dispersing the performance of value chain activities to many different countries rather than concentrating them in a few country locations tends to be advantageous in all of the following situations, except

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Answer 1

Two solutions are accurate: when high transportation charges make it steeply-priced to function from primary places; and every time purchaser-related activities are quality achieved in places near shoppers.

Transport (in British English), or transportation (in American English), is the motion of humans, animals, and goods from one location to another. Modes of shipping consist of air, land (rail and street), water, cable, pipeline, and area. the sphere may be divided into infrastructure, cars, and operations.

Public shipping permits mobility. so that it will maintain a better pleasant and preferred life, groups need to get entry to vital offerings so one can make sure the protection of physical and intellectual health, employment possibilities, and social and amusement sports.

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Related Questions

Which of the following scenarios is an example of a data lag?
A. The economy enters a deep recession on the same day that new quarterly data show positive economic growth.
B. The economy enters a deep recession and Congress passes spending on public works that will take years to plan for and build.
C. The economy enters a deep recession, and Congress takes two months to approve an extensive tax cut bill.
Which of the following scenarios is an example of a legislative lag?
A. A new law requires that all new spending bills go through at least one month of debate before receiving a congressional vote.
B. In response to a recession, Congress passes a spending bill for interstate highway upgrades that will take years to plan and complete.
C. Policymakers obtain relevant economic data months after a recession has already begun.

Answers

The economy enters a deep recession and Congress passes spending on public works that will take years to plan for and build,is an example of a data lag.

What is a data lag?The term "lag" refers to a noticable slowdown in application speed that is caused by severe network congestion or a lack of computing power.Data latency in BI refers to the amount of time it takes for a business user to get source data from a data warehouse or BI dashboard. Data latency in computer networking and internet communications refers to the amount of time it takes for data to move between a source and a destination. Touch response lags, app freezes, and sluggish performance are all indications of lag. When your phone slows, even basic operations like viewing a video or typing on the keyboard may not work as expected. There may be several factors as well.

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sydney retailing (buyer) and troy wholesalers (seller) enter into the following transactions. may 11 sydney accepts delivery of $27,500 of merchandise it purchases for resale from troy: invoice dated may 11, terms 3/10, n/90, fob shipping point. the goods cost troy $18,425. sydney pays $495 cash to express shipping for delivery charges on the merchandise. may 12 sydney returns $1,200 of the $27,500 of goods to troy, who receives them the same day and restores them to its inventory. the returned goods had cost troy $804. may 20 sydney pays troy for the amount owed. troy receives the cash immediately.

Answers

A) Journal entry for Sydney retailing (buyer)

i)To record purchase of inventory on account

Date          Account  titles                                   Debit               Credit

May 11          Accounts Payable                            $27,500  

Merchandise Inventory                                                             $27,500

ii)To record shipping expense paid

Date          Account  titles                                   Debit               Credit

May 11        Merchandise Inventory                       $ 495

                    Cash                                                                          $ 495

iii) To record goods returned to seller

Date          Account  titles                                   Debit               Credit

May 12   Accounts Payable                                $1,200

 Merchandise Inventory                                                       $1,200

iv To record payment on account.

Date          Account  titles                                   Debit               Credit

May 20 Accounts Payable                            $26300

Merchandise Inventory                                                                    $789

Cash                                                                                              $25511

B) Journal entry for Troy - Seller

ii)To record sales of goods on account

Date          Account  titles                                   Debit               Credit

May 11          Accounts receivable                        $27,500

Sales Revenue                                                                             $27,500

ii) To record cost of goods sold

Date          Account  titles                                   Debit               Credit  

May 11   Cost of goods sold                               $18,425

Merchandise Inventory                                                                 $18,425

III) To record sales return

Date          Account  titles                                   Debit               Credit

May 12   Sales returns and allowance                $1,200

Account receivable                                                                       $1,200  

iv) To record cost of goods sold reversed for sales return  

Date          Account  titles                                   Debit               Credit

May 12           Merchandise Inventory                    $804

  Cost of goods sold                                                                 $804    

v) To record cash received for goods sold.

Date          Account  titles                          Debit               Credit

May 20      Cash                                        $26300 

Sales discount                                                                      $789

Account receivables                                                       $25511      

What is retailing?

Retailing is a distribution process that includes all the activities involved in selling a product directly to the final consumer (ie the person who intends to use the product). It includes the sale of goods and services from the point of purchase to the end user who intends to use the product.

Any trader who sells goods to an end user for non-commercial use or resale, whether as a manufacturer, wholesaler or retailer, is said to be involved in the retail process, regardless of how the goods are sold.

Retailer means any organization that derives the majority of its turnover from the retail trade. In the supply chain, retailers are the last link between the manufacturer and the consumer.

Therefore,

1. Accounts payable=  Purchases−   Purchase return

=$27500−$1,200

=$26300

Discount=Accounts payable X 3%  

=$26300×0.03

=$789

2. Hence,

Accounts receivables=  sales−   sales  return

=$27500−$1,200

=$26300

Discount=receivables X 3%26300

=$26300×0.03

=$789

The complete question is

sydney retailing (buyer) and troy wholesalers (seller) enter into the following transactions. may 11 sydney accepts delivery of $27,500 of merchandise it purchases for resale from troy: invoice dated may 11, terms 3/10, n/90, fob shipping point. the goods cost troy $18,425. sydney pays $495 cash to express shipping for delivery charges on the merchandise. may 12 sydney returns $1,200 of the $27,500 of goods to troy, who receives them the same day and restores them to its inventory. the returned goods had cost troy $804. may 20 sydney pays troy for the amount owed. troy receives the cash immediately.1. Prepare journal entries that Sydney Retailing (buyer) records for these three transactions. 2. Prepare journal entries that Troy Wholesalers (seller) records for these three transactions.

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which of the following financial statements gives an accounting picture of property owned by a company and of claims against the property on a specific date?

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Balance sheet gives an accounting picture of property owned by a company and of claims against the property on a specific date.

Properties owned is shown in the asset side of balance sheet.

A balance sheet is a summary of an individual's or organization's financial balances, whether it is a sole proprietorship, a business partnership, a corporation, a private limited company, or another organization such as the government or a not-for-profit entity.

A balance sheet provides a snapshot of your company's financial position at any given time. A balance sheet, along with an income statement and a cash flow statement, can assist business owners in evaluating their company's financial standing.

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under what conditions must a distinction be made between money to be received today and money to be received in the future?

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The conditions must a distinction be made between money to be received today and money to be received in the future is when idle money can earn a positive return.

You may use the time value of money (TVM) as a tool to better comprehend the value of money in relation to time. It is a formula that is frequently used by investors to help them comprehend the current worth of money in relation to its potential future value.

The TVM principle states that cash obtained now will always be more than cash received tomorrow. Because of this, money obtained will only be worthwhile in the long term if there is a probability that it will earn interest. The opportunity costs related to idle cash serve as the foundation for this idea.

The above question is incomplete, the complete question is:

Under what conditions must a distinction be made between money to be received today and money to be received in the future? Select one:

A) When current interest rates are different from expected future rates.

B) A period of recession.

C) When there is no risk of nonpayment in the future.

D) When idle money can earn a positive return.

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Suppose that the central bank of a given country is not independent, and the elected government has complete control over monetary policy. In the accompanying diagram, assume that the economy starts off at the macroeconomic equilibrium. a. An election is coming up and the majority political party wants to increase its chances of retaining majority control of Congress. Policy makers decide the best way to ensure reelection is to force the central bank to enact expansionary monetary policy. In the accompanying graph, shift the curve(s) to depict the impact this will have on the macroeconomy. 10 LRAS 9 SRAS 8 7 6 Price level 4 3 AD 2 1 0

Answers

A country's macroeconomic policy is made up of monetary policy and fiscal policy.

What will be the impact that this will have on the macroeconomy?

A country can handle almost all of its infrastructure growth, development, and financial sector improvement with the help of these two policies.

The country's expansionary monetary policy increases the money supply and lowers market interest rates. It expands the money supply and lowers interest rates.

This, in turn, will lower borrowing costs and increase investment, and with increased investment, income and thus demand for money will rise, shifting the aggregate demand curve (AD) to the right and leading to an inflationary gap.

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Four years ago, sam invested in grath oil. she bought three of its $1,000 par value bonds at a market price of 93.938 and with an annual coupon rate of 6.5%. she also bought 450 shares of grath oil stock at $44.11, which has paid an annual dividend of $3.10 for each of the last ten years. today, grath oil bonds have a market rate of 98.866 and grath oil stock sells for $45.55 per share.

Answers

The market price of the bonds is more stable than the price of the company's stock. This statement best describes the situation.

Sam invested in buying company shares that paid a dividend of $3.10 per share yearly for a period of ten years, as well as certain bonds from Grath Oil at the market price.

Currently, the bonds of Grath Oil are worth more on the market. The sum of money required to purchase a bond on a public market is known as the market price of the bond.

The market price of the bond is therefore far more steady than the price of the company's shares. Purchasing shares in a corporation carries more risk.

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Your question seems to be incomplete, but most probably the complete question was:

Four years ago, Sam invested in Grath Oil. She bought three of its $1,000 par value bonds at a market price of 93.938 and with an annual coupon rate of 6.5%.

She also bought 450 shares of Grath Oil stock at $44.11, which has paid an annual dividend of $3.10 for each of the last ten years.

Today, Grath Oil bonds have a market rate of 98.866 and Grath Oil stock sells for $45.55 per share.

Use the scenario above to consider which statement best describes the relative risk between investing in stocks and bonds.

The total income generated from freelancing is higher than that of what three industries?.

Answers

For nearly $1 trillion, or almost 5% of the U.S. GDP, freelance income contributes more to the economy than industries such as construction and transportation and is on par with the information sector.

What is freelance?

Freelance or freelance refers to a type of self-employment. Instead of being employed by a company, freelancers tend to work as self-employed, delivering their services on a contract or project basis.

Companies of all types and sizes can hire freelancers to complete a project or a task, but freelancers are responsible for paying their taxes, health insurance, pension and other personal contributions.

Since freelancers work for themselves, they must also cover their holiday costs and sick pay.

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in order to meet the safe harbor provisions, a taxpayer, with an adjusted gross income of $120,000 in the prior year, must have withholdings and estimated tax payments that equal or exceed which of the following measures? (check all that apply.)

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A taxpayer must have withholdings as well as estimated tax payments that are equal to or greater than 100% of their tax liability from the prior year in order to comply with the safe harbour provisions if they had an adjusted gross income of $120,000 inside the prior year.

What is taxpayer?

A taxpayer is a natural person, business, or other entity that must pay taxes. The government may issue identification or reference numbers to individuals or businesses as modern taxpayers. One who pays taxes is generally referred to as a "taxpayer". A taxpayer is a person or a business that must pay taxes to local or federal taxing authorities. In addition to many other forms, taxes can take the form of income taxes or property taxes levied against owners of real property (including such homes as well as vehicles). When people purchase taxable goods and services, they may be required to pay taxes.

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According to the structure-conduct-performance paradigm, which of the following explain the relationship of structure, conduct, and performance in industry? (select all that apply)
a) The Lerner index
b) The four-firm concentration ratio
c) The input-output paradigm
d) The five-forces framework
e) The causal view
f) The feedback critique
d) The five-forces framework
e) The causal view
f) The feedback critique

Answers

The correct options that explain the relationship of structure, conduct, and performance in industry:

The five-forces framework (option D) The causal view (option E)The feedback critique (option F)

Structure-behavior-performance paradigm

It was developed in 1959 by Joe S. Bain Jr. who described it in his book "Industrial Organization", what this expresses is an observation of the functioning of the markets, on the one hand the structure variables and on the other the performance variables, and that the behavior is inferred from the relationship that can be found between these variables.

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A website that engages consumers and includes videos, blogs, activities, and other featuers that builds customer relationship and generates engagement is a ____________.

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A website that engages consumers and includes videos, blogs, activities, and other features that builds customer relationship and generates engagement is a Nutrisystem.

What Is Engagement Marketing?

Customized, interesting consumer interactions are used in engagement marketing. For instance, brands can produce meaningful content and experiences that connect with their audience when they have access to reliable data about customer behavior.

Customers will remember your brand if you engage them and make their experience better. The longer you can keep them, and the more devoted they will be to you, the better involved they are.

Engagement marketing includes methods, approaches, and tactics aimed at increasing audience engagement and creating the ideal environment for cultivating positive relationships with leads, clients, and users.

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g how are gains and losses on financial instruments used to hedge the balance sheet exposure of a foreign operation reported in the consolidated financial statements?

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Transaction exposure, which is brought on by the receipt or payment of foreign currency, causes gains and losses in foreign exchange that are paid out in cash.

What is Transaction exposure?

The degree of risk that companies engaged in international trade face is known as transaction exposure. It is specifically the chance that financial obligations a firm has already taken on will change in value as a result of currency fluctuations. These international businesses may suffer significant capital losses due to their high level of exchange rate vulnerability. Transaction exposure usually carries a lonesome risk. Only companies that complete transactions in foreign currencies may experience this vulnerability. The entity not exposed to the same risk is the one receiving or paying a bill in its own currency. The risk arises if this is the case because an increase in the value of that foreign currency would force buyers to spend more money on goods than they had anticipated.

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George washington has been extolled as a great president because of his ability to.

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George Washington has been extolled as a great president because of his ability to define the presidency and the nation.

George Washington will always be remembered in history as he was the first president of America.

George Washington formed constitutions that benefitted the citizens of the country and also stood with the nation during crucial times. He is remembered to be the best president in the history of the United States.

He was able to define the presidency as well as the nation in a delicate manner. His leadership defined how the president of a country should define the nation.

Although a part of your question is missing, you might be referring to this question:

Fill In the Blank

George Washington has been extolled as a great president because of his ability to .................

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The Field, Brown & Snow are partners and share income and losses equality. The partner decide to liquidate the partnership when their capital balances are as follows: Field. $131500, Brown. $165,400; and Snow. $155,000. On May 31, the liquidation resulted in a loss of $407700. QS 12-13 (Algo) Part 2 2. Assume that the partner with a deficit pays cash to cover the deficit. Prepare the journal entries on May 31 to record the cash received to cover the deficit and the final disbursement of cash to the partners, View transaction list Journal entry worksheet < 1 2 Record the cash received to cover the deficit Note Entes det before credits Ceneral Journal Debit Credit Transaction (a)

Answers

a) Field capital= 4,200

b)Cash= 51,300

c) field Capital = 4,200

Solve it.

We would need to perform the following calculations to determine each partner's capital account balance following the liquidation of assets and payment of creditors:

Field Brown Snow Total

Initial Expenditure $131,700 $167,700 $155,400 454,800

Distribution of total losses: 135,900, 135,900, 135,900, 407,700

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What are 3 advantages of entrepreneurship?.

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Three things that can be identified as the advantages of entrepreneurship, include,

Flexibility in workingGreater rewards for risksHigher chances of income

Entrepreneurship can be referred to or considered as a practice wherein an individual takes risk for obtaining equally exponential returns in relation to the risks being managed. The goal of entrepreneurship is to make better life and income opportunity for an individual. The examples of ideal ways to practice entrepreneurship have been aforementioned.

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An annuity pays $100 at the end of each quarter for ten years. The payments are made directly to a savings account with a nominal interest rate of4.85% payable monthly. The payments are left in the account. Find the effective interest rate for a quarter and use it to compute the balance in the savings account immediately after the last payment.

Answers

The effective interest rate for quarter = 40 and the balance after the last payment = $5,114.04

Nominal interest rate :

The nominal interest rate is the interest rate advertised by banks, bond issuers, and investment firms for loans and various investments. This is the interest rate paid or earned to the lender or investor. A nominal interest rate or nominal interest rate is one of two different things: interest rate before adjusting for inflation; or for interest rates "as stated" without adjusting for the full effect of compounding

Calculating last payment :

Monthly rate = 0.0485/12 = 0.0040

                  Quarterly rate = (1+0.0485/12)³ -1

                                 = 0.012174

                                      = 1.2174%

Number of quarters = 10 × 4 = 40

PMT =100

The balance after last payment =FV(rate,nper,pmt) in excel excel  

                    =FV(0.012174,40,100)

                              = $5,114.04

What is the effective interest rate?

APR is the real rate of return on a savings account or interest-bearing investment after factoring in the effect of compounding interest over time. It also reflects the real interest rate on loans, credit cards, or other liabilities.

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of the following options, which avenue might provide you with the most appropriate information regarding an hr assistant job?

Answers

D. Research Hiring process

A detailed information is needed before taking a decision about the specific job.

In the upcoming days, do you have a job interview? You had better keep reading to find out about a hidden tool that will give you a significant advantage in your interview. One of the best ways to stand out from the competition when applying for jobs is to research potential employers. You can learn information about potential employers that will help you better prepare for any interview by donning your detective hat and doing some research.

First, the best way to find out what the company does and what they want in a candidate is to conduct company research. Additionally, you'll be more equipped to present yourself as the strongest applicant and respond to typical interview questions.

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If the cash budget showed a projected cash shortage, the company would most likely
a. make fewer purchases of inventory so they could control costs.
b. lay off workers for that period.
c. arrange to borrow the necessary cash for that period.
d. cut salaries for that period.
c. arrange to borrow the necessary cash for that period

Answers

If the cash budget showed a projected cash shortage, the company would most likely c. arrange to borrow the necessary cash for that period.

In the field of business, companies face situations where there is a shortage in revenue. This may happen due to a new strategy implementation or due to a new project being launched due to which cash shortage in the company.

When a company faces a situation where there is a cash shortage, the company then takes a loan or borrows some money for that time being. Usually, if the money that is to be borrowed is in a large amount, then a contract is to be made, and signatures are taken from both parties.

When a cash budget is short, the company has no option but to borrow money in order to keep the process going.

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when firms are interdependent, group of answer choices they can act independently of one another. then the market is perfectly competitive. one firm can ignore other companies in the market when making decisions. the profit of one firm depends on how its rivals respond to its strategic decisions.

Answers

The market is perfectly competitive when firms are interdependent.

What is competitive market?A competitive market is an economic term that refers to a marketplace with a large number of buyers and sellers where no single buyer or seller can influence the market. Competitive markets have no entry barriers, a large number of buyers and sellers, and homogeneous products.Market intelligence includes competitive market analysis. Data collection on various competitors is an essential step in the process. The company's marketing strategy, branding, marketing tactics, sales performance, brand equity, and so on are all examined in a competitive analysis of product lines and value propositions.The free entry and exit of firms, as well as the existence of homogeneous products, are two of the most important characteristics of the perfect market.

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which criteria for market segmentation would be easiest to use for an online retailer? customer height student or nonstudent status account address income

Answers

From the point of view of an online retail business owner the optimal criteria for market segmentation will be income of that customer to be considered. Hence Option of Income would be correct.

Who is online retailer?

In e-retail, a company or a person uses internet stores to sell retail goods and services. Electronic retailer or online retailer is referred to a business entity where it operates & executes commercial business transaction via use virtual electronic platform.

This help to develop market from one location to other remote locations without setting up any physical structure between customer and seller through e-commerce.

Often referred to as e-tail, internet retail, or online retail business.

In market segmentation done by an online retailer refer to continuous practice of breaking up a large population into smaller groups based on various factors such as consumer's income, choice, purchasing criteria, habits, geographic traits, demographics (age, gender, etc.), or a combination of of the same.

Thus for an online retailer can segment its market through income among given options.

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identify which of the following items is a noncash investing and financing activity that must be reported in a note to the statement of cash flows. (check all that apply.)
Retirement of debt by issuing stock
Lease of an asset in a long-term lease transaction
Repayment of a note with cash
Purchase of a plant asset with cash

Answers

Retirement of debt by issuing stock is a noncash investing and financing activity that must be reported in a note to the statement of cash flows.

Thus, the correct option is A.

What is noncash investing?

Transactions that have an impact on recognized assets or liabilities but don't lead to actual cash revenues or outlays are referred to as non-cash investing and financing activities.

Instead, you should include a footnote in the financial statements' notes or at the bottom of the statement of cash flows to record non-cash investing and financing activities. A separate schedule or list might be used to disclose non-cash investing and financing activity.

The expenses that are listed on the income statement but do not really involve a cash transaction are known as non-cash expenses.

Depreciation is one such noncash expense. There is no cash flow when depreciation is debited in the income statement, yet the net profit is reduced.

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Answer: Retirement of debt by issuing stock and Lease of an asset in a long-term lease transaction

Explanation: initially answered question wrong

market screening market screening is a method of market analysis and assessment that permits management to identify a small number of desirable markets by eliminating those judged to be less attractive. when considering initial entry into international markets, or later expansion of international presence, companies must screen the large number of potential markets to identify the smaller subset of most promising candidates. this exercise examines one type of market screening, called country screening, and reviews the steps in this screening process as well as key tasks and considerations in each step.

Answers

The country screening steps will be as follows when ordered from first to last: Assess basic need potential of specific goods or services, Assess economic and financial forces such as trends in inflation, currency exchange rates, and interest rates, Assess political and legal forces such as profit remittance barriers and policy stability, Assess sociocultural forces associated with doing business in a particular area or country, Assess competitive forces such as the number, size, and financial strength of the competitors, and Assess prospective markets through personal visits to those markets with the best potential.

The above question is incomplete, the complete question is:

Market screening is a method of market analysis and assessment that permits management to identify a small number of desirable markets by eliminating those judged to be less attractive.

When considering initial entry into international markets, or later expansion of international presence, companies must screen the large number of potential markets to identify the smaller subset of most promising candidates. This exercise examines one type of market screening, called country screening, and reviews the steps in this screening process as well as key tasks and considerations in each step.

Place the country screening steps in the order they occur, from first to last.

Rank the options below

1. Assess competitive forces such as the number, size, and financial strength of the competitors.

2. Assess economic and financial forces such as trends in inflation, currency exchange rates, and interest rates.

3. Assess sociocultural forces associated with doing business in a particular area or country,

4. Assess basic need potential of specific goods or services

5. Assess political and legal forces such as profit remittance barriers and policy stability

6. Assess prospective markets through personal visits to those markets with the best potential

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total quality management (tqm) is an integrated organizational effort to improve quality at every level. which one of the following is not part of tqm?

Answers

Total quality management (TQM), an integrated organizational endeavor to improve quality at every level, excludes customer segmentation.

What is meant by organization?

An organization is a collection of individuals who cooperate, such as a firm, neighborhood association, charity, or union. Any individual, group of people, business, or activity that is being developed or created can all be referred to as an "organization."

What makes organization crucial?

The opposite is also true: being organized may improve your health and make you happier and more at ease .Being unorganized might cause chaos in your life. It could lead to despondency and increased stress. Disorganization may be a fire risk, as well as a source of mold growth and dust accumulation.

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the following data are given for bahia company: budgeted production (at 100% of normal capacity) 1,091 units actual production 938 units materials: standard price per pound $1.83 standard pounds per completed unit 11 actual pounds purchased and used in production 10,008 actual price paid for materials $20,516 labor: standard hourly labor rate $14.76 per hour standard hours allowed per completed unit 4.4 actual labor hours worked 4,830.7 actual total labor costs $73,668 overhead: actual and budgeted fixed overhead $1,109,000 standard variable overhead rate $28.00 per standard labor hour actual variable overhead costs $135,260 overhead is applied on standard labor hours. round your final answer to the nearest dollar. the fixed factory overhead volume variance is a.$155,523 unfavorable b.$155,523 favorable c.$19,698 unfavorable d.$19,698 favorable

Answers

The Fixed overhead volume variance equals to $155,523 unfavorable. The Option A is correct.

What does fixed overhead volume variance mean?

In cost accounting, the fixed overhead volume variance means the difference between the budgeted and actual production volume multiplied by the standard fixed production overhead rate per unit.

The Overhead absorption rate:

= Budgeted Fixed overhead/Budgeted units

= $1,109,000/1,091

= $1,016.50

Particulars                                            Units

Budgeted production                         1,091 unit

Actual production                               938 units

Volume variance                                 153 units

Fixed overhead volume variance:

= Overhead absorption rate * Volume variance

= $1,016.50 * 153 units

= $155,524.50 (unfavorable)

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two types of control are used extensively on projects, and both compare actual performance against the project plan. the first is steering control, where the work is compared to the plan on a continual basis to check progress. the second type of control used on projects is .

Answers

Two types of project controls in which the first is steering control where the work is compared to the plan on a continual basis to check progress and the second type of control used on projects is go/no go control.

Finding out if there is a problem and then changing direction by taking corrective action are the goals of having controls. Project management involves more than just waiting for things to go wrong before resolving them. The main thing is to have mechanisms in place to spot issues before they become obvious.

Monitoring and controlling a project entails keeping track of its progress, identifying any problems, and making the appropriate adjustments. Organizations must balance a number of tasks at this time, including: maintaining the timetable

Go/no-go control involves testing to confirm that specific prerequisites are satisfied before a task is started. A certain area of the project may also apply this kind of control.

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there are two different approaches to job design. the traditional approach to job design is to fit people to the jobs; the modern way is to fit the jobs to the people.
a. true
b. false

Answers

It is accurate to say that when deciding how to design projects, there are two different ways that can be used: one is traditional, and the other is current. Modern methods fit people to jobs rather than the conventional method of matching people to employment. Hence, option (A) is appropriate.

What is job design?

Job design comes after job analysis; that is, it comes after job analysis. Its goal is to outline and organize various responsibilities, activities, and duties into a single work unit in order to accomplish specific goals.

It also describes the procedures and connections necessary for a certain job to be successful. It refers to the what, how much, how many, and the order of the tasks for a job or jobs, to put it simply.

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chapter eight group homework problem naomi company manufactures one product. on december 31, 2018, naomi adopted the dollar-value lifo inventory method. the inventory on that date using the dollar-value lifo inventory method was $900,000. inventory data are as follows:

Answers

Inventory at the end of 2020 at dollar-value LIFO cost is $1,675,000. It can be calculated by divided year end cost with cost index.

Inventory costing means the process of assigning price to inventory, and then to the price of items sold. There are several types of inventory, such as  raw materials and components,  repair and operating supplies, work in progress, finished goods and maintenance.

The calculation:

2020 cost = year end cost ÷ cost index

2020 cost = $1,900,000 :  1.25

2020 cost = $1,520,000

Inventory at end of 2018 =  $1,520,000 -  $900,000 = $620,000

End of 2020 at dollar value inventory cost

= $620,000 x 1.25 + $900,000

= $1,675,000

The complete question is shown below:

Naomi company manufactures one product. on december 31, 2018, naomi adopted the dollar-value lifo inventory method. the inventory on that date using the dollar-value lifo inventory method was $900,000. inventory data are as follows:

Year      Inventory at year-end prices       Price index (base year 2018)

2018      $1,260,000                                                   1.05

2019      1,840,000                                                      1.15

2020      1,900,000                                                     1.25

Inventory at the end of 2021 at dollar-value LIFO cost is:

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Consequences resulting from this economic policy are often blamed for the Great Stock Market Crash that occurred on October 29, 1929, triggering the Great Depression.
Capitalist

Answers

The Great Stock Market Crash that occurred on October 29, 1929, and which led to the Great Depression is sometimes attributed to capitalism and the effects it brings about in terms of economic policy.

What led to the 1929 stock market crash on October 29th, its causes, and its effects?

At that time, unemployment had risen and production had already reduced, thus stocks were trading much beyond their genuine value. Low wages, an excess of sizable bank loans that were unable to be serviced, a failing agricultural sector, and the rise in debt were some of the additional causes that contributed to the 1929 stock market crash.

What happened and whose name was it on October 29, 1929?

On "Black Tuesday," October 29, when the stock market plummeted and the US began the Great Depression, investors gathered in front of the New York Stock Exchange. Black Tuesday refers to the day of the 1929 stock market disaster in the United States, which occurred on October 29.

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a bond portfolio is immunized from interest rate risk if the modified duration of the portfolio is always equal to the desired investment horizon.

Answers

It is true that a bond portfolio is immunized from the interest rate risk if modified duration of portfolio is always equal to desired investment horizon.

What is investment horizon?

Investment horizon is the word used to define the overall period of time that an investor anticipates holding a security or portfolio. The length of an investment horizon might vary from being only a few days to being possibly decades long. A young professional, for instance, would have a long-term investing perspective if they had a 401(k) plan. The treasury department of a company, on the other hand, may have a much shorter investment horizon. In the event of a fall, the market has years to rebound, so investors who have a longer investing horizon can accept more risk. A 30-year-old investor, for instance, would normally devote the majority of their assets to stocks.

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in an installment note, a portion of each installment payment goes towards interest, and the remaining portion represents a reduction of the outstanding loan balance. (T/F)
True

Answers

The statement in an installment note, a portion of each installment payment goes towards interest, and the remaining portion represents a reduction of the outstanding loan balance is True.

What is  installment note?

An installment note can be defined as the note that  inform a  borrower  to pay the principal  amount and interest amount loan to them with in a stipulated period of time.

This installment note help to act as a form of lending agreement between the lender and the borrower as the installment note is often issued to the borrower by the lender.

In a installment note some part of the installment  goes to the interest while remaining  is the decrease in the outstanding loan balance.

Therefore the statement is true.

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TRUE/FALSE. all employees can be successfully taught how to leave their home problems at home and their work problems at work.

Answers

Indeed, it is true that al employees should be taught how to demarcate between personal and professional problems.

When confronted with an employee's personal problem that affects the employee's work or that of other employees the manager should?

The personal lives of employees may have an impact on how well they do their duties and interact with clients, coworkers, and superiors. Employees are expected to meet performance standards and conduct themselves professionally even when they are dealing with major personal concerns at home. Employers can, however, uphold performance and behaviour standards at work while also being empathetic and supportive.concrete instances of undesirable behaviour and be explicit about the employer's expectations for improvement when dealing with a worker whose personal issues are affecting their performance at work. When these difficulties are brought up to the employee's notice in a caring manner, the person is likely to understand how personal matters are adversely influencing professional relationships and job performance.

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