performs only the functions that it has been advised to. This group is created by an organization to bring an element of specialization in their work-processes. It is not a permanent part of an organization, and is created as and when required.
Therefore, the option D holds true and states regarding the significance of a task group.
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the term community refers to a company's area of local business influence. group of answer choices true false
The region of a business's influence on the local economy is referred to as its community.True.
What exactly is community economy?
Localized business activity is frequently referred to as a "community economy."We do not employ it in this manner.Our collective project challenges conventional definitions of "community" and "economy," resulting in a new way of understanding and engaging with work-and-life practices.
What effect does business have on the community?
To encourage more people to remain in the area, increasing the number of local businesses means creating more jobs.This not only lets people work closer to where they live, but it also improves the community's quality of life by making the community more self-sufficient, bringing people together, and raising city revenue.
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When an economy is open to trade, the relative price of a good is determined by the?.
When a country exports a good after opening its economy to commerce, the domestic price of the good will increase and domestic demand will decrease.
Trade is the voluntary exchange of goods or services between members of the economy.Because contacts are voluntary, trade is frequently perceived as being advantageous to both sides.The autarky price or autarkic price is a similar term for the cost of a good in an autarkic state. The price of the good must cover the cost of production in a closed economy. If the price of autarky is higher than that of other nations, the economy of that nation suffers.A closed economy is one in which there is no external trade, or activity such as imports or exports with other nations.These regions are frequently seen as self-sufficient and tend to support local production.The price of that good will rise, though, as more must be produced than was previously available locally in order to meet export demand when an economy transitions from being closed to open to international or foreign trade and becomes a net exporter, that is, sells more than it buys.
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suppose the saving rate is initially less than the golden rule saving rate. we know with certainty that a decrease in the saving rate will cause:
With certainty the decrease in the saving rate will cause reduction in capital labor ratio when the saving rate is initially less than the golden rule saving rate.
What is saving rate and what will happen with certainty and decrease in the saving rate?The amount of money saved monthly and is expressed as a percentage or may sometimes ration of GDI.GDI is the gross disposable income which is basically household savings but is the percentage of overall savings.Here the question is asked of the saving rate when initially less than the golden rule saving rate , what consequences will occur with the decrease in the saving rate.Since the capital per worker is all following the golden rule saving rate, the decrease in the saving rate will cause decrease in the saving rate.Hence with decrease in the saving rate will follow the golden rate rule and ultimately the capital labor ratio will be decreased.To know more about rate visit:
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recall that hytex company is a direct marketer of technical products and that the file catalog marketing.xlsx contains recent data on 1000 hytex customers. a. identify all customers who are either (1) homeowners between the ages of 31 and 55 who live reasonably close to a shopping area that sells similar merchandise, and have a combined salary between $40,000 and $90,000 (inclusive) and a history of being a medium or high spender at hytex; or (2) homeowners greater than the age of 55 who live reasonably close to a shopping area that sells similar merchandise and have a combined salary between $40,000 and $90,000 (inclusive) and a history of being a medium or high spender at hytex. how many customers have you identified?
a(1): 31 records
a(2): 5 records
b(1): acc to part A total record is 31 out of which 7 are women i.e 0.225
b(2): acc to part A total record is 31 out of which 22 are married i.e 0.709
b(3): acc to part A total record is 31 out of which 5 have children i.e 0.161
b(4): total sum 576/31= 18.5 catalog on an average
b(5): total spent at syntax Sum= 55613/31=1794$
on average customers spend 1794$ at Hytex.
In linguistics, syntax is the take look at ways words and morphemes combine to shape larger devices which include phrases and sentences. Significant issues of syntax consist of phrase order, grammatical relations, hierarchical sentence structure (constituency), agreement, the character of crosslinguistic variation, and the relationship among form and that means (semantics). There are various tactics for syntax that fluctuate in their important assumptions and goals. The word syntax comes from historic Greek roots: "coordination", which consists of syn, "collectively", and táxis, "ordering".
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the miller company earned $125,000 of revenue on account during year 1. there was no beginning balance in the accounts receivable and allowance accounts. during year 1, miller collected $83,000 of cash from its receivables accounts. the company estimates that it will be unable to collect 3% of its sales on account. what is the amount of uncollectible accounts expense that will be recognized on the year 1 income statement?
The amount of uncollectible accounts expense that will be recognized on the year 1 income statement will be $38,250.
A valuation method called net realizable value (NRV), which is popular in inventory accounting, takes into consideration the total amount of money an asset can bring in from sales less an estimate of the charges, fees, and taxes related to that sale or disposal.
The computation of the net realizable value is shown below:
= Earned revenue - cash collected amount - estimated value
where,
Earned revenue is $125,000
Cash collection is $83,000
And, the estimated value is
= $125,000 × 3%
= $3,750
So, placing these values to the above formula the net realizable value is
= $125,000 - $83,000 - $3,750
= $38,250
The amount of uncollectible accounts expense that will be recognized on the year 1 income statement will be $38,250.
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the stock in net corporation sells for $25 per share and features cumulative voting. there are 24,000 shares outstanding. if five directors are up for election, how much does it cost to ensure someone a seat on the board? group of answer choices
It will cost $100,025 to ensure someone a board seat.
a seat on the buyer's board of directors, which shall entitle the holder of such seat to all of the privileges, terms, conditions, and responsibilities enjoyed or assumed by all other members of the buyer's board of directors.
How to calculate the cost to ensure someone a board seat?
In case of cumulative voting :
Number of shares required = (S*N / (D+1)) + 1
S = total number of shares
N = 1 (at least 1 director)
D = total number of directors
Number of shares = [tex](24000 * \frac{1}{5+1}) + 1[/tex] = 4,001
Cost = number of shares * price per share
Cost = 4,001 * 25
Cost = 100,025
Therefore, it cost $100,025 to ensure someone a board seat.
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the risk-free rate is 7%. the expected market rate of return is 15%. if you expect a stock with a beta of 1.3 to offer a rate of return of 12%. according to the textbook capm you should
Since the stock is expensive, option (b) is the appropriate response.
What exactly is CAPM stand for?The capital asset pricing model (CAPM), which generates anticipated returns on capital investments, is an idealized description of how securities are valued in financial markets. Through risk assessment and estimation, the model provides a mechanism for determining expected return on equity.
E(R₁) = Rf + β(E(Rм) - Rf),
Where
E(R₁)= capital asset expected return
Rf = Risk - free of interest
β = sensitivity
E(Rм) = Expected return of the market
Given information
E(R₁) = 12%
Rf = 7%
β = 1.3
E(Rм) = 15%
Now we need to calculate what will be the expected return according to the CAPM model.
E(R₁) = 7% + 1.3 ( 15% -7%)
E(R₁) = 17.4%
The security must be sold short since, according to the CAPM model, the expected return on the stock, 17.4%, is higher than the offered return on the stock, 12.0%.
Since the stock is expensive, option (b) is the appropriate response.
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the brs corporation makes collections on sales according to the following schedule: 50% in month of sale 47% in month following sale 3% in second month following sale the following sales have been budgeted: sales april $170,000 may $190,000 june $180,000 budgeted cash collections in june would be:
Following the sale, the following sales have been budgeted: sales April $170,000 may $190,000 June $180,000 budgeted cash collections in June would be:$184,400
June Cash Collections:
50% of June's sale $90,000
47% of May's sales $89,300
3% of April sales $5,100
Total Budgeted cash collections $184,400 = Answer
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