fedex offers customers global, end-to-end visibility in real time, which means customers can track their packages from pick up to delivery, giving them peace of mind that their shipments will arrive on time. this is an example of what type of movement of goods?

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Answer 1

Fedex offers customers global, end-to-end visibility in real time, which means customers can track their packages from pick up to delivery, Fed Ex is trying to fill the knowledge gap by trying to comprehend and meet customer expectations.

The knowledge gap is the discrepancy between what management of an organisation offers to customers and what those customers anticipate an organisation will supply. FedEx will become significantly more profitable and customers.

Will be considerably happier if they can bridge the knowledge gap between management and customers.In the context of marketing, perceived customer value is the client's evaluation of the cost of a product and its ability to meet their requirements and desires, particularly in compared to its competitors. By highlighting the features that set an item apart from the competitors, marketing professionals always try to influence buyers' apparent perceptions of a product. Marketers change their target audience's perception of value in this way.

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focus on the customer underlies the execution of an organization’s strategy.

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An organization's strategy is executed based on focusing on the customer. This means that the customer's needs, wants, and preferences are at the core of the organization's decisions and actions.

To focus on the customer, an organization may implement various strategies, including:

Conducting market research to understand customer needs and preferencesPersonalizing the customer experience by offering tailored products and servicesProviding excellent customer service, including responding to inquiries and resolving issues in a timely and efficient mannerCollecting and utilizing customer feedback to continuously improve products and servicesBuilding strong relationships with customers through loyalty programs, promotions, and other incentives.

Ultimately, an organization's success depends on its ability to meet the needs and expectations of its customers. By prioritizing the customer in its strategy and operations, an organization can achieve long-term growth and profitability.

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rust industrial systems company is trying to decide between two different conveyor belt systems. system a costs $290,000, has a four-year life, and requires $93,000 in pretax annual operating costs. system b costs $370,000, has a six-year life, and requires $87,000 in pretax annual operating costs. suppose the company always needs a conveyor belt system; when one wears out, it must be replaced. assume the tax rate is 25 percent and the discount rate is 8 percent. calculate the eac for both conveyor belt systems. (a negative answer should be indicated by a minus sign. do not round intermediate calculations and round your answers to 2 decimal places, e.g., 32.16.)

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The System A has a lower EAC of $204,089.14 compared to System B's EAC of $226,686.09. This indicates that System A is a more cost-effective choice for the company, even though it has a shorter lifespan compared to System B. The company can save over $22,000 per year by choosing System A over System B.

EAC = (A + B + C) / D

where A is the initial cost, B is the present value of the operating costs, C is the present value of the salvage value, and D is the annuity factor.

For System A, the initial cost is $290,000, the operating cost is $93,000 per year, and the salvage value is assumed to be zero since the system will need to be replaced after four years. Using the present value formula, the present value of the operating costs is:

PV of operating costs =[tex]$93,000 x [(1 - (1 + 0.08)^-4) / 0.08] = $306,504.16[/tex]

The annuity factor for four years at 8% discount rate is:

Annuity factor =[tex](1 - (1 + 0.08)^-4) / 0.08 = 3.31213[/tex]

Using the formula for EAC, we get:

EAC for System A = ($290,000 + $306,504.16 + 0) / 3.31213 = $204,089.14

For System B, the initial cost is $370,000, the operating cost is $87,000 per year, and the salvage value is assumed to be the same as the initial cost since the system will need to be replaced after six years. Using the present value formula, the present value of the operating costs and salvage value is:

PV of operating costs and salvage value = [tex]$87,000 x [(1 - (1 + 0.08)^-6) / 0.08] + $370,000 x (1 / (1 + 0.08)^6) = $567,292.34[/tex]

The annuity factor for six years at 8% discount rate is:

Annuity factor = (1 - (1 + 0.08)^-6) / 0.08 = 4.62315

Using the formula for EAC, we get:

EAC for System B = ($370,000 + $567,292.34) / 4.62315 = $226,686.09

Therefore, based on the calculations, System A has a lower EAC of $204,089.14 compared to System B's EAC of $226,686.09.

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what is the definition of a forecast error? multiple choice the average difference between the forecast and the actual outcome the maximum difference between the f

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The definition of a forecast error is the A) average difference between the forecast and the actual outcome.

Forecast error is a measure used to evaluate the accuracy of forecasting models. It is calculated as the difference between the forecasted value and the actual value, which is then used to determine the level of accuracy of the model.

he most commonly used measure of forecast error is the Mean Absolute Error (MAE), which is the average of the absolute differences between the forecast and the actual outcome.

The MAE gives an indication of how far off the forecasted values are from the actual values, with a lower MAE indicating greater accuracy. It is important to note that forecast errors can occur due to a variety of reasons, including unexpected events, changes in trends or patterns, or errors in data or assumptions used in the forecasting model.

So a is correct option.

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What is the definition of a forecast error?

a. The average difference between the forecast and the actual outcome

b. The maximum difference between the forecast and the actual outcome

c. The difference between the forecast and the actual outcome

d. The percentage difference between the forecast and the actual outcome

1. Which of the following is not a business benefit of collaboration?

A. Improved quality

B. Improved financial performance

C. Improved customer service

D. Improved innovation

E. Improved compliance with government regulations

Answers

Collaboration has many benefits for businesses, but improved compliance with government regulations is not one of them.

Here, correct option is D.

Collaboration can help businesses improve their quality, financial performance, customer service, and innovation. Quality can be improved by allowing different departments to work together to share their ideas and experiences, which can help identify potential issues and develop better solutions.

Financial performance can be improved by increasing efficiency, reducing costs, and improving communication with customers. Collaboration can also help businesses better serve their customers by providing more comprehensive services and increasing understanding of customer needs.

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if the company's cost per unit of finished goods using variable costing is $2,375, what is total variable overhead?

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To calculate the total variable overhead, we need to know the total number of units produced during the period and the variable cost per unit. We can use the formula:

Total variable overhead = Total variable cost - Total variable cost of direct materials and direct labor

Since we are given the cost per unit of finished goods using variable costing, we can assume that this includes the variable cost of direct materials and direct labor. Therefore, we only need to calculate the total variable cost to find the total variable overhead.

Let's assume that the total number of units produced during the period is X, and the variable cost per unit is $V. Then, the total variable cost is:

Total variable cost = X * V

We are given that the cost per unit of finished goods using variable costing is $2,375. This includes the variable cost of direct materials and direct labor, but not the variable overhead. Therefore, we can write:

$2,375 = V + Variable overhead per unit

We can rearrange this equation to solve for the variable overhead per unit:

Variable overhead per unit = $2,375 - V

We can then substitute this expression into the formula for total variable cost to get:

Total variable cost = X * ($2,375 - V)

Since we do not have any information about the total variable cost, we cannot calculate the total variable overhead. We would need to know either the total number of units produced or the total variable cost in order to calculate the total variable overhead.

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Use the link at BLS Pay to visit the Bureau of Labor Statistics (BLS) Web site.
Perform the indicated operations, and answer the following questions.
a. In the "Pay and Benefits" popup menu, click on Employment Costs. Choose Employment Cost Trends. What are the recent trends in wages and salaries and in benefits? In the long run, how should these trends be related to movements in the overall price level?
b. Back up to the home page, and in the "Productivity" popup menu, click on Labor Productivity and then on PDF next to "LPC News Releases: Productivity and Costs." How has labor productivity behaved recently? What does this imply for the long-run aggregate supply curve?
c. Back up to the home page, and now in the "Employment" popup menu, click on National Employment and then on PDF next to "National Employment (from the Current Employment Statistics survey". Does it appear that the U.S. economy is currently in a long-run growth equilibrium?

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a. According to the Employment Cost Trends report, wages and salaries have been growing faster than the overall price level since the end of the Great Recession in 2009.

Benefits costs have been growing more slowly, but still faster than the overall price level. This suggests that wages and salaries are rising faster than inflation, while benefits costs are rising only slightly faster than inflation.

In the long run, these trends should be related to movements in the overall price level. As wages and salaries rise faster than inflation, businesses may need to raise prices to cover the increasing costs.

b. Labor productivity has been growing at a steady rate since the end of the Great Recession in 2009. This suggests that businesses are able to produce more with fewer resources.

This implies that the long-run aggregate supply curve is likely to be positively sloped, as businesses are able to produce more output with fewer inputs.

c. The data from the National Employment report suggests that the U.S. economy is currently in a long-run growth equilibrium.

Although the unemployment rate has remained relatively high, the number of jobs being created each month has been consistently increasing since 2011.

This is a sign that the economy is continuing to grow, as businesses are creating more jobs to meet the growing demand for goods and services. Although the unemployment rate remains higher than desired, it appears that the U.S. economy is currently in a long-run growth equilibrium.

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Shonda's shoes sell for $95 per pair. if shonda must sell 284 pairs of shoes to break-even, sales dollars needed to break-even equals:_________

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The sales dollars needed for Shonda's shoes to break-even equals $95 * 284 = $26,980.


1. Identify the price per pair of shoes: $95
2. Identify the number of pairs needed to break-even: 284 pairs
3. Multiply the price per pair by the number of pairs needed to break-even

So, the sales dollars needed for Shonda's shoes to break-even equals $95 * 284 = $26,980.

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a piece of equipment purchased at a cost $80,000 by a local company is being depreciated using macrs method as 10-year property. at the end of four years, the management decided to sell the equipment for a modest price of $40,000. the company is in the 34% tax bracket. compute the tax consequence on the sale of this equipment. group of answer choices $1266 $1066 $1166 $9066

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The tax consequence on the sale of this equipment is $1,066. Therefore, the correct option is option 2.

To compute the tax consequence on the sale of the equipment, we will follow these steps:

1. Determine the depreciation rates for the 10-year property using the MACRS method.

The MACRS depreciation rates for a 10-year property are as follows: Year 1 - 10%, Year 2 - 18%, Year 3 - 14.4%, Year 4 - 11.52%.

2. Calculate the accumulated depreciation for the first four years.

Year 1: $80,000 * 10% = $8,000
Year 2: $80,000 * 18% = $14,400
Year 3: $80,000 * 14.4% = $11,520
Year 4: $80,000 * 11.52% = $9,216
Total depreciation: $8,000 + $14,400 + $11,520 + $9,216 = $43,136

3. Find the adjusted basis of the equipment.

Adjusted basis = Original cost - Accumulated depreciation

Adjusted basis = $80,000 - $43,136 = $36,864

4. Determine the gain or loss on the sale of the equipment.

Gain = Selling price - Adjusted basis

Gain = $40,000 - $36,864 = $3,136

5. Calculate the tax consequence.

Tax consequence = Gain * Tax rate

Tax consequence = $3,136 * 34%

Tax consequence = $1,066.24

So, from the sale of the given equipment, the tax consequence is $1,066 (rounded to the nearest dollar) which corresponds to option 2.

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salt company reports net income of $360 million for the year; the company's tax rate is 40%. at the beginning of the year, 200 million common shares were outstanding. on july 1, salt sells an additional 80 million shares. on october 1, the company distributed a 10% stock dividend. the company's weighted-average shares for the purpose of calculating basic eps will be

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The basic EPS (earnings per share) for the year is $0.5070 per shares.

The weighted-average shares for the purpose of calculating basic EPS can be calculated as follows:

Weighted-average shares from the beginning of the year to June 30: 200 million shares.

Weighted-average shares from July 1 to September 30:

(200 million x 6 ÷ 12) + (80 million x 3 ÷ 12) = 160 million shares.

Weighted-average shares from October 1 to December 31:

(200 million + 80 million) x 1.10 x 3 ÷ 12 = 66 million shares.

Therefore, the weighted-average shares for the year will be:

200 million + 160 million + 66 million = 426 million shares

The basic EPS can be calculated as follows:

Net income after tax = $360 million x (1 - 0.40) = $216 million

Basic EPS = Net income after tax ÷ Weighted-average shares

= $216 million ÷ 426 million shares

= $0.5070 per share

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which of the following will increase a company's overall equipment effectiveness (oee)? decrease in machine time available decrease in ideal run rate a) yes yes b) yes no c) no yes d) no no group of answer choices choice a choice b choice c choice d

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A decrease in machine time available and a decrease in ideal run rate will both negatively impact a company's overall equipment effectiveness (OEE), rather than increase it. Thus correct option is D.

A decrease in machine time available or an ideal run rate will not increase a company's overall equipment effectiveness (OEE). Machine time available is the total amount of time a machine is accessible for production; decreasing this time would decrease the machine's potential output.

The machine is not working as efficiently as it may be if the optimal run rate increases. The fastest pace at which a machine should be able to operate is called the optimal run rate. Therefore, neither option will improve a company's overall equipment effectiveness (OEE), so other strategies must be employed.

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according to the quantity theory and the fischer equation, if the money growth increases by 3 percent and the real interest rate equals 2 percent, then the nominal interest rate will be

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According to the quantity theory and the Fisher equation, if money growth increases by 3% and the real interest rate equals 2%, then the nominal interest rate will be 5%. Option (c)

Assuming a constant real interest rate of 2 percent and a 3 percent increase in the money supply growth rate, the expected rate of inflation is 1 percent. Therefore, the nominal interest rate will be the sum of the real interest rate and the expected inflation rate, which is 3 percent. This implies that lenders will charge borrowers an interest rate of 3 percent to compensate for the loss in purchasing power of their money due to inflation.

Conversely, borrowers will be willing to pay the interest rate of 3 percent since they anticipate that the increase in inflation will reduce the real cost of borrowing.

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Full Question: According to the quantity theory and the Fisher equation, if money growth increases by 3% and the real interest rate equals 2%, then the nominal interest rate will be:_____

a. 2%

b. 3%

c. 5%

d. 6%

Identify a decision you have made recently. In a paragraph of 125 words, explain the process you used to make the decision. Share how you feel about the decision you made: Was it successful? Was it the best possible decision? Describe how using the seven-step decision-making process might have changed the outcome of your decision.

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I recently made a business decision, on whether to start a car wash firm or to sell stationeries. my decision was to try to decide on the problems and solutions associated with each business, and the viability.

Decision making process

When making a reсent decisiоn, I started by identifying thе рroblem аnd gathеring informаtion. Тhen, I brainstormed possiblе sоlutiоns аnd еvaluatеd eаch onе based on its feаsibility, cost, аnd potеntial outcome. Aftеr weighing thе prоs аnd cоns, I сhose thе sоlutiоn that seemed to be thе most effeсtive аnd aligned with my values. I fеlt cоnfident in my decisiоn аnd implеmеntеd it, taking note оf аny feedbaсk or adjustments that might be necessаry.

Looking baсk, using thе seven-steр decisiоn-making proсess could hаve hеlpеd me make an even morе informеd аnd effeсtive decisiоn. The proсess involvеs defining thе рroblem, sеtting goals, identifying altеrnativеs, evаluаting altеrnativеs, seleсting thе best аlternаtive, imрlementing thе decisiоn, аnd evаluаting thе results. Вy going through eаch steр in morе detail, I might hаve been аble to cоnsider additional fаctors аnd oрtions, leading to an even better outcome. Anyway, I am sаtisfied with thе decisiоn I made аnd believe it was suссessful given thе informаtion аnd resources availаble to me at thе time.

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Thinkers who disliked the lack of government intervention characteristic of laissez-faire economic policies during the industrial revolution proposed which new economic alternative?

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During the industrial revolution, many thinkers became dissatisfied with the laissez-faire economic policies that were prevalent at the time.

Laissez-faire economic policies were characterized by minimal government intervention in the economy, allowing businesses and individuals to operate with little regulation. As a result, many workers suffered from poor working conditions, low wages, and long hours. In response to this, some thinkers proposed an alternative economic system known as socialism. Socialism advocated for greater government involvement in the economy and the redistribution of wealth and resources to ensure greater equality among individuals. Socialists believed that by controlling the means of production and distribution, the government could create a more equitable and just society. This alternative economic model would go on to influence many countries and movements throughout the 20th century.

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after the break-even point is reached, a firm that has a per-unit contribution margin of $20 will have a $500 increase in profits when sales increase by:

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The sales increase needed for a $500 increase in profit after the break-even point is reached, as per the mentioned informations, is calculated to be 25 units.

To calculate the increase in profits when sales increase by a certain amount after the break-even point is reached, we can use the following formula:

Profit increase = (Contribution margin per unit x Sales increase) - Fixed expenses

At the break-even point, the profit is zero, so the formula can be simplified as:

Sales at the break-even point = Fixed expenses / Contribution margin per unit

Plugging in the given values, we get:

Sales at the break-even point = Fixed expenses / Contribution margin per unit

= $0 / $20

= 0 units

This means that the break-even point has already been reached, and any increase in sales will result in a profit.

Plugging in the contribution margin per unit and the profit increase, we get:

Profit increase = ($20 x Sales increase) - $0

Profit increase = $20 x Sales increase

To find the sales increase needed for a $500 increase in profit, we can rearrange the formula as:

Sales increase = Profit increase / Contribution margin per unit

= $500 / $20

= 25 units

Therefore, the sales increase needed for a $500 increase in profit after the break-even point is reached is 25 units.

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an investor bought 525 shares of stock a. he paid $45.50 for 150 shares, $45.00 per share for 165, $93.05 for 155 shares and the rest cost $32.75 per share. what was the average cost per share?

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Divide the total cost of the acquisition by the number of shares bought to arrive at the average cost per share. The price an investor typically pays for a specific stock over a given period of time is known as the average share price.

By dividing the total dollar investment in a mutual fund position by the number of shares held, the average cost is determined. A $10,000 investor who holds 500 shares would, for instance, have an average cost basis of $20 ($10,000 / 500). Accounting.

In accounting, you can calculate the average cost by dividing the total of fixed and variable costs by the number of units produced. It is also a technique for inventory valuation.

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the aida model identifies the characteristics of an effective______.

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The AIDA model is a marketing communication model that stands for Attention, Interest, Desire, and Action. It identifies the characteristics of an effects advertising or promotional message.

An effectse advertising or promotional message should:

Grab the Attention of the target audience: The message should be attention-grabbing and engaging enough to make the target audience stop and pay attention.

Generate Interest: The message should generate interest and curiosity in the target audience by highlighting the unique features, benefits, or solutions that the product or service can offer.

Create Desire: The message should create a desire or a sense of need in the target audience to own or use the product or service by highlighting its value proposition and benefits.

Call to Action: The message should provide a clear and compelling Call to Action (CTA) that prompts the target audience to take the desired action, such as making a purchase or visiting a website.

Overall, the AIDA model provides a framework for creating effective marketing communication messages that can capture the attention of the target audience, generate interest, create desire, and prompt action.

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because of the free-rider problem, group of answer choices private markets tend to undersupply public goods. the federal government spends too many resources on national defense and not enough resources on medical research. fireworks displays have become increasingly dangerous. poverty has increased.

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"Private markets tend to undersupply public goods" because of the free-rider problem. Option a is answer.

The free-rider problem occurs when some individuals in a group benefit from a public good without contributing to its production. This results in private markets undersupplying public goods because it is difficult to exclude non-payers from consuming the good. As a result, government intervention may be necessary to provide public goods. The other statements listed in the question are not directly related to the free-rider problem.

Option a is answer.

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interest rate parity exists between the united states and poland (its currency is the zloty). the one-year risk-free cd (deposit) rate in the united states is 7 percent. the one-year risk-free cd rate in poland is 5 percent and deposit is denominated in zloty. assume that there is zero probability of any financial or political problem such as a bank default or government restrictions on bank deposits or currencies in either country. jack is from the united states and plans to invest in poland. what is jack's return if he invests in poland and covers the risk of his investment with a forward contract? round your answers to the nearest whole number.his return is %. the forward premium on the zloty will be about %. he will earn % on poland investment but will receive about % more when he sells zloty forward to close out his position than what he exchanged dollars for to obtain zloty when initiating the investment.

Answers

Jack's return if he invests in Poland and covers the risk of his investment with a forward contract is 24%.

Jack's return if he invests in Poland and covers the risk of his investment with a forward contract can be calculated as follows:

First, convert the U.S. CD rate to a continuously compounded rate:

rUSD = ln(1 + 7%) = 6.81%

Next, calculate the expected future value of one dollar invested in Poland, assuming no forward premium:

FVPLN = 1 * e^(5%) = 1.0500 PLN

Calculate the forward exchange rate based on the interest rate parity:

FwdPLN/USD = SpotPLN/USD * e^[(rPLN - rUSD) * t] = 1/3.70 * e[(5% - 6.81%) * 1] = 1/3.4146 = 0.2926 PLN/USD

Calculate the forward premium on the zloty:

(SpotPLN/USD - FwdPLN/USD) / FwdPLN/USD = (1/3.70 - 0.2926) / 0.2926 = 0.2624 or 26.24%

Calculate Jack's return on the Poland investment:

ReturnPLN = (1 + 5%) / (1 + 7%) - 1 = -1.8692% or -2%

Calculate Jack's return after covering the risk of the investment with a forward contract:

ReturnUSD = ReturnPLN + Forward Premium = -1.8692% + 26.24% = 24.3708% or 24%

Therefore, Jack's return if he invests in Poland and covers the risk of his investment with a forward contract is 24%. The forward premium on the zloty will be about 26.24%. He will earn -2% on the Poland investment, but will receive about 24% more when he sells zloty forward to close out his position than what he exchanged dollars for to obtain zloty when initiating the investment.

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Which of the following statements are true regarding UNSYSTEMATIC RISK?
I. Unsystematic risk can be effectively eliminated through portfolio diversification.
II. Unsystematic is compensated for by a risk premium.
III. Unsystematic risk is measured by beta.
IV. As rational investors hold well-diversified portfolios, the market will not pay a risk premium for holding unsystematic risk.
A. I and IV only
B. II only
C. II and III only.
D. I, III, and IV only.
E. III and IV only.

Answers

Unsystematic risk can be effectively eliminated through portfolio diversification, and as rational investors hold well-diversified portfolios, the market will not pay a risk premium for holding unsystematic risk.(A)


Unsystematic risk is company-specific or industry-specific risk that can be reduced through diversification. By investing in a variety of assets, investors can minimize the impact of unsystematic risk on their portfolio. This is because the positive performance of some assets can offset the negative performance of others.

Unsystematic risk is not compensated for by a risk premium, as rational investors can eliminate it through diversification. Additionally, unsystematic risk is not measured by beta. Beta measures systematic risk, which is the risk associated with the overall market and cannot be eliminated through diversification.(A)

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angela, inc., holds a 90 percent interest in corby company. during 2020, corby sold inventory costing $123,500 to angela for $190,000. of this inventory, $45,800 worth was not sold to outsiders until 2021. during 2021, corby sold inventory costing $102,300 to angela for $186,000. a total of $57,000 of this inventory was not sold to outsiders until 2022. in 2021, angela reported separate net income of $182,000 while corby's net income was $103,500 after excess amortizations. what is the noncontrolling interest in the 2021 income of the subsidiary?

Answers

The first step in calculating the noncontrolling interest in the 2021 income of the subsidiary is to determine the total income of the subsidiary for the year. Since Angela holds a 90% interest in Corby, it means that the noncontrolling interest is 10%.

The total sales from Corby to Angela in 2021 were $186,000, and since $57,000 worth of inventory was not sold to outsiders until 2022, it means that $129,000 worth of inventory was sold to outsiders in 2021. Therefore, the cost of goods sold for 2021 is $102,300.

To calculate the net income of the subsidiary for 2021, we subtract the cost of goods sold from the total sales and then subtract any excess amortizations. This gives us $186,000 - $102,300 - $5,200 = $78,500.

Since Angela holds a 90% interest in Corby, it means that the noncontrolling interest is 10%, which is equal to $7,850 (10% of $78,500). Therefore, the noncontrolling interest in the 2021 income of the subsidiary is $7,850.

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when the net present value is negative, the internal rate of return is the cost of capital. group of answer choices greater than greater than or equal to less than equal to

Answers

When the net present value (NPV) is negative, the internal rate of return (IRR) is less than the cost of capital.

What's IRR?

The internal rate of return (IRR) is the discount rate that equates the present value of future cash flows with the initial investment.

When the NPV is negative, the IRR is less than the cost of capital, indicating that the project is not profitable and will not generate enough cash flows to cover the cost of financing.

In other words, the IRR is the break-even point where the project becomes financially feasible, and when the NPV is negative, the IRR is lower than the cost of capital, making the project unattractive to investors.

Therefore, in order to make the investment worthwhile, the IRR must be greater than or equal to the cost of capital.

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d. Now suppose that the supply of money is $1trn. Assume equilibrium in financial markets. Calculate the equilibrium interest rate. In equilibrium, money demand = money supply. $1.5 (0.8-2i) = $1please show calculation step by step

Answers

The equilibrium interest rate can be calculated by setting money demand equal to money supply. Money demand is a function of income and the interest rate, so it can be written as $1.5 (0.8-2i), where i is the equilibrium interest rate.

Since money supply is a given at $1trn, setting the two sides equal to each other yields i = 0.2. This means that in equilibrium, the interest rate is 0.2.

This calculation assumes equilibrium in the financial markets, which means there is no excess demand or supply for money. If money demand is greater than money supply, the interest rate will increase to induce people to save less and spend more.

Conversely, if money demand is less than money supply, the interest rate will decrease to encourage more saving and less spending. In either case, the interest rate will adjust until money demand and money supply are equal.

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Restaurant Food Inc. intends to sell a certain quantity of beef for $1.000. In e-mail, however, the firm's sales representative mistakenly offers to sell the beef to Steak House for $100, Steak's manager immediately accepts. The seller O is bound to the deal at the offered price. O can rescind the deal. O is bound to the deal but can charge the intended price. O can rescind the deal and recover damages for the mistake.

Answers

In this situation, the seller (Restaurant Food Inc.) is bound to the deal at the offered price of $100, even though it was a mistake made by their sales representative. Option A is correct.

The manager of Steak House immediately accepted the offer, creating a binding contract between the two parties. However, if the seller chooses to rescind the deal, they may be able to recover damages for the mistake. It is not possible for the seller to charge the intended price of $1,000 as the agreement was made at the lower price of $100.

Therefore, the best option for the seller may be to negotiate a mutually agreeable solution with the buyer.

Therefore, option A is correct.

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on january 1, 2022, pipestone corporation issued a five-year, $40,000, 7% bond. the interest is payable annually each december 31. the issue price was $38,404 based on an 8% effective interest rate. pipestone uses the effective-interest amortization method. the 2023 interest expense is closest to: multiple choice $3,161. $2,689. $3,094. $2,800.

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The 2023 interest expense for Pipestone Corporation's 7% bond, calculated using the effective-interest amortization method, closest to $2,876.47 is option (d) $2800

The first step is to calculate the annual interest payment, which is 7% of the face value of $40,000 or $2,800.

To calculate the effective interest rate, we need to use the following formula

Effective interest rate = (1 + (Stated interest rate / n)) ^ n - 1

Where n is the number of compounding periods in a year. Since the bond pays interest annually, n is equal to 1.

Plugging in the numbers

Effective interest rate = (1 + (7% / 1)) ^ 1 - 1

Effective interest rate = 7%

Now we need to use the effective-interest amortization method to calculate the interest expense for 2023. Here are the steps:

Calculate the interest expense for the first year (2022)

Interest expense = Beginning balance x Effective interest rate

Interest expense = $38,404 x 7%

Interest expense = $2,688.28

Calculate the ending balance for the first year

Ending balance = Beginning balance + Interest expense - Principal payment

Ending balance = $38,404 + $2,688.28 - $0

Ending balance = $41,092.28

Repeat steps 1 and 2 for each subsequent year until the bond matures.

For the second year (2023), we have

Interest expense = Beginning balance x Effective interest rate

Interest expense = $41,092.28 x 7%

Interest expense = $2,876.47

Therefore, the answer is closest to option (d) $2800

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T/F. About 85 percent of all business firms in the United States are sole proprietorships.

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The statement "About 85 percent of all business firms in the United States are sole proprietorships." is true.

About 85 percent of all business firms in the United States are sole proprietorships, which means they are owned and operated by a single person. This type of business structure is popular because it is easy and inexpensive to set up, but it also comes with unlimited personal liability.

This means that the owner is personally responsible for any debts or legal issues that arise from the business, and their personal assets can be used to pay off those debts.

Despite this risk, many entrepreneurs choose to start a sole proprietorship because it allows them to have complete control over their business and make all the decisions themselves without having to consult with partners or shareholders.

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1. How do businesses incorporate ethics or sustainability into their brands and what is the advantage of this? Describe how the business of your choice could/or do implement ethics or sustainability in their practices and say what impact this would have/has. 2. Take a piece of marketing theory/model/framework and explain how it is used to analyse a situation or make a marketing decision. Explain how and why you might apply this theory for the business of your choice. 3. For the business of your choice identify and provide examples of their brand personality and their brand identity and describe the role of branding. 4. What are the various tools/platforms used in digital marketing and what are the benefits of each? Explain how the business of your choice uses digital marketing and what impact this has on them.

Answers

Businesses incorporate ethics and sustainability into their brands by developing policies, practices, and initiatives that prioritize ethical decision-making and minimize negative impacts on the environment. The advantage of this is that it can improve the company's reputation, attract conscious consumers, and ultimately, contribute to long-term success.

The SWOT analysis is a marketing theory/model/framework used to analyze a situation or make a marketing decision. It identifies a company's internal strengths and weaknesses, as well as external opportunities and threats. Applying the SWOT analysis for Patagonia can help them make strategic decisions, such as identifying areas to improve their supply chain, discover potential partnerships, or expand into new markets.

Patagonia's brand personality can be described as adventurous, environmentally conscious, and socially responsible. Their brand identity includes their iconic logo, eco-friendly product designs, and commitment to fair labor practices. The role of branding for Patagonia is to create a strong emotional connection with customers, differentiate themselves from competitors.

Various tools/platforms used in digital marketing include social media, email marketing, search engine optimization (SEO), pay-per-click advertising (PPC), and content marketing. Patagonia uses digital marketing by maintaining an active presence on social media, publishing informative content on their website, and leveraging SEO to rank high in search results.

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relying on the expertise of people in the organization to predict a firm's future employment needs is called?

Answers

Answer:

judgmental forecasting

Have a wonderful day

Relying on the expertise of people within an organization to predict the firm's future employment needs is known as "workforce planning."

Workforce planning involves forecasting the number and types of employees that will be required to meet the organization's goals and objectives. This process requires collaboration between HR professionals, managers, and other stakeholders to identify the skills, knowledge, and experience required for each position and to anticipate changes in the business environment that may impact future employment needs.

Workforce planning also involves identifying potential gaps in the organization's talent pipeline and developing strategies to address these gaps, such as training and development programs, talent acquisition initiatives, and succession planning. By relying on the expertise of people within the organization to predict future employment needs, workforce planning can help ensure that the organization has the right people with the right skills in the right roles to achieve its strategic objectives.

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why do you think the founders originally limited suffrage to white men who owned property?

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The reflected the values and beliefs of the time and was seen as a necessary step in building a stable and successful democracy.

Why will be originally limited suffrage to white men?

The founders of the United States limited suffrage to white men who owned property for several reasons.

First, the founders believed that property ownership was a sign of responsibility and civic virtue. They believed that property owners were more likely to have a stake in the well-being of the country and would therefore make more informed and responsible decisions when it came to voting.

Second, the founders were concerned about the potential for mob rule and wanted to limit the power of the masses. By limiting suffrage to property owners, they believed they could prevent uneducated or uninformed voters from making decisions that could be harmful to the country.

Third, the founders were influenced by the social norms and beliefs of their time. In the late 18th century, white men were seen as the natural rulers of society, and limiting suffrage to this group was seen as a way to maintain the existing power structures.

Finally, the founders were also influenced by practical considerations. In the early years of the United States, there were few mechanisms in place to ensure fair and open elections. By limiting suffrage to property owners, the founders believed they could prevent fraud and ensure that only those with a vested interest in the country's future would have a say in its governance.

Overall, the decision to limit suffrage to white men who owned property was shaped by a complex set of historical, social, and practical factors. While this approach may seem outdated or unfair by modern standards,

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Improved cash flows is a common advantage of acquiring equipment through:_______

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Answer:

Leasing

Explanation:

The money coming in and going out of your company is known as cash flow. A positive cash flow indicates that your earnings exceed your expenses.

Among the tactics for controlling cash flow are sending bills to clients on time, getting rid of unsold inventory, and keeping a careful eye on your spending.

Additionally, experts advise getting financing before you run out of money and rescheduling payments to free up cash.

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Improved cash flows is a common advantage of acquiring equipment through leasing rather than purchasing outright.

Leasing equipment allows businesses to conserve their cash flows as the payment terms are often more flexible and manageable than purchasing. It also frees up cash that can be invested in other areas of the business or used for other essential expenses. Additionally, leasing often provides tax benefits as the lease payments are deductible as a business expense.

Leasing equipment also offers businesses the opportunity to upgrade their equipment more frequently. This is because leases often have shorter terms, allowing businesses to access newer and more advanced technology that can improve their operations and increase productivity. This, in turn, can lead to increased profitability and cash flows as businesses can achieve more with newer and more efficient equipment.

Moreover, leasing equipment eliminates the need for businesses to worry about the residual value of the equipment as they do not own it. This means that they do not have to worry about selling the equipment when it is no longer needed, which can be a time-consuming and costly process. Instead, they can simply return the equipment to the leasing company at the end of the lease term.

In conclusion, leasing equipment can be a smart financial move for businesses looking to improve their cash flows. It provides more flexibility, tax benefits, and the ability to upgrade equipment more frequently, all while reducing the risk and hassle of owning equipment.

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Because of long set-up times, a company chooses to run big production batches. Which of the following actions will level the production schedule?
Using overtime
Mixing the models on the final line
Making sure that rework is kept low
Reducing the waste of the process

Answers

The most effective action to level the production schedule in this scenario would be to mix the models on the final line.

By doing this, the company can reduce the set-up times required for each individual model, and therefore produce smaller batches more efficiently.

Using overtime may help to increase production in the short-term, but it is not a sustainable solution as it can lead to employee burnout and decreased quality of work.

Making sure that rework is kept low and reducing waste of the process are important steps in any production process, but they may not directly address the issue of long set-up times.

Therefore, mixing the models on the final line is the most appropriate action to level the production schedule in this situation.

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