digital displays inc. makes computer monitors and sells them for $315 each. to break even, it needs to sell 510 monitors per month. if the fixed costs are $9,000 per month, what is the variable costs per monitor? how to solve

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Answer 1

The variable cost per monitor for Digital Displays Inc. is $305.59. This means that for each monitor sold, the company incurs $305.59 in variable costs, which include the cost of raw materials, labor, and shipping.

To determine the variable cost per monitor, we need to understand the concept of break-even analysis. The break-even point is the level of sales at which a company generates enough revenue to cover its total costs. In this case, Digital Displays Inc. needs to sell 510 monitors per month to break even.

The total cost of producing and selling the monitors is comprised of fixed costs and variable costs. Fixed costs are costs that do not change regardless of the level of production, such as rent, salaries, and utilities. Variable costs, on the other hand, vary with the level of production and include expenses such as raw materials, labor, and shipping.

To calculate the variable cost per monitor, we can use the formula:

Variable Cost per Unit = (Total Costs - Fixed Costs) / Number of Units

In this case, we know that Digital Displays Inc. needs to sell 510 monitors per month to break even, and its fixed costs are $9,000 per month. We also know that the company sells each monitor for $315.

To determine the total costs, we can use the formula:

Total Costs = Fixed Costs + Variable Costs

At the break-even point, the company's total revenue is equal to its total costs. Thus, we can set the following equation:

Total Revenue = Total Costs

510 monitors x $315 per monitor = $160,650 in total revenue

$160,650 = $9,000 + Variable Costs x 510

Variable Costs = ($160,650 - $9,000) / 510

Variable Costs = $305.59

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Related Questions

you have $10,000 and you would like to invest this money. which is less risky?

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There are several investment options available with varying levels of risk with $10,000 such as savings accounts, certificates of deposit (CDs), and bonds.

The less risky options are those that offer lower potential returns but also come with a lower chance of losing money. Some examples of less risky investments include:

1. Savings Accounts: These are a safe option for your money, with minimal risk, as they are insured by the Federal Deposit Insurance Corporation (FDIC).

2. Certificates of Deposit (CDs): CDs are also a low-risk investment, as they are also insured by the FDIC and provide a fixed interest rate over a set period.

3. Treasury Securities: U.S. government-issued securities like Treasury bills, notes, and bonds are considered low-risk investments, as they are backed by the full faith and credit of the U.S. government.

4. Money Market Funds: These are a type of mutual fund that invests in low-risk, short-term securities, providing a safer option than more aggressive stock or bond funds.

These options typically have a fixed rate of return and are considered more stable than stocks or mutual funds, which are generally riskier but have the potential for higher returns. Ultimately, the best investment strategy depends on your individual financial goals, risk tolerance, and time horizon.

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an entrepreneur is starting a new business. the activities and times required are given below: a. find the critical path and the project completion time. multiple choice a-c-e-g a-c-f a-b-g b-f b. what are the es, ls, ef, and lf for each activity? c. how much slack is there in activity d?

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a. To find the critical path and project completion time, we need to first construct a network diagram and calculate the earliest start time (ES), latest start time (LS), earliest finish time (EF), and latest finish time (LF) for each activity.

Then, we can identify the critical path as the longest path through the network diagram that has zero slack. Based on the information you provided, here is the network diagram:

A (3) -----> C (2) -----> E (4) -----> G (2)

\                    /

 \                  /

  \                /

   v              v

    B (1) -----> F (3)

The numbers in parentheses represent the duration of each activity. Using this diagram, we can calculate the ES, LS, EF, and LF for each activity as follows:

Activity A: ES = 0, EF = 3, LS = 0, LF = 3

Activity B: ES = 0, EF = 1, LS = 3, LF = 4

Activity C: ES = 3, EF = 5, LS = 3, LF = 5

Activity E: ES = 5, EF = 9, LS = 5, LF = 9

Activity F: ES = 4, EF = 7, LS = 9, LF = 12

Activity G: ES = 9, EF = 11, LS = 9, LF = 11

To identify the critical path, we need to find the longest path through the network diagram that has zero slack. This can be done by adding up the durations of each activity on each path and choosing the path with the longest duration. In this case, there are two paths that have a duration of 11: A-C-E-G and A-B-F-G. Therefore, both of these paths are critical paths, and the project completion time is 11.

Therefore, the answer is (a) A-C-E-G or A-B-F-G.

b. The ES, LS, EF, and LF for each activity are given in the table below:

Activity ES LS EF LF

A 0 0 3 3

B 0 3 1 4

C 3 3 5 5

E 5 5 9 9

F 4 9 7 12

G 9 9 11 11

c. The slack for an activity is the amount of time it can be delayed without delaying the entire project. It can be calculated as the difference between the LS and ES, or between the LF and EF. Activity D is not listed in the information provided, so it is not possible to determine its slack.

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retailers typically hire another company, called a clearinghouse, to sort and redeem coupons. question 3 options: true false

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True. retailers regularly hire another agency, called a clearinghouse, to sort and redeem coupons.

The clearinghouse acts as an middleman among the store and the manufacturer or distributor of the product being promoted by using the coupon.

Whilst a consumer uses a coupon on the checkout, the retailer statistics the coupon and sends it to the clearinghouse for processing. The clearinghouse verifies the coupon's validity, sorts them by producer, after which sends them to the respective producer or distributor for compensation.

Via outsourcing the coupon redemption technique to a clearinghouse, retailers can attention on their core business operations and keep away from the administrative burden of dealing with and reconciling coupons.

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assume that base line incorporated is authorized to issue 50,000 shares of $15 par value common stock. on january 1, year 1, base line issued 10,000 shares of the stock for $24 per share. this stock issue affects the .multiple select question.income statementbalance sheetstatement of cash flows

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The issuance of common stock by Base Line Corporation on January 1, Year 1, affects the balance sheet by increasing cash and equity accounts. Option C.

The stock issue by Base Line Corporation on January 1, Year 1, affects the balance sheet and the statement of cash flows.The issuance of 10,000 shares of $15 par value common stock for $2 per share results in a total of $240,000 in cash received by Base Line Corporation. This amount of cash received will be recorded in the company's balance sheet as an increase in the cash and cash equivalents account.

Additionally, the issuance of 10,000 shares of common stock will result in an increase in the company's equity account, specifically the common stock account, by $150,000 ($15 par value x 10,000 shares). This increase in equity will also be recorded in the company's balance sheet.

The issuance of common stock does not affect the income statement or statement of cash flows directly. However, the sale of common stock may indirectly impact the statement of cash flows if the company uses the cash received to fund operating or investing activities.

In summary, the issuance of common stock by Base Line Corporation on January 1, Year 1, affects the balance sheet by increasing cash and equity accounts. While it does not directly impact the income statement or statement of cash flows, the use of the cash received from the sale of stock may indirectly affect these financial statements. Option C

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item1 12.5 points ebookhintreferencescheck my workcheck my work button is now enableditem 1 gelb company currently makes a key part for its main product. making this part incurs per unit variable costs of $1.80 for direct materials and $1.35 for direct labor. incremental overhead to make this part is $1.64 per unit. the company can buy the part for $5.06 per unit. (a) prepare a make or buy analysis of costs for this part. (enter your answers rounded to 2 decimal places.) (b) should gelb make or buy the part?

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(a) A make or buy analysis of costs would include comparing the cost of making the part i.e., $4.79 per unit and buying the part i.e., $5.06 per unit.

(b) As cost of making the part is lower Gelb should make the part.

Let's analyze the costs for making or buy analysis for the part.

(a) Make or Buy Analysis:

Making the part:

1. Direct materials cost: $1.80 per unit

2. Direct labor cost: $1.35 per unit

3. Incremental overhead cost: $1.64 per unit

Total cost per unit to make the part = $1.80 (direct materials) + $1.35 (direct labor) + $1.64 (incremental overhead) = $4.79 per unit

Buying the part:

1. Cost per unit to buy the part: $5.06 per unit

(b) Decision: Comparing the costs of making and buying the part, we have the following:

Make the part: $4.79 per unit

Buy the part: $5.06 per unit

Since the cost per unit to make the part ($4.79) is less than the cost per unit to buy the part ($5.06), Gelb Company should make the part instead of buying it.

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until recently, tessa owned 2,350 acres of farmland. this year, she sold the old land and purchased a new plot that is 2,914 acres in size. what is the percent of increase in the amount of land that tessa owns now?

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The percent of increase in the amount of land that tessa owns now is given by 24%.

The difference between the end value and the starting value, stated as a percentage, is known as a percentage increase. The original value and the enhanced (new) value are required in order to calculate the percentage. The amount to which a quantity increases in volume, intensity, or value is indicated by the percentage rise, which can be interpreted as a measure of percent change. If the % increase is negative, then the percentage drop must also be negative and be of same size. Now let's examine the formula for percentage increases.

The formula for percentage increase is generated and stated as follows: Percentage Increase = [(Final Value - Initial Value)/Initial Value] 100. This formula follows the idea of percentage increase. It is important to remember that given the percentage.

Percentage increase  = Final - initial / initial x 100

= 2914 - 2350 / 2350 x 100

= 564/2350 x 100

= 0.24 x 100

= 24%.

Therefore, amount of land that Tessa owns now is 24%.

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what type of naval ships were the uss taylor and the uss gary, both of which were transferred by the u.s. to taiwan in 2017?

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The USS Taylor and the USS Gary are Oliver Hazard Perry-class frigates, which were transferred by the U.S. to Taiwan in 2017.

The Oliver Hazard Perry-class frigates were designed in the 1970s as a class of guided missile frigates for the U.S. Navy. They were primarily used for anti-submarine warfare and anti-surface warfare missions, as well as for providing escort and patrol duties for naval convoys. The USS Taylor (FFG-50) and the USS Gary (FFG-51) were both commissioned in the 1980s and were active in the U.S. Navy until they were decommissioned in 2015. In 2017, the U.S. government approved the transfer of the two frigates to Taiwan as part of a larger package of arms sales to the country. The transfer of the ships was seen as a significant move in the context of the U.S.-China relationship, as China has long been opposed to any arms sales to Taiwan.

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the takings clause must have a taking: select one: a. for a compelling private purpose. b. for a public purpose and the private property owner is entitled to just compensation. c. that is justified by the supremacy clause while compensation is rarely required. d. that prohibits private property owners from securing just compensation.

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The takings clause must have a taking 'for a public purpose and the private property owner is entitled to just compensation'. The correct answer is b.

The Takings Clause of the Fifth Amendment of the US Constitution states that private property cannot be taken for public use without just compensation. Therefore, if the government takes private property for a public purpose, the property owner is entitled to receive just compensation. The government may not take private property for a compelling private purpose. While the Supremacy Clause establishes the authority of federal law over state law, it does not provide justification for the government to take private property without compensation.

The correct answer is b.

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There is an equation that states that when there is only one variable input _____________ the marginal cost of production must equal the price of the input divided by its marginal product.

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The equation states that when there is only one variable input, the marginal cost of production must equal the price of the input divided by its marginal product.

This means that the additional cost incurred by producing one more unit of output should be equal to the additional revenue earned by selling that unit. In other words, the cost of using the input should be proportional to the benefit gained from using it.

This is known as the law of diminishing marginal returns, which states that as more of a variable input is added, the marginal product will eventually decrease, causing the marginal cost to increase.

This equation is important for businesses to consider when making production decisions and setting prices, as it helps to ensure that costs are balanced with revenue and profits are maximized.

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beer brewing is a. a bulk-gaining industry b. a bulk-reducing industry c. unconcerned with bulk d. distributed fairly evenly around the united states

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Beer brewing is a bulk-gaining industry as per the Lautering process used in it. Thus, the correct option is A.

Beer Brewing is a beer company that produces beer by soaking a starch source of food materials like cereals in water for a whole night and then it is fermented with the sweet liquid using yeast. This yeast breakdown the cereals into small pieces and collected them in a tank.

Bulk-gaining industries are those whose input raw materials are much lower than the finished output products. The main purpose of bulk-gaining firms is focused on environmental sustainability and is less concerned about returns.

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which is a feature of both writing a check and using a credit card? make payments online, signature required, funds are transferred immediately, late fees

Answers

Answer:

The feature that is common to both writing a check and using a credit card is that a signature is required.

Explanation

I don't really get this question to well

The feature that is common to both writing a check and using a credit card is that a signature is required for the transaction to be processed.

While it is possible to make payments online with a credit card, this is not a feature of writing a check. Similarly, while funds are transferred immediately when using a credit card, this is not always the case when writing a check, as it may take a few days for the check to clear.

Finally, late fees may apply to both payment methods, but this is not a feature that is inherent to either method. A feature that is common to both writing a check and using a credit card is "signature required." In both cases, your signature serves as a form of authentication and authorization for the transaction to be processed.

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Debt covenants are designed to prevent borrowers from taking actions that result in increased risk of default on the loan by the borrower.a. trueb. false

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The statement is true because debt covenants are designed to protect the lender's interest by limiting the borrower's actions that could increase the risk of default on the loan.

These covenants are legally binding and require the borrower to comply with certain restrictions and obligations. Debt covenants typically include financial and non-financial covenants. Financial covenants may require the borrower to maintain certain financial ratios, such as debt-to-equity or interest coverage ratios, or to meet certain financial performance benchmarks, such as minimum revenue or EBITDA targets.

Non-financial covenants may restrict the borrower's ability to incur additional debt, pay dividends, or make significant investments or acquisitions.

By imposing these restrictions, debt covenants serve to reduce the risk of default on the loan and protect the lender's investment. If the borrower fails to comply with the covenants, the lender may have the right to demand repayment of the loan, or to take other legal action to protect their interests.

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T/F according to generally accepted accounting principles, goodwill must be amortized.

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The statement "According to generally accepted accounting principles (GAAP), goodwill must not be amortized" is false. Goodwill is an intangible asset that arises from the acquisition of another company.

It represents the difference between the purchase price and the fair value of the net assets acquired. Under GAAP, goodwill is subject to an annual impairment test to determine if the value of the asset has declined since the acquisition date.

If the fair value of the reporting unit, which includes the goodwill asset, is less than its carrying value, an impairment loss is recognized.  Previously, goodwill was required to be amortized over a period of time. However, this requirement was removed with the issuance of Statement of Financial Accounting Standards (SFAS) No. 142, Goodwill and Other Intangible Assets, in 2001.

The rationale for this change was that the useful life of goodwill cannot be determined with reasonable accuracy, as it is based on the expected future performance of the reporting unit. Therefore, instead of amortizing goodwill, companies are required to test for impairment annually to ensure that the asset is not overstated on the balance sheet.

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26. A _______________________ policy in which the government almost never acts tointervene in the exchange rate market will look a great deal like a floating exchange rate.A. pegged exchange rateB. loose exchange rateC. hard peg exchange rateD. soft peg exchange rate

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The correct answer to the question is C. hard peg exchange rate. A hard peg exchange rate policy is characterized by a fixed exchange rate that is maintained by the government through constant intervention in the foreign exchange market. This means that the government sets a specific exchange rate and then commits to buying or selling currencies to maintain that rate.

On the other hand, a floating exchange rate policy is characterized by a market-determined exchange rate, where the forces of supply and demand determine the exchange rate. The government does not intervene in the market, and the exchange rate fluctuates based on the market conditions.

In summary, a hard peg exchange rate policy is the opposite of a floating exchange rate policy. The former involves government intervention in the exchange rate market, while the latter relies on market forces. It is essential to note that the choice of exchange rate policy depends on various factors, such as economic stability, inflation rate, and international trade.

In conclusion, exchange rate policies play a crucial role in determining a country's economic performance. Governments must choose an exchange rate policy that suits their economic conditions and aligns with their economic objectives. The choice between a hard peg exchange rate and a floating exchange rate is critical as it affects a country's ability to manage its currency, inflation rate, and overall economic stability.

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if the risk premium on the stock market was 6.66 percent and the risk-free rate was 2.50 percent, what is the stock market return?

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An investor's profit, stock tip, or both are appertained to as their Stock market return. The stock request will return 9.16 %.

The request portfolio's rate of return is appertained to as the request return. At the end of the day, it's the weighted typical profit from every one of the stocks in extent of their availability on the lookout. It serves as a standard for securities' return rates.

utmost fiscal backers would see a typical monthly pace of return of 10 or further as a decent return for capital invested for long haul interests in the securities exchange. In any case, flash back that this is a normal. There will be times with returns that are lower or indeed negative.

Given

We use the formula :

risk premium  = 6.66 percent

threat-free rate = 2.50 percent

to calculate stock request return:

The anticipated return is the sum of the threat-free rate, the request return, which is

2.50 % + 6.66 % = 9.16 %

so, he stock market return, will be 9.16 %.

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kfc restaurants experienced a sell-out of its beyond fried chicken sandwich. the plant-based fried chicken is made by beyond meat. which area of service distribution is impacted when customers are unable to order an item from the menu?

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The area of service distribution that is impacted when customers are unable to order an item from the menu is product availability.

In the case of KFC's beyond fried chicken sandwich, if the product is sold out, it means that the customers who were looking forward to trying it may be disappointed and may have to choose an alternative item from the menu. This can affect the overall customer experience and satisfaction and may lead to lost sales for KFC if customers decide not to return or choose to go to a competitor who offers a similar product.

Therefore, it is important for businesses to manage their product inventory and ensure that popular items are adequately stocked to meet customer demand.

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cheryl's client wants to be able to control the lighting in her dining room. she would like to be able to adjust the light level based on the type of dinner party she is hosting. what is the best lighting control option for cheryl to recommend?

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There are several lighting control options that Cheryl could recommend to her client based on her preferences and needs. One of the best options would be a smart lighting system that offers individual control of each light fixture in the dining room.


Smart lighting systems can be controlled through a mobile app or a smart home device, such as Alexa or Home. This would allow the client to easily adjust the lights without having to physically touch a switch or dimmer. Additionally, some smart lighting systems offer the ability to create custom lighting scenes, which can be set to specific light levels and colors to match the theme of the dinner party.

Another option that Cheryl could recommend is a dimmer switch. This would allow the client to manually adjust the light levels in the dining room to create the desired ambiance. Dimmer switches are relatively affordable and easy to install, making them a popular choice for homeowners who want to upgrade their lighting controls.

Overall, the best lighting control option for Cheryl to recommend to her client would depend on the client's specific preferences and budget. However, a smart lighting system or a dimmer switch are both great options that would provide the client with the ability to control the lighting in her dining room to create the perfect ambiance for any type of dinner party.

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. what event would most likely cause an increase in sales? (1 point) decrease in price increase in supply decrease in product quality increase in quantity produced

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The event that would most likely cause an increase in sales is a decrease in price. This is because when the price of a product decreases, it becomes more affordable for consumers, leading to higher demand and increased sales.

Some important points about this are:

One possible event that could cause an increase in sales is a decrease in price. Lowering the price of a product can make it more affordable and attractive to consumers, which can lead to an increase in demand and sales.Another possible factor that could contribute to an increase in sales is an increase in supply. When a company is able to produce and distribute more of a product, it can increase the availability and accessibility of the product to consumers, which can lead to an increase in sales.Decreasing the product quality is unlikely to result in an increase in sales, as it could lead to negative reviews and reduced customer loyalty. Similarly, increasing the quantity produced without addressing demand may lead to excess inventory and loss of profit.

In summary, an event that is most likely to cause an increase in sales is one that increases the demand for a product, such as a decrease in price or an increase in supply.

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when lauren was born on january $1$, $1990$, her grandparents put $\$1000$ in a savings account in her name. the account earned $7.5\%$ annual interest compounded quarterly every three months. to the nearest dollar, how much money was in her account when she turned two?

Answers

To the nearest dollar, Lauren had [tex]$\$1273$[/tex] in her savings account when she turned two.

To find out how much money was in Lauren's savings account when she turned two, we need to use the formula for compound interest:
[tex]A = P(1 + r/n)^(nt)[/tex]
Where A is the amount of money in the account after t years, P is the principal (initial amount), r is the annual interest rate, n is the number of times the interest is compounded per year, and t is the number of years.
In this case, the principal is $1000$, the annual interest rate is $7.5\%$, or $0.075$ as a decimal, the interest is compounded quarterly, so n = 4, and the time period is two years.
Plugging in the values, we get:
A = 1000(1 + 0.075/4)^(4*2)
Simplifying the equation, we get:
A = 1000(1.01875)^8
A = $1272.57
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base year (2013) 2020 product quantity price quantity price meat 100 $10 120 $12 potatoes 200 2 180 3 1. assume the market basket for the consumer price index has two products. the consumer price index for 2020 equals a) 125. b) 129. c) 135. d) 141.

Answers

Assuming the consumer price index market basket contains two products. Option D-141 is the consumer price index for 2020.

We are provided the quantities and pricing of two products (meat and potatoes) for the base year (2013) and the current year (2020) in this challenge. We may use this data to calculate the cost of the market basket in both the base and current years.

Cost of a market basket in 2013:

(100 times $10) + (200 times $2) = $1,000 + $400 = $1,400

Market basket cost for the current year (2020):

(120 times $12) + (180 times $3) = $1,440 + $540 = $1,980

We can now use the CPI formula to get the CPI for 2020:

CPI = (Cost of market basket in current year / Cost of market basket in base year) x 100

= ($1,980 / $1,400) x 100

= 141.4

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1. what is the purpose of the business impact analysis (bia)?

Answers

The purpose of a Business Impact Analysis (BIA) is to identify and assess the potential impact of disruptions to an organization's critical business operations. The BIA helps businesses determine the resources needed to recover from disruptions and ensure continuity of operations.

It helps organizations prioritize critical business functions and processes, identify dependencies, and estimate the financial and operational impact of disruptions. The BIA also enables businesses to develop effective disaster recovery and business continuity plans that minimize downtime and reduce financial losses. Overall, the BIA helps businesses prepare for and mitigate the effects of unexpected events that may disrupt their operations.

The purpose of the Business Impact Analysis (BIA) is to identify and evaluate the potential effects of disruptions on an organization's critical business functions and processes. BIA helps in determining the operational and financial impacts, prioritizing recovery strategies, and informing business continuity planning. It enables the organization to allocate resources effectively and minimize the adverse effects of disruptions.

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janne company has 40,000 shares of $160 par value, 5% cumulative preferred stock and 140,000 shares of $40 par value common stock. janne declares and pays cash dividends amounting to $450,000. if no arrearage on the preferred stock exits, how much in dividends per share is paid to the common stockholders?

Answers

The dividend per share paid to the common stockholders is $0.93 per share.

How to find dividends per share?

First, we need to calculate the total dividend paid to the preferred stockholders.

Since the preferred stock is cumulative and there are no arrearages, the preferred stockholders are entitled to receive their full dividend before any dividends can be paid to the common stockholders.

The total annual dividend on the preferred stock is 5% of $160 par value, or $8 per share. Since the preferred stock is cumulative, the total amount of preferred dividends in arrears must be zero.

Total preferred dividends = 40,000 shares x $8 per share = $320,000

The remaining amount of the dividend, after paying the preferred dividend, is available to be paid to the common stockholders.

Total dividend - Preferred dividend = Dividend for common stockholders

$450,000 - $320,000 = $130,000

To calculate the dividend per share for the common stockholders, we divide the total dividend for common stockholders by the number of outstanding common shares.

Dividend per share for common stockholders = Dividend for common stockholders / Number of outstanding common shares

Number of outstanding common shares = 140,000 shares

Dividend per share for common stockholders = $130,000 / 140,000 shares

Dividend per share for common stockholders = $0.93 per share

Therefore, the dividend per share paid to the common stockholders is $0.93 per share.

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In 2019, a fast food chain had fixed costs of £620,000.
The fast food chain had total variable costs of £259,000 and sold 100,000 units.
Calculate the total costs of the fast food chain in 2019

Answers

The total variable costs of the fast food chain in 2019 were £879,000.

How do you determine whether a cost is variable or fixed?

Depending on how much goods is produced, variable costs change. Variable costs include things like labour, commissions, and raw materials. The amount of fixed expenses is constant regardless of the degree of production. Insurance premiums, rent or lease payments, and interest payments are a few instances of fixed costs.

The fast food chain's total expenses for 2019 can be estimated by summing the fixed and variable expenses.

Fixed costs: £620,000

Variable costs: £259,000

Total costs =Fixed costs+Variable costs

Total costs = £620,000 + £259,000

Total costs = £879,000

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Two areas that are analyzed regarding a retailer's merchandise

Answers

When it comes to analyzing a retailer's merchandise, there are two key areas that are usually considered. The first area is the product mix, which refers to the range of products that the retailer offers. The second area of analysis is the inventory management, which involves the logistics of acquiring, storing, and distributing the merchandise.

The product mix includes the different categories of products, such as clothing, electronics, or home goods, as well as the variety of brands, styles, and price points within each category. A retailer's product mix is crucial because it determines the target market, the competitive advantage, and the overall profitability of the business.

The inventory management includes the ordering and replenishment process, the inventory turnover rate, the stock levels, and the supply chain relationships with suppliers and distributors. Inventory management is essential for a retailer to optimize its operations, reduce costs, minimize waste, and improve customer satisfaction.

Both the product mix and inventory management are are two aspects of a retailer's merchandise that are interdependent and require constant monitoring and adjustment to meet changing market trends, customer demand, and competitive pressures. Successful retailers focus on creating a balanced product mix that aligns with their target market and maximizes their profitability while implementing effective inventory management practices to ensure a steady flow of merchandise that meets the demand and generates customer loyalty.

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in the current year, fitz, a single taxpayer, sustained a $48,000 loss on code sec. 1244 stock in jjj corp., a qualifying small business corporation, and a $20,000 loss on code sec. 1244 stock in mmm corp., another qualifying small business corporation. what is the maximum amount of loss that fitz can deduct for the current year?

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For the current year, Fitz can deduct a maximum of $50,000 in losses from his Code Sec. 1244 stock in qualifying small business corporations. The deduction for losses from these types of stocks is limited to $50,000 for single taxpayers and $100,000 for married taxpayers filing jointly.

Since Fitz is a single taxpayer and sustained a $48,000 loss on the Code Sec. 1244 stock in JJJ Corp. and a $20,000 loss on the Code Sec. 1244 stock in MMM Corp., the total losses amount to $68,000. However, the maximum amount that Fitz can deduct for the current year is limited to $50,000, which means that he can deduct $50,000 and carry forward the remaining $18,000 loss to future tax years.

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What economic indicators or data sources are being used to determine the cooling off of home prices, and what factors may be contributing to this trend in the specific region of the US being analyzed?

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To determine the cooling off of home prices in a specific region of the US, several economic indicators and data sources are used. These include: 1. Median Home Prices: This reflects the middle price point for homes sold in the area and helps identify trends in home prices.

These economic indicators and factors can help analyze the cooling off of home prices in a specific region of the US. 2. Housing Inventory: A low inventory can lead to higher home prices, while an increase in available homes can contribute to a cooling off of prices. 3. Days on Market (DOM): This measures the average time it takes for a home to sell. An increase in DOM can signal a slowing market. 4. Mortgage Rates: Rising mortgage rates can make home purchases less affordable, contributing to a cooling off of prices. 5. Housing Affordability Index: This compares median home prices with median family incomes to evaluate if housing is becoming more or less affordable in the area. 6. Employment Rates: A strong job market can lead to increased demand for housing, while high unemployment rates can negatively impact home prices.

Factors contributing to the cooling off of home prices in a specific region may include: 1. Economic Downturn: A decline in economic activity or a recession can reduce demand for housing and result in lower home prices. 2. High Mortgage Rates: As mentioned earlier, rising mortgage rates can make homes less affordable, reducing demand and leading to a cooling off of prices. 3. Increased Housing Supply: A surge in new construction or a large number of homes for sale can lead to increased competition among sellers, driving down prices. 4. Government Regulations: Changes in regulations, such as tax laws or lending restrictions, can impact the demand for homes and affect home prices. 5. Demographic Shifts: Changes in population size, age distribution, or migration patterns can influence demand for housing and impact home prices in a region.

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what is the most common reason for invoking a bona fide occupational qualification (bfoq) as a defense against an employer accused of discrimination? a. age b. race c. religion d. sex

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The most common reason for invoking a bona fide occupational qualification (BFOQ) as a defense against an employer accused of discrimination is sex.

BFOQ is a defense mechanism that allows employers to discriminate against individuals based on their sex, religion, national origin, age, or other protected categories if it is deemed necessary for the performance of the job.

For example, if an employer requires a male actor to play the role of a male character, they can use BFOQ as a defense for not hiring a female actor for the role. Similarly, if an employer requires a female attendant to work in a women's locker room, they can use BFOQ as a defense for not hiring a male attendant for the position.

In most cases, BFOQ is invoked for jobs that require specific physical characteristics, such as strength or height, which are deemed necessary to perform the job effectively. However, employers must prove that the job requirements are necessary and directly related to the job's performance and not just based on assumptions or stereotypes.

Overall, while BFOQ can be used as a defense mechanism against discrimination, employers must be careful and ensure that the job requirements are directly related to the job's performance and not based on stereotypes or assumptions about a particular group.

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the common stock of sweet treats is selling for $46.55 per share. the company is expected to have an annual dividend increase of 2.8 percent indefinitely and pay a dividend of $3.40 in one year. what is the total return on this stock?

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The common stock of Sweet Treats is selling for $46.55 per share. The company is expected to have an annual dividend increase of 2.8 percent indefinitely and pay a dividend of $3.40 in one year. The total return on this stock is 10.10%.

Stock consist of all the share by which ownership of a corporation or company is divided. A single share of the stock means fractional ownership of the corporation in proportion to the total number of shares.

This typically entitles the shareholder to that fraction of the company's earnings, proceeds from liquidation of assets, or voting power, often dividing these up in proportion to the amount of money each stockholder has invested.

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23. If GDP is 2400 and the money supply is 600, then what is the velocity?A. 18.3B. 4C. 4.57D. 12

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Option A is correct, If GDP is 2400 and the money grant is 600, then  velocity is $180 billion.

What is the formulation for the pace of money supply?

The speed of cash can be calculated as the ratio of nominal gross domestic product (GDP) to the money furnish (V=PQ/M), which can be used to gauge the economy's power or people's willingness to spend money.

Velocity of money is a dimension of the price at which cash is exchanged in an economy. The speed of cash equation divides GDP by way of cash supply. The speed of money system suggests the rate at which one unit of money furnish forex is being transacted for items and services in an economic system

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Financial information on big-time intercollegiate sport programs shows that they:

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The but also raises questions about athlete compensation and the financial sustainability of smaller or less profitable programs.

Why will be find intercollegiate sport programs?

Financial information on big-time intercollegiate sport programs shows that they generate significant revenue for their respective universities and athletic departments.

These programs typically generate revenue through various means, including ticket sales, merchandise sales, sponsorships, and media contracts. Some of the largest intercollegiate sports programs, such as football and basketball, generate millions of dollars in revenue each year.

However, it is important to note that not all intercollegiate sports programs are profitable. Some programs, particularly those in smaller sports or those with lower levels of fan support, may not generate enough revenue to cover their expenses. In these cases, the university or athletic department may need to provide additional funding to support the program.

Another issue with big-time intercollegiate sports programs is the question of athlete compensation.

While these programs generate significant revenue, the athletes themselves do not receive any direct compensation beyond their scholarships.

This has led to debates about the fairness of the current system and whether athletes should receive a share of the revenue they help to generate.

Overall, financial information on big-time intercollegiate sports programs shows that they are an important source of revenue for universities and athletic departments.

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