Which inventory costing method results in the lowest net income during a period of rising inventory costs?
a. Average-cost
b. Specific-unit-cost
c. First-in, first-out (FIFO)
d. Last-in, first-out (LIFO)

Answers

Answer 1

In a time of growing inventory costs, the Last-in, First-out (LIFO) inventory costing approach yields the lowest net profitability.The cost of goods sold is computed using the LIFO approach on the presumption that the most recent purchases are made first.

This strategy causes greater expenses to be ascribed to the commodities sold during a period of growing inventory costs, which lowers the gross profit and eventually the net income. This is so that the cost of products sold accurately represents the greater cost of the newer things while the older, less expensive items are still in stock.

The First-in, First-out (FIFO) inventory costing technique, on the other hand, relies on the premise that the oldest things are sold first. This technique leads to reduced costs being attributed to the commodities sold during a period of growing inventory costs, which raises the gross profit and eventually the net income. This is due to the fact that the older, cheaper things are sold first, and the cost of goods sold reflects the older items' lower cost.

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Related Questions

Kubin Company’s relevant range of production is 27,000 to 29,000 units. When it produces and sells 28,000 units, its average costs per unit are as follows:
Average Cost per Unit
Direct materials $ 8.70
Direct labor $ 5.70
Variable manufacturing overhead $ 3.20
Fixed manufacturing overhead $ 6.70
Fixed selling expense $ 5.20
Fixed administrative expense $ 4.20
Sales commissions $ 2.70
Variable administrative expense $ 2.20

Answers

The main point is that when Kubin Company produces and sells 28,000 units within its relevant production range of 27,000 to 29,000 units, its average costs per unit are as follows:

Direct materials cost $8.70, direct labor cost $5.70, variable manufacturing overhead cost $3.20, fixed manufacturing overhead cost $6.70, fixed selling expense $5.20, fixed administrative expense $4.20, sales commissions $2.70, and variable administrative expense $2.20.

It is important to note that the relevant range of production is the range of production levels over which a company expects to operate during a normal business year, and within this range, fixed costs remain constant.

The knowledge of the relevant range of production and associated costs is crucial for a company's decision-making process, such as determining the profitability of a product, setting prices, and making production decisions.

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a differentiation strategy is best described as when a company​ ________.

Answers

A differentiation strategy is best described as when a company creates a unique and distinctive product or service that sets it apart from the competition.

It is a way of standing out in a crowded market and establishing a competitive advantage over rivals. By differentiating themselves, companies can offer something that customers cannot find anywhere else, creating a strong brand identity and loyal customer base. There are many ways to implement a differentiation strategy. One way is to focus on product features or design. This might involve incorporating new materials, technologies, or functionalities that other products on the market do not have.

Another way is to emphasize service quality, providing exceptional customer service, support, or after-sales service that exceeds customer expectations. Yet another way is to create a unique brand identity through marketing and advertising, building a distinct brand personality and image that resonates with customers. A successful differentiation strategy requires careful market research and analysis, as well as a deep understanding of customer needs and preferences. Companies must also have the resources and capabilities to deliver on their promises, whether through product development, service delivery, or marketing and advertising. Ultimately, a differentiation strategy can be a powerful way for companies to create a sustainable competitive advantage and achieve long-term success in their respective markets.

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Which type of goods is most adversely affected by recessions?
a. Goods for which the income-elasticity coefficient is relatively low or negative
b. Goods for which the income-elasticity coefficient is relatively high and positive
c. Goods for which the cross-elasticity coefficient is positive
d. Goods for which the cross-elasticity coefficient is negative

Answers

Answer:

Answer: a. Goods for which the income-elasticity coefficient is relatively low or negative

The type of goods that are most adversely affected by recessions are Goods for which the income-elasticity coefficient is relatively high and positive. Thus, the correct option is (B).

A recession is a contraction of the business cycle in economics, which happens when there is a broad fall in economic activity. Recessions often develop when there is a significant decrease in expenditure.

Inferior products have a negative income elasticity of demand; as income grows, people purchase fewer inferior items. Margarine, which is substantially cheaper than butter, is an example of such a product.

Normal goods have a positive income elasticity of demand; an increase in income leads to an increase in quantity sought.

Therefore, the correct option is "B".

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TalkaLot Corp. incurs a cost of $350 to produce one unit of a cell phone. The company’s management has priced the product at $600 in the market. Considering the technological advancement of the cell phone, customers perceive its value to be around $800. What is the economic value created in this scenario?A. $200B. $250C. $450D. $600E. $800

Answers

$450  is the economic value created in this scenario.

What is the definition of economic value?

A person's assessment of an economic good's value is based on the advantages it offers. This is known as its economic value. A person's desire to pay for a product, which is often measured in monetary terms, is taken into consideration while calculating it in some cases.

                                   According to the benefit they receive from an economic good, a person assigns an economic good a value called economic value.

According to the question, the cost incurred by the corp is $350. Also the customers perceive it's value around $800.

Thus the economic value created in this scenario is :-

800 - 350 = $450

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Scientists are in overwhelming agreement that ________ is a growing threat and will cause major changes in temperature, precipitation, wind patterns, and similar matters over several decades.
Multiple Choice
corporate social responsibility
climate change
natural capital
the macroenvironment

Answers

Scientists are in overwhelming agreement that climate change is a growing threat and will cause major changes in temperature, precipitation, wind patterns, and similar matters over several decades.

Climate change refers to the variation in the Earth's overall atmospheric conditions over a long period. It is a significant environmental issue that has taken a toll on the environment in many ways.

Reasons for climate change

Climate change is caused by a variety of factors, including human activities, deforestation, industrialization, and other factors that contribute to an increase in greenhouse gases (GHGs) in the atmosphere.The primary impacts of climate change are temperature changes, precipitation changes, and rising sea levels.

The alteration of ecosystems and the loss of biodiversity are two of the most visible impacts of climate change. It also affects agriculture, which is heavily dependent on climate and weather changes, as well as natural water systems, which are essential for many aspects of human and animal life. As a result, it is critical that we take action to reduce our carbon footprint and other actions that contribute to climate change.

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The starting point of the build-borrow-or-buy framework is management's

A. evaluation of the firm's existing internal resources to check if they are relevant.
B. comparison of the internal transaction costs against the external transaction costs.
C. identification of a strategic resource gap that will impede future growth.
D. evaluation of the alliance partners' compatibility and commitment.

Answers

The starting point of the build-borrow-or-buy framework is management's comparison of the internal transaction costs against the external transaction costs. (option b)

At the heart of the build-borrow-or-buy framework is management's evaluation of the company's existing internal resources. Management must assess whether the company has the resources necessary to achieve its strategic objectives or whether it needs to acquire new resources.

Once management has evaluated the company's internal resources, it must compare the internal transaction costs against the external transaction costs. This comparison helps management decide whether to build, borrow, or buy the necessary resources.

Finally, management must evaluate the compatibility and commitment of potential alliance partners or acquisition targets. This evaluation process involves a detailed analysis of the partner or target's strengths and weaknesses, as well as an assessment of its long-term viability and compatibility with the company's strategic objectives.

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when forecasting demand for a new product, it is typical to produce a model from historical data of similar or competing products.
a. true b. false

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The statement When forecasting demand for a new product, it is typical to produce a model from historical data of similar or competing products a)True

When forecasting demand for a new product, it is typical to produce a model from historical data for similar or competing products. When forecasting the demand for a new product, it is typical to produce a model from historical data for similar or competing products. The previous history of similar or comparable products, sales patterns, and seasonal fluctuations are all factors to consider in this situation.The historical data helps predict future demand for a new product based on the popularity and sales of similar or competing products. By creating models based on this data, businesses can more accurately forecast the demand for new products and plan accordingly.

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. after working for 25 years as personal fitness trainers while raising their kids, four sisterscashed in a total of $150,000 in bonds and decided to open a small, neighborhood fitness center.they spent the $150,000 on exercise equipment, advertising, computer equipment, and otherfurnishings for the business. for the next 3 years, they took in $170,000 in revenue each year,paid themselves $30,000 annually each, and rented a space in a strip mall for $40,000 per year.before the investment, their $150,000 in bonds were earning interest at a rate of 7 percent. arethey now earning economic profits? explain your answer.

Answers

The total expenses are equal to the total revenue, meaning that the sisters' business is breaking even.

We need to calculate their total revenue, total expenses, and the opportunity cost of their investment. Total revenue for the three years is $170,000 x 3 = $510,000. Total expenses include the initial investment in equipment, advertising, and furnishings, as well as the annual rental costs and salaries paid to each sister. The total expenses are:

$150,000 (initial investment) + $40,000 (annual rent) + $30,000 x 4 (annual salaries for each sister) x 3 (years) = $510,000. However, we also need to consider the opportunity cost of their investment. Before investing in the fitness center, the sisters' $150,000 in bonds were earning interest at a rate of 7 percent.

The opportunity cost of their investment is the income they could have earned if they had kept their money invested in the bonds instead of starting the fitness center. The annual income the sisters could have earned from the bonds is:$150,000 x 0.07 = $10,500.

Over three years, the opportunity cost of their investment is: $10,500 x 3 = $31,500. even though the sisters' fitness center is breaking even, they are not earning economic profits because they are not earning any income above and beyond the opportunity cost of their investment.

In conclusion, while the sisters' fitness center is not operating at a loss, it is not generating any economic profit since the total revenue earned is equal to the total expenses, and the opportunity cost of their investment is greater than the income earned from the business.

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write a balanced chemical equation for calcium hydroxide, ca(oh)2, dissolving in water, and the solubility product expression for this equilibrium.

Answers

The balanced chemical equation for calcium hydroxide, Ca(OH)2, dissolving in water is:

Ca(OH)2 (s) ⇌ Ca2+ (aq) + 2OH- (aq)

The solubility product expression for this equilibrium is:

Ksp = [Ca2+] [OH-]2

Where Ksp is the solubility product constant, [Ca2+] is the concentration of calcium ions in the solution, and [OH-]2 is the concentration of hydroxide ions in the solution. The solubility product expression shows the relationship between the concentrations of the ions in the solution and the solubility of the solid.

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assume you have a 1-year investment horizon and are trying to choose among three bonds. all have the same degree of default risk and mature in 10 years. the first is a zero-coupon bond that pays $1,000 at maturity. the second has an 8% coupon rate and pays the $80 coupon once per year. the third has a 10% coupon rate and pays the $100 coupon once per year. a. if all three bonds are now priced to yield 8% to maturity, what are their prices?

Answers

The prices of the three bonds are zero-coupon bond: $463.19, 8% coupon bond: $962.34, and 10% coupon bond: $1,087.33.

To calculate the prices of the three bonds assuming they are priced to yield 8% to maturity, we need to use the present value formula:

PV = C / (1 + r)ⁿ

where PV is the present value, C is the coupon payment, r is the yield to maturity, and n is the number of years until maturity. For the zero-coupon bond, the coupon payment is zero, so the present value is simply the face value of the bond:

PV = $1,000 / (1 + 0.08)^10

     = $463.19

For the bond with an 8% coupon rate, the present value of each coupon payment and the face value can be calculated separately:

PV of Coupons = $80 / (1 + 0.08)¹ + $80 / (1 + 0.08)² + ... + $80 / (1 + 0.08)^

PV of Coupons = $499.15

PV of Face Value = $1,000 / (1 + 0.08)^10

                             = $463.19

Total PV = PV of Coupons + PV of Face Value

              = $499.15 + $463.19

              = $962.34

For the bond with a 10% coupon rate, we can use the same method as above to calculate the present value of the coupons and the face value:

PV of Coupons = $100 / (1 + 0.08)¹ + $100 / (1 + 0.08)² + ...... + $100 / (1 + 0.08)¹⁰

PV of Coupons = $624.14

PV of Face Value = $1,000 / (1 + 0.08)^10

PV of Face Value = $463.19

Total PV = PV of Coupons + PV of Face Value

              = $624.14 + $463.19

              = $1,087.33

Hence, the prices of the three bonds are zero-coupon bond: $463.19, 8% coupon bond: $962.34, and 10% coupon bond: $1,087.33.

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kasey corporation has a bond outstanding with a coupon rate of 5.74 percent and semiannual payments. the bond has a yield to maturity of 6.1 percent, a par value of $2,000, and matures in 20 years. what is the quoted price of the bond?

Answers

The quoted price of the bond can be calculated using the bond pricing formula. Quoted price = (Coupon payment / (1 + Yield to maturity / 2)n + Par value / (1 + Yield to maturity / 2)n

Here, the bond has a coupon rate of 5.74% with semi-annual payments. The bond has a yield to maturity of 6.1%, a par value of $2,000, and matures in 20 years. We need to calculate the quoted price of the bond using the formula above. The bond matures in 20 years and has semi-annual payments.

Therefore, the number of semi-annual periods is 2*20 = 40.

The coupon payment is the amount paid to the bondholder every six months. The coupon payment is calculated as follows: Coupon payment = Coupon rate * Par value / 2Coupon payment = 5.74% * $2,000 / 2Coupon payment = $57.40

Calculate the quoted price Quoted price = (Coupon payment / (1 + Yield to maturity / 2)n + Par value / (1 + Yield to maturity / 2)n Quoted price = ($57.40 / (1 + 6.1% / 2)40 + $2,000 / (1 + 6.1% / 2)40)Quoted price = $1,125.19Therefore, the quoted price of the bond is $1,125.19.

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Managing cultural diversity involves:
A. forming different pay structures for various groups.
B. creating separate career tracks for employees with families.
C. avoiding the use of affirmative action policies.
D. reducing cultural diversity by selective hiring.
E. encouraging career development for women and minorities.

Answers

Managing cultural diversity involves encouraging career development for women and minorities. Hence, the correct option is (E).

The following are some tips for managing cultural diversity in an organization:

Develop an inclusive culture - Develop a culture that is inclusive of all employees, regardless of their background, ethnicity, race, or gender. This will help foster a sense of belonging among employees and encourage them to contribute to the success of the company.Recruit a diverse group of people - In order to create a diverse workforce, companies need to focus on attracting, hiring, and retaining a diverse group of people. They should recognize the diversity of the population and the unique needs of each group.Establish clear policies and procedures - Companies should establish clear policies and procedures for diversity and inclusion, such as creating diversity goals and providing training on cultural awareness and sensitivity.Encourage diversity in the workplace - Companies can encourage diversity in the workplace by promoting cultural events and celebrations, providing opportunities for cross-cultural learning and exchange, and providing mentorship and career development opportunities for women and minorities.

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under the anti-fraud provisions of section 10(b) of the securities exchange act of 1934, auditors may be liable if they acted a) with ordinary negligence. b) with independence. c) without due diligence. d) without good faith.

Answers

Under the anti-fraud provisions of section 10( b) of the Securities exchange Act of 1934, auditors may be liable if they acted C)without due diligence.

The Act imposes a obligation on auditors to bear with independence and expert skepticism of their checkups of intimately traded agencies. However, or acts recklessly or with purposeful misconduct regarding the education of a pot's financial statements, they will be held responsible for securities fraud under section 10( b), If an auditor fails to exercise due diligence.

Still, easy ordinary negligence is generally no longer enough to establish legal responsibility below this provision. thus, the norms of care prognosticated from adjudicators are excessive, and they've to exercising applicable judgment and care in carrying out their obligations.

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which situation describes a company experiencing an accounting loss?

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A situation which describes a company experiencing an accounting loss is when Total cost is higher than total revenue.

Whole cost refers to the complete amount of money spent to bring the product to market, whereas total revenue refers to the amount of money made by a firm by selling its goods or services.

Total revenue refers to the whole amount of money a vendor may generate by selling goods or services to clients.

P Q, or the purchase price multiplied by the number of goods sold, is the formula for this. It assesses how well a firm generates income from its major operations based on demand and pricing.

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The Tokyo Round of the GATT negotiations was notable because it was the first round A) that included Japan. B) that included textiles and apparel. C) to begin establishing rules on subsidies. D) to begin discussions of exchange rates. E) to limit the tariffs of the United States.

Answers

The Tokyo Round of the General Agreement on Tariffs and Trade (GATT) negotiations was notable because it was the first round to include both Japan and textiles and apparel.

The Tokyo Round also marked the beginning of establishing rules on subsidies, discussing exchange rates, and limiting the tariffs of the United States. This round of negotiations spanned between 1973 and 1979 and aimed to reduce tariffs, which would ultimately encourage global trade. This round was unique because it was the first to consider sectors outside of agriculture, such as textiles and apparel. In addition, the Tokyo Round also aimed to lower non-tariff barriers, such as rules on subsidies, and to create international standards on products and practices. Overall, the Tokyo Round had a huge impact on global trade, as it was the first round to focus on more than just agricultural products.

Therefore, the Tokyo Round of the General Agreement on Tariffs and Trade (GATT) negotiations was notable because it was the first round to include both Japan and textiles and apparel.

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fill in the blank. income elasticity of demand and cross-price elasticity of demand measure responsiveness to changes in___, and thus tell us by how much___.

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The statement is completed as: Income elasticity of demand and cross-price elasticity of demand measure responsiveness to changes in price, and thus tell us by how much demand will change.


Income elasticity of demand measures how much the quantity demanded of a good or service changes in response to a change in income, while cross-price elasticity of demand measures how much the quantity demanded of one good or service changes in response to a change in the price of another good or service.

These measures of elasticity help us to understand how sensitive consumers are to changes in income and price, and can be used to make predictions about how demand will change in response to these factors.

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when a positive externality exists, the socially optimal level of output will be than that resulting from a private market.

Answers

When a positive externality exists, the socially optimal level of output will be greater than that resulting from a private market. A positive externality occurs when one person or group's actions generate benefits to a third-party who is not involved in the transaction.

For example, a factory that emits a pollutant may generate external benefits to nearby residents who are not a part of the transaction. In this case, the private market would set the output level at the point where the cost of producing the good is equal to the price that consumers are willing to pay for it. However, the total cost of production does not take into account the external benefits, thus resulting in an output level that is too low for society as a whole. The socially optimal level of output is the level of output where the marginal cost of production is equal to the marginal benefit of consumption plus the marginal benefit of the externalities.

At the socially optimal level of output, the marginal cost of production is equal to the marginal benefit of consumption plus the marginal benefit of the externalities. This means that the price consumers are willing to pay, plus the value of the external benefits, must equal the cost of producing the good. Thus, the socially optimal output level will be greater than that resulting from the private market.

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stefan has three small children and wants to buy a car that has good safety ratings. he is also in the market for a new television and as a sports-lover, he wants a large screen tv that has great definition. these two buying behaviors are a reflection of his

Answers

These two buying behaviours are a reflection of Stefan's consumer needs and preferences, specifically his concern for safety and his interest in high-quality entertainment.

Stefan's purchasing patterns reveal his tastes and requirements as a consumer. As a father, he probably cares about his children's safety, which is why he wants a vehicle with high safety scores. His desire for a premium television with a big screen and excellent definition, meanwhile, represents his interests and tastes as a sports fan.

Understanding these requirements and tastes enables marketers to modify their messaging and product options to satisfy Stefan's particular needs and raise the possibility of a profitable transaction.

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Solve for the unknown number of years in each of the following: (Do not round intermediate calculations and round your answers to 2 decimal places, e.g., 32.16.)
Present Value Years Interest Rate Future Value
$ 1,000 9 % $ 1,855 2,691 7 4,450 34,305 12 394,620 34,000 19 220,892

Answers

To solve for the unknown number of years in each of the above equations, we will use the formula A = P (1 + r/n)^nt, where A is the final amount, P is the principal amount,

r is the rate of interest, n is the number of times interest is compounded each year, and t is the number of years.

For the first equation, we have A = 1,855, P = 1,000, r = 9%, and n = 4. To solve for t, we rearrange the formula to solve for t: t = (log(A/P)) / (log(1 + r/n)).

Plugging in the values, we have t = (log(1855/1000)) / (log(1 + 9/4)) = 0.7346. This means it will take 0.73 years to get to the final amount of 1,855.

For the second equation, we have A = 2,691, P = 4,450, r = 7%, and n = 12. To solve for t, we rearrange the formula to solve for t: t = (log(A/P)) / (log(1 + r/n)).

Plugging in the values, we have t = (log(2691/4450)) / (log(1 + 7/12)) = -0.7834. This means it will take 0.78 years to get to the final amount of 2,691.

For the third equation, we have A = 394,620, P = 34,305, r = 12%, and n = 19. To solve for t, we rearrange the formula to solve for t: t = (log(A/P)) / (log(1 + r/n)).

Plugging in the values, we have t = (log(394620/34305)) / (log(1 + 12/19)) = 4.4193. This means it will take 4.42 years to get to the final amount of 394,620.

For the fourth equation, we have A = 220,892, P = 34,000, r = 19%, and n = 19. To solve for t, we rearrange the formula to solve for t: t = (log(A/P)) / (log(1 + r/n)).

Plugging in the values, we have t = (log(220892/34000)) / (log(1 + 19/19)) = 1.9405. This means it will take 1.94 years to get to the final amount of 220,892.

In conclusion, the unknown number of years for each of the equations is 0.73, 0.78, 4.42, and 1.94 years, respectively.

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Which of the following statements is false?
a. A statement of cash flows summarizes information about the cash inflows (receipts) and outflows (payments) for a specific period of time.
b. A balance sheet reports the assets, liabilities, and stockholders' equity at a specific date.
c. An income statement presents the revenues, expenses, changes in stockholders' equity, and resulting net income or net loss for a specific period of time.
d. A retained earnings statement summarizes the changes in retained earnings for a specific period of time.

Answers

The false statement is a retained earnings statement summarizes the changes in retained earnings for a specific period of time. Hence, the correct option is (D).

What Is Retained Earnings Statement?

Retained earnings statement is a financial statement that shows the changes in retained earnings of a company for a given accounting period. Retained earnings are the portion of a company's profit that is kept for future use instead of being distributed as dividends to shareholders. Retained earnings are created when a company generates profits and does not distribute all of those profits as dividends to shareholders. Instead, the profits are kept in the company as retained earnings. Retained earnings can be used to fund future projects or to pay off debt. If a company has negative retained earnings, it means that it has incurred losses in the past that have not been made up for by current profits.

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A bank finds itself short of required reserves and therefore borrows from another commercial bank. The interest rate on this loan is
a. zero.
b. the prime rate.
c. the discount rate.
d. the federal funds rate.
e. the required reserve ratio.

Answers

The interest rate on the loan that the bank borrows from another commercial bank when it finds itself short of required reserves is typically the federal funds rate.

The federal funds rate is the interest rate at which banks lend or borrow reserves from each other on an overnight basis to meet the reserve requirement set by the Federal Reserve. determined by the federal funds rate, which is the interest rate at which banks lend or borrow reserve balances from one another overnight. The federal funds rate is set by the Federal Open Market Committee (FOMC) of the Federal Reserve System, which is the central bank of the United States. Therefore, the interest rate that the bank pays for borrowing reserves from another commercial bank will be influenced by the prevailing federal funds rate. If the federal funds rate is high, the interest rate on the loan will be high, and if the federal funds rate is low, the interest rate on the loan will be low.

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construct an appropriate chart to show the relative value of funds in each investment category in the accompanying data.

Answers

To construct an appropriate chart to show the relative value of funds in each investment category in the accompanying data, we can use a pie chart.

Set a pie chart

A pie chart is a circular statistical graphic that is divided into slices to illustrate numerical proportion. Each slice of the pie represents a category and is proportional to the quantity it represents.

1: Determine the total value of the funds. Add up the values in each investment category to get the total value.

2: Calculate the percentage of the total value that each investment category represents. To do this, divide the value of each investment category by the total value and multiply by 100.

3: Use the percentages to determine the size of each slice in the pie chart. Each slice should be proportional to the percentage it represents.

4: Label each slice with the investment category and the percentage it represents.

5: Create a legend to explain what each slice represents.

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problem 3-27 using the dupont identity [lo 3] y3k, incorporated, has sales of $7,435, total assets of $3,505, and a debt-equity ratio of .30. assume the return on equity is 15 percent. what is the company's equity multiplier?

Answers

Assuming the return on equity is 15% The company's equity multiplier is 1.43.

The DuPont identity states that the Return on Equity (ROE) can be calculated as the product of the profit margin, asset turnover, and equity multiplier.

we can calculate the asset turnover by dividing the company's sales by its total assets:

Asset Turnover = Sales / Total Assets

Asset Turnover = 7,435 / 3,505

Asset Turnover = 2.12

Now we can use the debt-equity ratio to calculate the equity multiplier:

Debt-Equity Ratio = Total Debt / Total Equity

Total Debt / Total Equity = 0.30

Total Equity = Total Assets - Total Debt

Total Equity = 3,505 - (0.30 x 3,505)

Total Equity = 3,505 - 1,051.50

Total Equity = 2,453.50

Equity Multiplier = Total Assets / Total Equity

Equity Multiplier = 3,505 / 2,453.50

Equity Multiplier = 1.43

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For a typical credit sale, the seller records revenue at the ?

Answers

For a typical credit sale, the seller records revenue at the time when the sale is made, even if the payment is not received until a later date.

This means that when the seller sells a product or service on credit, the revenue is recognized immediately, even though the payment may not be received until a later date.

The amount of revenue recognized for a credit sale is the total amount of the sale, including any taxes or fees. It is important to note that revenue is not the same as profit. Profit is the amount of money a company earns after deducting expenses, such as the cost of goods sold, from its revenue.

To summarize, revenue is the amount of money a company earns from selling its products or services. For credit sales, revenue is recognized at the time of the sale, even if the payment is received at a later date. It is important to distinguish between revenue and profit, as revenue does not take into account the expenses incurred to generate the sale.

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when making a major purchase, such as a new vehicle, one strategy to help lower the cost is to shop in a state nearby to yours that does not charge sales tax.

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Shopping in a nearby state that does not charge sales tax is one strategy that can help lower the cost of making a major purchase, such as a new vehicle. In order to make sure you're getting the best deal, you should:




 Research the total cost of the purchase, including any additional fees, in the state where you're making the purchase.
 Research the cost of the same purchase in a nearby state that does not charge sales tax.
 Compare the two prices and decide whether the cost savings of shopping in the nearby state outweighs the additional costs associated with traveling and purchasing the item there.



Remember to factor in any additional fees, such as registration, before you make your purchase in order to make sure you're getting the best deal.

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which is one of the greatest risks of being an entrepreneur?

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Financial risk is one of the greatest risks of being an entrepreneur. Numerous risks, including bankruptcy, financial risk, competitive risk, environmental risk, reputational risk, and political and economic risk, are faced by entrepreneurs. The answer is OPTION A

Entrepreneurs must make wise financial plans and demonstrate to investors that they are thinking about risks by developing a practical business plan. If they can't handle potential outcomes, they fear losing control.

It's unsettling to take a chance because you never know how things will pan out. It might succeed, but it could also fall short. Fear is the main obstacle standing between an entrepreneur and the prosperity of their company. They worry about failing, making errors, losing money, looking foolish, and being left out.  The answer is OPTION A

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The que is incomplete complete que is given below

a.  Financial risk b. bankruptcy risk c. career risk d. reputational risk

Which of the following federal government actions would make sense if a tax system fails to provide sufficient tax revenue?
-Only issue treasury bonds
-Only cut funding to various federal projects
-Only increase federal spending
-Issue treasury bonds and cut funding to various federal projects but not increase federal spending
-None of these
Issue treasury bonds and cut funding to various federal projects but not increase federal spending

Answers

The federal government actions that would likely make sense if a tax system fails to provide sufficient tax revenue is "Issue treasury bonds and cut funding to various federal projects but not increase federal spending". Thus, Option D is correct.

If the federal government is not receiving sufficient tax revenue, it would make sense to issue treasury bonds in order to raise funds. However, it would also be important to cut funding to various federal projects in order to reduce spending and prevent further financial strain. Increasing federal spending would only exacerbate the problem and lead to further financial difficulties.

Therefore, the most sensible course of action would be to issue treasury bonds and cut funding to various federal projects, while avoiding an increase in federal spending.

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Bijoux Company has sales of $40,000, beginning inventory of $5,000, purchases of $25,000, and ending inventory of $7,000. The cost of goods sold is:
a.$23,000
b.$30,000
c.$40,000
d.$17,000

Answers

Cost of Goods Sold( COGS) is the total cost of force vended by the business. It's option A, $ 23,000.

Cost of sales is the book value of goods vended during the time. Cost is allocated to individual particulars using one of several formulas, including specific ID, first- by, first- out, or average cost.

COGS are only grounded on costs directly used to induce that profit, similar as Company force or labor costs attributable to specific deals.

Given:

net sales = $40,000

Inventory:

to start = $5,000

in the end = $7,000

purchases = $25,000

Cost of Goods Sold = Beginning of Inventory + Purchases - Inventory

at the end

cost = 5,000 + 25,000 - 7,000 = $23,000.

So your cost of goods sold is $23,000.

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What do firms that thrive in two sided or platform markets often do not?

Answers

Firms that thrive in two-sided or platform markets often employ complex pricing strategies that balance the needs and interests of both sides, prioritize network effects, and build a large user base over short-term profits.

Since they confront particular difficulties and possibilities, businesses that succeed in two-sided or platform marketplaces sometimes don't set pricing in a conventional way. These businesses frequently use more sophisticated pricing strategies that balance the needs and interests of both sides of their market, as opposed to just charging a set price for their goods or services. By charging the other half of the market greater rates to cover costs and make a profit, they may give one side of the market reduced pricing or even free services to entice them. However, profitable platform companies may put a higher priority on network effects and accumulating a sizable user base than quick profits, spending a lot of money on marketing and user acquisition to increase their market share.

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T/F the b2b buying process tends to be more formal than b2c buying.

Answers

TRUE - The B2B (business-to-business) purchasing procedure is typically more formal than the B2C (business-to-consumer) purchasing process.

Because businesses have more sophisticated needs for products and services and higher financial stakes at stake, the phrase "The b2b buying procedure tends to be more formalized than b2c buying" is accurate.

B2B buyers must take into account a number of variables, including quality, price, delivery dates, and any added services the supplier might provide. They must make sure the supplier can fulfill the company's unique requirements and that the deal benefits the business. There may be a lot of paperwork, research, and negotiating involved with this.

B2B buyers must also be aware of the contractual and legal ramifications of the acquisition and ensure that all parties are informed of the details.

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