if the actual cost is greater than what the cost should have been, the variance is labeled as:_____.

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Answer 1

If the actual cost is greater than what the cost should have been, the variance is labeled as unfavorable variance.

When the actual cost expended exceeds the projected amount, there has been an adverse variance. When the actual cost expended is less than the planned amount, there is a positive variance. Unfavorable variance is the term used when the actual expenses exceed the predicted or budgeted expenditures, and it is typically stated with a negative sign.

Cost variation is the discrepancy between the project's estimated cost (or budgeted amount) and the project's actual cost (or the amount spent). A project is under budget when this value is positive, and when it's negative, it's costing you more than you planned.

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Related Questions

1. Given the time-phased work packages and network, complete the baseline budget form for the project. Soccer Toy Project 5 3 7 Order parts 7 2 9 2 2 5 5 4 9 9 6 11 Assemble & test Build D prototype Prepare productiar 2 3 5 5 4 9 9 2 11 0 1 2 n Design prototype 0 2 2 Legend ES DE SL Descript LSDUR LF (11 7/12 O Launch 11 1 12 5 5 10 Prepare 1 Marketing Soccer Toy Project Cost by Week (5000) +1 -2 3 4 5 Design prototype | 12 | 12 Build prototype 10 10 10 Order parts 55 Prepare production 16 10 22 16 Prepare marketing 660 612 Assemble & test 18 18 Launch 12 Time-phased Budget (5000) Week 4 5 6 7 8 9 Budget 1 2 3 10 11 12 13 0 Design prototype Build prototype 30 Order parts Prepare prod'n 64 Prepare market'g Assemble & test 36 Launch 12 206 Total Cumulative

Answers

Based on the given information, I have prepared a baseline budget for the Soccer Toy Project as follows:

Week 1:
- Design prototype: 12
Week 2:
- Design prototype: 12
Week 3:
- Build prototype: 10
- Order parts: 7
Week 4:
- Build prototype: 10
- Order parts: 9
- Prepare production: 2
Week 5:
- Build prototype: 10
- Order parts: 2
- Prepare production: 3
- Prepare marketing: 660
Week 6:
- Order parts: 5
- Prepare production: 5
- Assemble & test: 18
Week 7:
- Order parts: 5
- Prepare production: 4
- Assemble & test: 18
Week 8:
- Order parts: 4
- Prepare production: 9
- Launch: 12
Week 9:
- Order parts: 9
- Prepare production: 9
Week 10:
- Order parts: 6
- Prepare production: 2
Week 11:
- Order parts: 11
Week 12:
- Launch: 12
Please note that the numbers provided are based on the given project information and may require adjustments according to your specific project needs.

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Explain the difference between currency revaluation and currency appreciation. What's the impact of currency appreciation on a nation trade (import and export)? Explain your reasoning

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Currency revaluation and currency appreciation are two concepts that relate to the value of a nation's currency. Currency revaluation refers to the deliberate action taken by a government or central bank to increase the value of its currency relative to other currencies.

This can be achieved through various methods, such as increasing interest rates or reducing the money supply.
Currency appreciation, on the other hand, refers to a natural increase in the value of a currency due to market forces. This can be due to factors such as a strong economy, high demand for the currency, or increased foreign investment.

The impact of currency appreciation on a nation's trade can be significant. When a currency appreciates, it becomes more expensive relative to other currencies, making imports cheaper and exports more expensive. This can lead to a decrease in exports and an increase in imports, which can negatively affect a nation's trade balance.

For example, if the United States dollar appreciates in value relative to the Japanese yen, Japanese products become cheaper for US consumers, while US products become more expensive for Japanese consumers. This can lead to a decrease in US exports to Japan and an increase in imports from Japan, which can result in a trade deficit for the US.

In conclusion, currency revaluation and currency appreciation are two different concepts, with the former being a deliberate action taken by a government or central bank, while the latter is a natural increase in value due to market forces.

The impact of currency appreciation on a nation's trade can be significant, with the potential for decreased exports and increased imports, leading to a negative impact on the trade balance.

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which is a good or market activity associated with a positive externality? group of answer choices smoking cigars listening to music on your iphone with earbuds innovation in the computer chip industry an outdoor classical music concert with tickets that cost $50

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Out of the options given, the only activity that is considered a positive externality is innovation in the semiconductor industry. (option c).

Innovation in the semiconductor industry can lead to the development of new technologies that improve our lives, such as faster and more efficient computers, smartphones, and other electronic devices.

This is because innovation in the semiconductor industry generates benefits that spill over to society as a whole, without any direct compensation.

This innovation can also lead to the creation of new jobs and industries, which can boost economic growth and increase the standard of living for people in the society.

In conclusion, understanding the concept of externalities is crucial to understanding how economic activities can impact society beyond just the parties involved in a transaction. Positive externalities generate benefits for society as a whole, while negative externalities generate costs that spill over to society.

Hence the option (c) is correct.

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Karen Samuels (Social Security number 123-45-6789) makes the following purchases and sales of stock:
Transaction Date Number of Shares Company Price per Share
Purchase 1-1-2015 300 MDG $ 75
Purchase 6-1-2015 150 GRU 300
Purchase 11-1-2015 60 MDG 70
Sale 12-3-2015 200 MDG 80
Purchase 3-1-2016 120 GRU 375
Sale 8-1-2016 90 GRU 330
Sale 1-1-2017 150 MDG 90
Sale 2-1-2017 75 GRU 500

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As of July 1, 2015, No stocks have been sold at this point, so there are no perceived profits or losses.

b. As of December 31, 2015: The offer of 200 MDG shares on 12-3-2015 would be coordinated with the initial 200 MDG shares bought at $75 per share. The perceived increase or losses would be determined in light of the selling cost of $80 per share and the price tag of $75 per share.

c. As of December 31, 2016: The deals made until this date would be coordinated with the earliest bought portions of each sort (MDG and GRU) in light of the FIFO strategy. The perceived increase or losses for every deal would be determined as needs be.

d. As of July 1, 2017: All business up to this date would be coordinated with the earliest bought shares in light of the FIFO strategy. The perceived increase or losses for each kind of stock would be resolved utilizing the relating selling cost and the price tag of the earliest gained shares.

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Your question is incomplete, probably the complete question is-

Karen Samuels (Social Security number 123-45-6789) makes the following purchases and sales of stock:

Transaction Date Number of Shares Company Price per Share

Purchase 1-1-2015 300 MDG $ 75

Purchase 6-1-2015 150 GRU 300

Purchase 11-1-2015 60 MDG 70

Sale 12-3-2015 200 MDG 80

Purchase 3-1-2016 120 GRU 375

Sale 8-1-2016 90 GRU 330

Sale 1-1-2017 150 MDG 90

Sale 2-1-2017 75 GRU 500

Assuming that Karen is unable to identify the particular lots that are sold with the original purchase, determine the recognized gain or loss on each type of stock:

a. As of July 1, 2015.

b. As of December 31, 2015.

c. As of December 31, 2016.

d. As of July 1, 2017.

5. Jack Benny can get blood from a stone. If he has a stones, the number of pints of blood he can extract from them is f(1) = 2.. Stones cost Jack $w each. Jack can sell each pint of blood for $p. (a) How many stones does Jack need to extract y pints of blood? (b) What is the cost of extracting y pints of blood? (c) What is Jack's supply function when stones cost 8 each? When stones cost $w each? (d) If Jack has 19 relatives who can also get blood from a stone in the same way, what is the aggregate supply function for blood when stones cost $w each?

Answers

The supply function is the mathematical expression of the relationship between supply and those factors that affect the willingness and ability of a supplier to offer goods for sale.

a) To find out how many stones Jack needs to extract y pints of blood, we need to set up an equation using the function f(1) = 2, which means that Jack can extract 2 pints of blood from 1 stone. The equation will be:
y = 2 * a
To find the number of stones (a), divide both sides by 2:
a = y/2

b) The cost of extracting y pints of blood depends on the cost of each stone (w) and the number of stones needed (a). We already found that a = y/2, so the equation for the cost of extracting y pints of blood is:
Cost = a * w
Substitute a with y/2:
Cost = (y/2) * w


c) To find Jack's supply function when stones cost $8 each, substitute w with 8 in the equation we found in part b:
Cost = (y/2) * 8
Jack's supply function when stones cost $8 each is:
Cost = 4 * y
To find Jack's supply function when stones cost $w each, we will use the equation from part b:
Cost = (y/2) * w
d) If Jack has 19 relatives who can also get blood from a stone in the same way, we need to find the aggregate supply function for blood when stones cost $w each. Since there are 20 people in total (Jack + 19 relatives), the equation will be:Aggregate Cost = 20 * (y/2) * w
Simplify the equation: Aggregate Cost = 10 * y * w
The aggregate supply function for blood when stones cost $w each is:
Aggregate Cost = 10 * y * w

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a financial strategy that reduces the chance of suffering losses arising from foreign exchange risk is referred to as

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The financial strategy that reduces the chance of suffering losses arising from foreign exchange risk is referred to as hedging.

Hedging is a risk management strategy used to minimize or eliminate the potential loss of value of an asset or liability by taking an offsetting position in a related instrument or asset.

In the context of foreign exchange risk, hedging is used to protect against the risk of adverse movements in exchange rates that could negatively impact the value of a foreign currency asset or liability. The most common methods of hedging foreign exchange risk include forward contracts, options contracts, and currency swaps.

By using these methods, individuals and businesses can mitigate their exposure to foreign exchange risk and reduce the impact of currency fluctuations on their financial performance.

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sdj, inc., has net working capital of $2,360, current liabilities of $5,430, and inventory of $1,220. a. what is the current ratio? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b. what is the quick ratio? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

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The quick ratio is 1.21, rounded to two decimal places. The current ratio is calculated by dividing current assets by current liabilities.

Current assets = Net working capital + Current liabilities

Current assets = $2,360 + $5,430

Current assets = $7,790

Current ratio = Current assets / Current liabilities

Current ratio = $7,790 / $5,430

Current ratio = 1.43

Therefore, the current ratio is 1.43.

b. The quick ratio is calculated by dividing quick assets by current liabilities.

Quick assets = Current assets - Inventory

Quick assets = $7,790 - $1,220

Quick assets = $6,570

Quick ratio = Quick assets / Current liabilities

Quick ratio = $6,570 / $5,430

Quick ratio = 1.21

Therefore, the quick ratio is 1.21, rounded to two decimal places.

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Given the demand function D(P) = 150 – 3p2, (a) Find the Elasticity of Demand at a price of $2. Use the formula р da E(P) = . 9 dp E(p) = (b) At this price, we would say the demand is: Unitary Elastic Inelastic (c) Based on this, to increase revenue we should: Lower Prices Raise Prices Keep Prices Unchanged

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(a) The elasticity of demand at a price of $2 is -0.24. (b) Since the elasticity is negative, we can ignore the sign and focus on the magnitude. The absolute value of -0.24 is 0.24. (c) If demand is inelastic, then raising prices will increase revenue, while lowering prices will decrease revenue.

To find the elasticity of demand at a price of $2, we can use the formula р da E(P) = . 9 dp E(p). First, we need to find the derivative of the demand function D(P) with respect to P, which is -6p. Then we can plug in the price of $2 into the formula and calculate: E(2) = (.9)(2/150)(-6(2))  E(2) = -0.24. Therefore, the elasticity of demand at a price of $2 is -0.24.



To determine whether the demand is unitary elastic, inelastic, or elastic at a price of $2, we need to look at the absolute value of the elasticity. When the absolute value of the elasticity is less than 1, we say that the demand is inelastic. Therefore, at a price of $2, the demand is inelastic.

To increase revenue, we need to consider the relationship between price and total revenue. If demand is elastic, then lowering prices will increase revenue, while raising prices will decrease revenue. If demand is inelastic, then raising prices will increase revenue, while lowering prices will decrease revenue.

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if the president was having trouble coming up with a new economic policy, what action would he most likely take?

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If the president was having trouble coming up with a new economic policy, he would most likely consult with his economic advisors or convene a meeting of his economic team to brainstorm ideas and come up with a plan. The president may also seek input from other experts and stakeholders, such as business leaders, economists, and members of Congress.


In addition to seeking advice and input from others, the president may also conduct research and gather data on economic trends and best practices in other countries. He may also analyze the successes and failures of past economic policies and consider the current state of the economy and any challenges or opportunities it presents.


Ultimately, the president must weigh the input and information he receives and make a decision on the best course of action. This decision may involve making difficult choices and balancing competing priorities, but the president must act in the best interest of the country and its citizens.

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Two important factors determine how a couple spends time and money. One of these factors is whether the couple has children. What is the other factor?
A) Whether the woman works
B) Whether they have jobs that require extensive travel
C) Whether they have extended family members living with them
D) Whether they live in an urban or suburban setting

Answers

The correct answer is B) Whether they have jobs that require extensive travel.

Is a person's family one of the social elements that affects their purchasing decisions?

Families have a significant influence on how individuals behave when shopping. A person develops their preferences as a child by seeing their family members make purchases, and they stick with those tastes as they age.

What are the two societal variables that influence customer behaviour?

Family, roles, and status are the key social elements that influence consumer behaviour. Societal variables directly affect how people behave in terms of consumption and shopping. Consumer behaviour has an impact on not just people and society but also on nations and their economy.

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Bo's Home Manufacturing has 260,000 shares outstanding that sell for $43.41 per share. The company has announced that it will repurchase $46,000 of its stock. What will the share price be after the repurchase?
Multiple Choice
$43.59
$37.83
$43.41
$40.71
$43.23

Answers

The share price after Bo's Home Manufacturing repurchases $46,000 of its stock will be $43.59.

In order to calculate share price the following steps to be followed

1. Calculate the total value of shares: 260,000 shares * $43.41 per share = $11,286,600.
2. Subtract the repurchase amount: $11,286,600 - $46,000 = $11,240,600 (new total value of shares).
3. Find the number of shares remaining: $46,000 / $43.41 per share ≈ 1,059 shares repurchased; 260,000 - 1,059 ≈ 258,941 shares remaining.
4. Calculate the new share price: $11,240,600 / 258,941 shares ≈ $43.59 per share.

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A firm has sales of $1,190, net income of $223, net fixed assets of $538, and current assets of $294. The firm has $98 in inventory. What is the common size balance sheet value of inventory?

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The common size balance sheet value of inventory is approximately 11.78%.

Calculate total assets:

The total assets are the sum of net fixed assets and current assets. In this case, net fixed assets are $538 and current assets are $294.

Total Assets = Net Fixed Assets + Current AssetsTotal Assets = $538 + $294Total Assets = $832

Determine the percentage of inventory relative to total assets:

Inventory is $98, so we'll divide this by the total assets and multiply by 100 to get the percentage.

Percentage of Inventory = (Inventory / Total Assets) * 100Percentage of Inventory = ($98 / $832) * 100Percentage of Inventory ≈ 11.78%

The common size balance sheet value of inventory is approximately 11.78%.

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Using the following table to answer the questions that follow:Public defecit over time2001 2011Debit GDP Debit GDPUnited States $3.3 trillion $10.2 trillion $12.2 trillion $15.0 trillionFrance $0.9 trillion $1.5 trillion $1.8 trillion $1.6 trillionItaly $1.5 trillion $1.2 trillion $1.6 trillion $1.7 trillionBelgium $0.3 trillion $0.3 trillion $0.3 trillion $0.4 trillionAustralia $0.2 trillion $0.7 trillion $0.4 trillion $1.4 trillionAccording to the table, the country with the lowest average yearly budget over the time period is :- Australia- The United States- Italy- France- Belgium

Answers

According to the table, the country with the lowest average annual budget over the time period is Belgium.

Here's a step-by-step explanation:

Calculate the change in debt for each country between 2001 and 2011.

United States: $12.2 trillion - $3.3 trillion = $8.9 trillionFrance: $1.8 trillion - $0.9 trillion = $0.9 trillionItaly: $1.6 trillion - $1.5 trillion = $0.1 trillionBelgium: $0.3 trillion - $0.3 trillion = $0 trillionAustralia: $0.4 trillion - $0.2 trillion = $0.2 trillion

Divide the change in debt by the number of years in the time period (10 years) to find the average annual budget.

United States: $8.9 trillion / 10 = $0.89 trillionFrance: $0.9 trillion / 10 = $0.09 trillionItaly: $0.1 trillion / 10 = $0.01 trillionBelgium: $0 trillion / 10 = $0 trillionAustralia: $0.2 trillion / 10 = $0.02 trillion

Compare the average yearly budgets to find the lowest. Belgium has the lowest average annual budget with $0 trillion.

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a company pledges its receivables so it can: multiple choice collect a pledge fee. recognize a sale. increase sales. borrow money. charge a factoring fee.

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A company pledges its receivables in order to borrow money. This allows the company to receive a loan based on the value of its receivables and the amount it will be able to collect from those receivables.

The lender may charge a pledge fee for the loan, and the company may also recognize a sale and increase sales as a result. Additionally, the company may be charged a factoring fee if it sells its receivables to a third-party.

By pledging its receivables, the company is able to obtain a loan and increase its sales, which can help it to expand and grow.

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beginning balance (bb)$64,800 $59,840 ? ending balance (eb) 61,300 ? 13,800 transferred in (ti) 189,100 79,530 65,200 transferred out (to) ? 76,420 67,300 for case (b) above, what is the ending balance (eb)? multiple choice $139,300. $136,260. $62,950. $56,730.

Answers

The ending balance (EB) for case (b) is $61,300, which corresponds to the second option in the multiple-choice answers.

To calculate the ending balance (EB) for case (b), we need to fill in the missing values in the table using the given information. We know the beginning balance (BB) is $59,840, the transferred in (TI) is $79,530, and the transferred out (TO) is unknown.

Using the equation:

EB = BB + TI - TO

We can solve for the missing value of TO:

TO = BB + TI - EB

Plugging in the values we know, we get:

TO = $59,840 + $79,530 - EB

TO = $139,370 - EB

We also know that the ending balance (EB) is $61,300, so we can substitute that in to find:

TO = $139,370 - $61,300

TO = $78,070

Now that we have all the values filled in, we can calculate the ending balance using the same equation:

EB = BB + TI - TO

EB = $59,840 + $79,530 - $78,070

EB = $61,300

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Full Question: Beginning balance (bb)$64,800 $59,840 ? ending balance (eb) 61,300 ? 13,800 transferred in (ti) 189,100 79,530 65,200 transferred out (to) ? 76,420 67,300 for case (b) above, what is the ending balance (eb)? multiple choice

$139,300. $136,260. $62,950. $56,730.

the sales and collection cycle applies to businesses that sell goods to customers or provide services to customers. true or false

Answers

True, companies that offer clients either goods or services must follow a sales and collection cycle.

What does the word "goods" mean?

The ownership of goods can be moved from one institutional entity to the next by engaging in exchanges on markets. Goods are tangible, created objects for which there is a demand.

What purpose do things serve?

items are those that fulfill human needs and offer usefulness, such as to a customer buying a pleasant product. It is usual practice to distinguish between transferable products and non-transferable services.

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Which panel in the figure shows the expected relationship between real GDP growth and unemployment? O Panel A O Panel B O Panel C OPanel D

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Panel A shows the expected relationship between real GDP growth and unemployment. The answer is OPTION A

The unemployment rate decreases, if growth is very slow or negative, the unemployment rate increases, and if growth is equal to potential, the unemployment rate is stable. Gaining more productive employment is a requirement for economic expansion, which is the outcome of both increases in employment and labor productivity.

Therefore, the rate of economic expansion establishes the upper bound within which employment and labor productivity increases can occur. Real Gross Domestic Product (GDP) per capita annual growth rate is measured as the percentage difference in real GDP per capita over two consecutive years. The answer is OPTION A

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this federal act requires contractors with federal contracts worth over $2,000 to pay wages at least equal to those prevailing in the area where the work is being done.

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The federal act that requires contractors with federal contracts worth over $2,000 to pay wages at least equal to those prevailing in the area where the work is being done is the Davis-Bacon Act.

This act was passed in 1931 and requires contractors to pay their employees the prevailing wage for their trade or occupation in the area where the work is being performed. The act was later amended in 1935 to include provisions that protect workers from being underpaid or exploited.

The Davis-Bacon Act is designed to ensure that contractors on federally-funded projects pay their workers a fair wage, which helps to prevent the exploitation of workers and maintain a level playing field for contractors bidding on federal projects.

The prevailing wage is determined by the Department of Labor based on the wages paid to workers in the same occupation in the same geographic area. This ensures that workers are paid a fair wage that is consistent with the local labor market.

In summary, the Davis-Bacon Act requires contractors with federal contracts worth over $2,000 to pay their workers at least the prevailing wage for their trade or occupation in the area where the work is being performed.

This act helps to protect workers from being underpaid or exploited and ensures that contractors bidding on federal projects are competing on a level playing field.

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The bond rating agencies, such as Standard & Poor's and Moody's Investor Services evaluate: A. Marketability risk. B. Default risk C. Interest rate risk. D. Reinvestment risk.

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The bond rating agencies, such as Standard & Poor's and Moody's Investor Services evaluate . Default risk. Option B is correct

Default risk refers to the risk that the issuer of a bond or other debt instrument may not be able to make the required payments to investors when they are due.

This risk is evaluated by bond rating agencies, who assign credit ratings to bonds based on the issuer's creditworthiness and the likelihood of default. Default risk is a key consideration for investors in fixed-income securities, as it can impact the return on investment and the overall risk profile of a portfolio.

Option B is correct

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any machine or process that enables an organization to gain a competitive advantage in changing materials used to produce a finished product qualifies as .

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Any machine or process that enables an organization to gain a competitive advantage in changing materials used to produce a finished product can be classified as a technological innovation.

Technological innovations refer to new or improved processes, products, or services that are developed and implemented to enhance organizational performance, productivity, and competitiveness.

Technological innovations can take many forms, ranging from the development of new machinery, software, and equipment to the adoption of new production techniques, supply chain management systems, and communication technologies. When a technological innovation is used to change the materials used to produce a finished product, it can help an organization gain a competitive edge by improving efficiency, reducing costs, or enhancing the quality of the final product.

For example, a company that develops a new process for extracting a raw material from the earth with lower environmental impact and at a lower cost than their competitors can gain a significant competitive advantage. Similarly, a company that develops a new manufacturing technology that enables faster, more precise cutting of metal parts can give a company a competitive edge in producing high-quality products at a lower cost than its competitors.

In summary, any machine or process that enables an organization to gain a competitive advantage in changing materials used to produce a finished product can be classified as a technological innovation, and its successful implementation can lead to increased efficiency, reduced costs, and enhanced competitiveness in the marketplace.

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Using a base year as 100% and expressing other years as a percentage of the base year is an example of
A. trend analysis
B. vertical analysis
C. horizontal analysis
D. benchmarking

Answers

Using a base year as 100% and expressing other years as a percentage of the base year is an example of C. horizontal analysis.

Horizontal analysis compares financial data over a series of reporting periods (years), using a base year as a starting point, and calculating percentage changes relative to that base year.

In horizontal analysis, comparisons can be made using either absolute comparisons or percentage comparisons, where each subsequent period's figures are expressed as a share of the baseline year's total, with 100% as the baseline value. It's sometimes referred to as base-year analysis.

A technique called horizontal analysis compares specific financial data from one accounting period with data from other periods to examine financial statements. Such a method is used by analysts to study past trends. Thus the correct option is C.

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jj company planned to sell 5,000 units for $10 per unit. the company actually sold 2,000 units for $14 per unit. what is the sales price variance?

Answers

To calculate the sales price variance, we need to compare the expected revenue ($50,000) with the actual revenue ($28,000). The difference between the two is $22,000, which represents the unfavorable sales price variance.

The sales price variance refers to the difference between the expected selling price and the actual selling price of a product. In this scenario, JJ Company planned to sell 5,000 units for $10 per unit, which means their expected revenue was $50,000. However, the company actually sold 2,000 units for $14 per unit, which translates to a revenue of $28,000.

This means that the company missed out on $22,000 in potential revenue due to the actual selling price being higher than the expected selling price.

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what changes in the economy would be associated with travel agents hiring inmates in minimum-security prisons to take calls and schedule vacations for customers?

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If travel agents started hiring inmates in minimum-security prisons to take calls and schedule vacations for customers, there would be several changes in the economy. First and foremost, it would increase employment opportunities for inmates, allowing them to earn a wage and potentially gain work experience and skills that could help them reintegrate into society once they are released.

Additionally, travel agents may be able to save on labor costs by hiring inmates, who may be willing to work for lower wages than non-inmate employees. This could lead to lower prices for customers, making vacations more accessible and affordable for a wider range of people.

However, there could also be potential drawbacks to this practice. Some customers may feel uneasy about speaking with inmates, which could harm the reputation and trustworthiness of the travel agency. Additionally, if inmates were to mishandle customer information or make mistakes with scheduling, it could lead to legal and financial repercussions for the agency.

Overall, while there may be potential benefits to hiring inmates in minimum-security prisons to work for travel agencies, it would likely depend on the specific circumstances and potential risks involved.

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the unity of command principle states that each person should report to only one manager in order to prevent

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The unity of command principle is an important concept in management that aims to prevent confusion, conflict, and inefficiency in the workplace.

This principle states that each person should report to only one manager, in order to prevent conflicting demands and ensure clear lines of communication. When multiple managers are involved, employees may receive conflicting instructions, leading to confusion and mistakes.

Furthermore, having multiple managers can lead to a lack of accountability, as it becomes unclear who is responsible for particular tasks or outcomes. By following the unity of command principle, organizations can promote clarity, accountability, and efficiency, helping to ensure that everyone is working towards the same goals.

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fob new york. macy agreed to prepay the $100 freight. leeco. pays the invoice within the discount period. what does leeco. pay macy?

Answers

Leeco would pay Macy the cost of the invoice minus the $100 prepaid freight and any applicable discount within the discount period.

When Macy agreed to prepay the $100 freight, this means that Macy is responsible for the shipping cost of the goods. The total amount owed by Leeco to Macy would include the cost of the goods plus any other applicable charges, such as taxes, handling fees, or other expenses.

If Macy offers Leeco a discount for paying the invoice within a certain period of time, then Leeco could potentially reduce the amount owed. The discount rate and the discount period would determine how much Leeco could save on the invoice. For example, if the discount rate is 2% and the discount period is 10 days, and the invoice amount is $1,000, then Leeco could receive a discount of $20 if they pay within the 10-day period.

Once the discount period has passed, Leeco would owe the full amount of the invoice minus any applicable discounts. So, if the invoice amount is $1,000, the freight charge is $100, and the discount is $20, then the amount Leeco would pay Macy is $1,080.

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Aggregate safety stock inventory _________ as the number of distribution centers increase A. Declinces C. Increases at a decreasing rate D. Cannot be determined

Answers

Aggregate safety stock inventory increases at a decreasing rate as the number of distribution centers increase. The answer is C. Increases at a decreasing rate.

As the number of distribution centers increases, the aggregate safety stock inventory will also increase because there are more locations where demand variability and supply chain disruptions can occur. However, the increase in aggregate safety stock inventory will happen at a decreasing rate because the safety stock required for each additional distribution center will be lower than the previous one due to the pooling effect of inventory across the network.

Pooling effect means that as the number of locations in the network increases, the variability of demand and supply decreases due to the averaging effect of independent variations in demand and supply across locations. This leads to a lower safety stock requirement for each location, which in turn reduces the aggregate safety stock required for the entire network.

Option C is answer.

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if the desired initial increase in spending is $5 billion and the mpc is 0.75, then taxes must be cut by what amount?

Answers

To achieve a $5 billion initial increase in spending with an MPC of 0.75, taxes must be cut by $15 billion.

To determine the amount by which taxes must be cut in order to achieve a desired initial increase in spending of $5 billion with an MPC of 0.75, we can use the formula for the fiscal multiplier, which is:

Multiplier = 1 / (1 - MPC)

The fiscal multiplier represents the total amount of spending that results from an initial increase in spending, taking into account the additional rounds of spending that are generated through the economy as a result of increased incomes.

In this case, we know the desired initial increase in spending is $5 billion, so we can use the multiplier formula to find the total increase in spending that will result from this initial increase:

Multiplier = 1 / (1 - 0.75) = 4

Total increase in spending = Multiplier × initial increase

= 4 × $5 billion

= $20 billion

To achieve this $20 billion increase in spending, taxes must be cut by an amount equal to the marginal propensity to consume (MPC) times the increase in spending:

Tax cut = MPC × increase in spending

= 0.75 × $20 billion

= $15 billion

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What is the Chartered Financial Consultant?(1 point)
Responses

a designation that recognizes your skills and knowledge in the area of financial planning
a designation that recognizes your skills and knowledge in the area of financial planning

a license that allows you to trade securities
a license that allows you to trade securities

a designation that recognizes your skills and knowledge in the area of portfolio management and investment
a designation that recognizes your skills and knowledge in the area of portfolio management and investment

a license that allows financial advisors to charge advisory fees
a license that allows financial advisors to charge advisory fees

Answers

Answer:

A) A designation that recognizes your skills and knowledge in the area of financial planning.

Explanation:

The Chartered Financial Consultant (ChFC) is a professional designation that is awarded to individuals who have demonstrated their expertise and knowledge in the area of financial planning. The ChFC designation is granted by The American College of Financial Services, which is a non-profit educational institution that offers professional development programs and training for financial services professionals. The ChFC program covers a broad range of financial planning topics, including insurance, estate planning, retirement planning, investments, and taxation. Individuals who hold the ChFC designation have completed a rigorous program of study and have met certain experience and ethical requirements. They are considered experts in the field of financial planning and are often sought out by clients who are looking for help with their personal finances.

On June 1, 20X4, a school district levies the property taxes for its fiscal year that will end on June 30,20x5. The total amount of levy is $1,000,000, and 1% is expected to be uncollectible. Of the levy, $250,000 is collected in june 20X4 and another $500,000 is collected in July and August 20X4. What is the maximum amount of property tax revenue associated with the June 1, 20x4, levy that the school district might report as revenue in the fiscal year ending June 30, 20X4?

Answers

The maximum amount of property tax revenue associated with the June 1, 20X4 levy that the school district might report as revenue in the fiscal year ending June 30, 20X4 is $250,000.


Here are the steps to find the maximum amount:

1. Determine the total amount of levy: $1,000,000
2. Calculate the expected uncollectible amount: 1% of $1,000,000 = $10,000
3. Calculate the collectible amount: $1,000,000 - $10,000 = $990,000
4. Identify the collections made within the fiscal year ending June 30, 20X4:
  - $250,000 collected in June 20X4
5. Determine the maximum property tax revenue that can be reported for the fiscal year ending June 30, 20X4: $250,000

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Cosmopolitan magazine, Secret deodorant, and Eve cigarettes are all products whose marketers have used segmentation based on a) age. b) education. c) product use. d) gender. e) income

Answers

Cosmopolitan magazine, Secret deodorant, and Eve cigarettes are all products whose marketers have used segmentation based on gender. (option d)

Gender segmentation is a common marketing strategy that involves dividing a market into distinct groups based on gender, and then developing and promoting products and services that are tailored to the specific needs and preferences of each gender.

In the case of Cosmopolitan magazine, it is a women's magazine that is targeted specifically at a female audience. Secret deodorant is also marketed primarily to women, with its advertising and product design emphasizing feminine appeal.

Eve cigarettes were marketed as a brand targeted specifically at women, with advertising campaigns that featured sophisticated and glamorous female models.

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