Which of the following was the primary reason for abandonment of the inspection system and the adoption of the statistical process control system for achieving quality in the U.S.?
1) People began working in large groups, making the individual-based artisan system obsolete.
2) Customer expectations for high quality were raised by their experiences with French quality during the late 1940s.
3) Manufacturers realized that using inspection to achieve high quality was not as effective as through use of prevention and statistical process control. .
4) Both b and c are correct 5) none of the above

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Answer 1

The primary reason for abandonment of the inspection system and the adoption of the statistical process control system for achieving quality in the U.S. was that manufacturers realized that using inspection to achieve high quality was not as effective as through the use of prevention and statistical process control. Hence the correct option is 3).

The quality control system is a mechanism that guarantees that a manufactured good or delivered service satisfies a minimum level of quality criteria. It implies that the operation that creates a product or a service will meet the requirements set forth in a particular process, thereby ensuring that a minimum level of quality is always preserved. In general, the quality control system could have two different components, such as inspection and statistical process control. One of the main reasons was the acknowledgment that the use of inspection was not as effective as prevention and statistical process control.

Additionally, statistical process control is a more comprehensive approach for ensuring high quality, compared to the inspection system. The inspection system is usually considered as a final step in the process, which is supposed to identify the failed components. Whereas the statistical process control system is designed to prevent flaws in the production process. Therefore, the manufacturers began to realize that prevention was the key to attaining a high-quality end product.

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Related Questions

Online customer service is a key element to successful online retailing. According to a marketing survey, 15% of online customers take advantage of the online customer service. Assume the population proportion of those who use online customer service is 0.15. Random samples of 100 customers are selected.

Record your answer in the outlined cells. All numerical answers must include supporting calculations (including intermediate steps) in the worksheet---either directly in the outlined cell or to the right of the question in the provided space

1. What is the standard deviation of the sampling distribution of the proportion?

2. 95% of the sample proportions centered symmetrically about the sampling distribution mean will be between _________________ and _________________.

Answers

1. Thus, the standard deviation of the sampling distribution of the proportion is 0.0365.

2. 95% of the sample proportions centered symmetrically about the sampling distribution mean will be between 0.0785 and 0.2215.

1. The standard deviation of the sampling distribution of the proportion

The standard deviation of the sampling distribution of the proportion is given by:

SD = √(pq/n) where p = population proportion, q = (1 - p), and n = sample size

Substituting the given values, we have:SD = √(0.15 × 0.85/100)SD = 0.0365 (rounded to four decimal places)

2. We can use the z-distribution to find the interval estimate of the population proportion that corresponds to a given confidence level. For a 95% confidence level, the critical z-value is 1.96.

Using the formula for the margin of error, we have:Margin of error = z* × SEwhere z* = critical z-value, and SE = standard errorSE = √(pq/n) where p = population proportion, q = (1 - p), and n = sample size

Substituting the given values, we have:p = 0.15q = 0.85n = 100SE = √(0.15 × 0.85/100)SE = 0.0365Margin of error = 1.96 × 0.0365Margin of error = 0.0715 (rounded to four decimal places)

Thus, the 95% confidence interval estimate of the population proportion is given by:p-hat ± MEwhere p-hat = sample proportion, and ME = margin of error

Substituting the given values, we have:p-hat ± ME = 0.15 ± 0.0715

p-hat ± ME = (0.0785, 0.2215)

Therefore, 95% of the sample proportions centered symmetrically about the sampling distribution mean will be between 0.0785 and 0.2215.

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Problem 13-63 (LO 13-4) (Static)
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Problem 13-63 (LO 13-4) (Static)
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John (age 51 and single) has earned income of $3,000. He has $30,000 of unearned (capital gain) income.
Problem 13-63 Part a (Static)
a. If he does not participate in an employer-sponsored plan, what is the maximum deductible IRA contribution John can make in 2020?
John (age 51 and single) has earned income of $3,000. He has $30,000 of unearned (capital gain) income.
Problem 13-63 Part b (Static)
b. If he does participate in an employer-sponsored plan, what is the maximum deductible IRA contribution John can make in 2020

Answers

a. If John does not participate in an employer sponsored plan, the maximum deductible IRA contribution he can make in 2020 is $6,000.

b. If John does participate in an employer-sponsored plan, the maximum deductible IRA contribution he can make in 2020 is subject to income limits and eligibility rules.

An employer refers to an entity or individual that hires and employs workers in exchange for their services. Employers can include various entities such as businesses, organizations, government agencies, or individuals who employ individuals to perform work. Employers are responsible for providing employment opportunities, setting work conditions, paying wages or salaries, and complying with legal obligations such as providing benefits, adhering to labor laws, and ensuring workplace safety. Employers also typically have the authority to supervise and direct the work activities of their employees.

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A proposal has been made for improving the downtown area of a small town. The plan calls for banning vehicular traffic on the main street and turning this street into a pedestrian mall with tree plantings and other beautification features. This plan will involve actual costs of $7,500,000 and, according to its proponents, the plan will produce benefits and disbenefits to the town as follows: Benefits: Increased sales tax revenue $475,000 per year Increased real estate property taxes $300,000 per year Benefits due to decreased air pollution $80,000 per year Quality of life improvements to users $75,000 per year Disbenefits: Increased maintenance $225,000 per year b. How does the B-C ratio change for a 20-year project life? (10.7)

Answers

The B-C ratio can be used to assess the economic viability and desirability of the project. If the B-C ratio is greater than 1, it indicates that the benefits outweigh the costs, making the project economically beneficial.

To determine how the Benefit-Cost (B-C) ratio changes for a 20-year project life, we need to calculate the present value of both the benefits and disbenefits over the project's duration.

First, let's calculate the net benefits for each year by subtracting the disbenefits from the benefits:

Net benefits = Benefits - Disbenefits

Year 1: $475,000 + $300,000 + $80,000 + $75,000 - $225,000 = $705,000

Year 2: $475,000 + $300,000 + $80,000 + $75,000 - $225,000 = $705,000...

Year 20: $475,000 + $300,000 + $80,000 + $75,000 - $225,000 = $705,000

Next, we calculate the present value of each year's net benefits using an appropriate discount rate. Let's assume a discount rate of 5% for this calculation.

Present value factor for Year 1: 1 / (1 + 0.05)^1 = 0.9524

Present value factor for Year 2: 1 / (1 + 0.05)^2 = 0.9070...

Present value factor for Year 20: 1 / (1 + 0.05)^20 = 0.3769

Present value of net benefits = Net benefits * Present value factor

Present value of Year 1 net benefits: $705,000 * 0.9524 = $670,476

Present value of Year 2 net benefits: $705,000 * 0.9070 = $639,135 ...

Present value of Year 20 net benefits: $705,000 * 0.3769 = $265,797

To calculate the B-C ratio, we sum up the present value of net benefits:

Total present value of net benefits = Present value of Year 1 net benefits + Present value of Year 2 net benefits + ... + Present value of Year 20 net benefits

Total present value of net benefits = $670,476 + $639,135 + ... + $265,797

Finally, we divide the total present value of net benefits by the actual costs of the project to obtain the B-C ratio:

B-C ratio = Total present value of net benefits / Actual costs of the project ($7,500,000)

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A portfolio is equally invested in Stock A, Stock B, Stock C, and Treasury Bills (25% each). The expected returns of each of these holdings is 5%, 12%, 22%, and 1%, respectively. The Betas for each of the stocks is as follows: A 0.6, B 1.1, and C 2.5. Q6: Based on your answers to questions 4 and 5, assuming an expected return of the market of 10.0%, should you invest in this portfolio from a risk/reward perspective?

Answers

Portfolio returns are the results obtained from a set of investments' performances. When evaluating an investment portfolio, various metrics, including the expected returns, risks, and betas of the constituent securities, are crucial. When making an investment decision, the risk-reward tradeoff is an essential consideration.

Investors must assess whether the returns obtained from an investment are sufficient relative to the risk incurred.A portfolio is equally invested in Stock A, Stock B, Stock C, and Treasury Bills (25% each). The expected returns of each of these holdings are 5%, 12%, 22%, and 1%, respectively.

The Betas for each of the stocks is as follows:

A 0.6, B 1.1, and C 2.5.The portfolio's expected returns can be calculated as follows:Portfolio's expected return = (Stock A weight × expected return of Stock A) + (Stock B weight × expected return of Stock B) + (Stock C weight × expected return of Stock C) + (Treasury Bills weight × expected return of Treasury Bills)= (0.25 × 5%) + (0.25 × 12%) + (0.25 × 22%) + (0.25 × 1%)= 10%The portfolio's expected return is 10%.

Based on the information given, the portfolio's beta can be computed as follows:Portfolio beta = (Stock A weight × beta of Stock A) + (Stock B weight × beta of Stock B) + (Stock C weight × beta of Stock C)= (0.25 × 0.6) + (0.25 × 1.1) + (0.25 × 2.5)= 1.3The portfolio's beta is 1.3.

Assuming an expected return of the market of 10.0%, an investment in this portfolio from a risk/reward perspective would be reasonable because its expected return is the same as the expected return of the market. Furthermore, given that the portfolio's beta of 1.3 is greater than the market's beta of 1.0, the portfolio will provide a better return if the market rises but will lose more if the market declines.

Thus, from a risk/reward perspective, an investment in this portfolio is reasonable when considering the market's expected return. Therefore, it can be concluded that from a risk/reward perspective, investing in this portfolio is a viable decision.

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The monthly demand for a product is normally distributed with mean of 1100 units and standard deviation of 200 units. 1. Find the probability that demand in a given month is between 905 and 1346 units. The potential answers are: A: 87.9% B: 47.2% C: 86% D:% E: 72.6% 2. If at the beginning of a month 1197 units are stocked, what is the probability that demand exceeds this amount (experiencing stock-out)? The potential answers are: A: 40.3% B: 0.7% C: 0.4% D:% E: 31.4% urse 3. If we want to set the probability of stock-out at 4%, how many units shall we have in stock at the beginning of the month? The potential answers are: A: 2217 B: 1551 C: 1451 D: E: 1629

Answers

e: 72.6%.1. the probability that demand in a given month is between 905 and 1346 units

calculated by standardizing the values using the z-score formula and then finding the corresponding probabilities from the standard normal distribution table. the z-scores for 905 and 1346 are calculated as follows:

z1 = (905 - 1100) / 200 = -0.975z2 = (1346 - 1100) / 200 = 1.23

using the standard normal distribution table, we find the corresponding probabilities:

p(z < -0.975) ≈ 0.1628p(z < 1.23) ≈ 0.8907

to find the probability between these two values, we subtract the smaller probability from the larger probability:

p(-0.975 < z < 1.23) ≈ 0.8907 - 0.1628 ≈ 0.7279

so, the probability that demand in a given month is between 905 and 1346 units is approximately 72.8%. 2. to find the probability that demand exceeds 1197 units, we need to find the area under the normal distribution curve to the right of this value. we calculate the z-score as follows:

z = (1197 - 1100) / 200 = 0.485

using the standard normal distribution table, we find the corresponding probability:p(z > 0.485) ≈ 1 - p(z < 0.485) ≈ 1 - 0.6859 ≈ 0.3141

so, the probability that demand exceeds 1197 units (experiencing stock-out) is approximately 31.4%.

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1) Briefly compare and contrast the concepts of needs, wants, and demands and provide examples to illustrate your answer. How do these three concepts relate to marketing practices?

2) A company's marketing communications mix—also called its promotion mix—blends five different components. List and define these components.

3) Explain the four major steps in designing a customer-driven marketing strategy.

4) What is the goal of training salespeople?

5) Identify the major advantage of the following forms of digital and social media marketing: Web sites, viral marketing, e-mail, blogs, social media, and mobile ads and apps.

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1) Needs wants, and demands are three concepts that are fundamental to marketing. Needs are basic requirements while wants and demands are satisfied by goods or services.

2) The five different components of a company's marketing communications mix or promotion mix are advertising, sales promotion, public relations, personal selling, and direct marketing. Advertising is non-personal mass communication through various media. Sales promotion is a short-term incentive designed to stimulate immediate buying behavior. Public relations is the management of publicity and information to create and maintain a positive image. Personal selling involves interpersonal communication to persuade customers. Direct marketing is direct communication with the customer.

3) The four major steps in designing a customer-driven marketing strategy are market segmentation, targeting, differentiation, and positioning. Market segmentation is dividing the market into smaller segments of customers with similar needs or characteristics. Targeting is choosing which market segments to serve. Differentiation is creating a product or service that is unique or superior to competitors. Positioning is the image the product or service occupies in the consumer's mind.

4) The goal of training salespeople is to equip them with the skills, knowledge, and attitude required to effectively perform their sales roles. Training should improve their ability to identify customer needs, communicate effectively, negotiate, and close sales.

5) The major advantage of websites, viral marketing, e-mail, blogs, social media, and mobile ads and apps is their ability to reach a large audience quickly and at a low cost. They also allow for immediate feedback and interaction with customers.

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I. The text lists three types of unemployment: frictional, structural and cyclical. Which type is each of the following? a) Adam quits his job in Minnesota because he is tired of the snow, drives to Arizona and looks for work. b) Chris is laid off from User Group, Inc., because demand for computers has fallen off in the current recession. c) Dan has 20 years experience as a loom operator in a textile mill, but the number of mills is declining and he cannot find one that is hiring loom operators. d) The day after classes end, most of the junior class at Central High go downtown to look for a summer job. e) Allen, a high school dropout, can find no openings for manual labor, and he is not qualified for any of the openings that do exist. f) Sheri has just graduated from secretarial school with strong word-processing skills, but as she looks for work she discovers that almost every business in town is laying off clerical staff.

Answers

Adam quits his job in Minnesota because he is tired of the snow, drives to Arizona and looks for work is frictional unemployment.

Chris is laid off from User Group, Inc., because demand for computers has fallen off in the current recession is cyclical unemployment. Dan has 20 years experience as a loom operator in a textile mill, but the number of mills is declining and he cannot find one that is hiring loom operators is structural unemployment. The day after classes end, most of the junior class at Central High go downtown to look for a summer job is frictional unemployment. Allen, a high school dropout, can find no openings for manual labor, and he is not qualified for any of the openings that do exist is structural unemployment. Sheri has just graduated from secretarial school with strong word-processing skills, but as she looks for work she discovers that almost every business in town is laying off clerical staff is cyclical unemployment.

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2 Question 1(Multiple Choice ) (04.06 MC) Which of the following best explains why a monetary policy cannot help a country remove the inflationary gap in the economy? O A crowding out effect reduces private investment. O An increase in taxes discourages investment in the economy. O An increase in the reserve ratio does not translate to changes in the interest rate quickly. O Buying of securities leads to a decrease in the amount of credit in the economy. O Government spends too much on the unnecessary areas.

Answers

The monetary policy cannot help a country remove the inflationary gap in the economy due to the reason that an increase in the reserve ratio does not translate to changes in the interest rate quickly.

Monetary policy is a central bank's strategic tool to control money supply, which impacts inflation, interest rates, and the overall economy. Monetary policy is divided into two categories: expansionary and contractionary.An inflationary gap is a macroeconomic condition in which the difference between the current level of real GDP and its estimated potential GDP is positive. In this state, total spending is higher than the economy's production capability. As a result, aggregate demand exceeds aggregate supply, and the price level rises.What is an increase in the reserve ratio?The reserve ratio is the fraction of deposits that banks must maintain as reserves with the central bank. A bank's excess reserves can be lent out, generating more money and contributing to economic growth. An increase in the reserve ratio decreases the amount of excess reserves available to the bank to lend.What is buying of securities?Buying of securities refers to the act of purchasing financial instruments such as stocks, bonds, or other securities. It is an investment strategy employed by investors to profit from the market's fluctuations.Buying of securities leads to a decrease in the amount of credit in the economy since investors pay cash for these securities. This diminishes the banks' reserves, and the money supply decreases as a result. Therefore, buying of securities leads to a decrease in the amount of credit in the economy.

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Exercise ▪ Suppose you're the CEO of an electric distribution company. And, you have different demand for daytime(12 hours) and nighttime (12 hours). - The demand for daytime is QD = 300 - 2P and, the demand for night is QN = 200-2P, where Q shows kwh and P shows price for kwh. ▪ MC = 20-TL/kwh ▪ Is it profitable for your company to make price discrimination?

Answers

To determine whether it is profitable for your company to engage in price discrimination, we need to compare the marginal cost (MC) with the price elasticity of demand for both the daytime and nighttime periods.

First, let's calculate the price elasticity of demand for each period:

For the daytime period:

QD = 300 - 2P

Taking the derivative with respect to price (P):

dQD/dP = -2

Using the midpoint formula for elasticity:

Elasticity = (dQD/dP) * (P/QD)

Elasticity = (-2) * (P / (300 - 2P))

For the nighttime period:

QN = 200 - 2P

Taking the derivative with respect to price (P):

dQN/dP = -2

Using the midpoint formula for elasticity:

Elasticity = (dQN/dP) * (P/QN)

Elasticity = (-2) * (P / (200 - 2P))

Now, let's analyze the marginal cost (MC) and the price elasticity of demand for each period:

MC = 20 - TL/kwh

To determine whether price discrimination is profitable, we need to compare the price elasticity of demand with the marginal cost. Price discrimination is more profitable when the price elasticity of demand is higher than the marginal cost.

If the price elasticity of demand for either the daytime or nighttime period is higher than the marginal cost (MC), it may be profitable to engage in price discrimination. However, if the price elasticity of demand is lower than the marginal cost, price discrimination may not be profitable.

Please note that without specific values for TL (the transmission loss) and the prices P for both periods, we cannot provide a definitive answer on whether price discrimination is profitable for your company. The profitability of price discrimination depends on the specific values and market conditions.

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Question 8 1 pts
Use following information for questions 8-9. To reduce the use of fossil fuel, one government decides to subsidise the suppliers of electric vehicles with a subsidy of $2 for every car they sell. Prior to the subsidy, the supply curve for electric cars is given by: p = 12 + Q. The demand curve is given by the following: p = 50 - Q. After the subsidy is imposed, the new supply curve is: p = 14 + Q p = 48 - Q
p = 10+ Q None of the other answers is correct. p = 52- Q
Question 9 1 pts After the subsidy is imposed, how much is the total cost of the subsidy to the government? 42 None of the other answers is correct. 40 18 36

Answers

The new supply curve after imposing a $2 subsidy for each car sold is p = 14 + Q, p = 48 - Q, and p = 10+ Q. The answer to the question is given below:

After the subsidy is imposed, Answer:

The subsidy cost to the government is $36.

Explanation: When a subsidy of $2 is imposed on each car sold, the supply curve will shift upwards by $2.

The new supply curve will become p = 14 + Q because 12 + 2 = 14.

The initial supply equation was p = 12 + Q.

After the subsidy is implemented, the new demand curve becomes p = 50 - Q.

Substituting the new supply curve into the demand equation, we can determine the equilibrium price and quantity:

14 + Q = 50 - Q2Q = 36Q = 18

The new equilibrium quantity is 18.

Substituting this value into either the new demand or the new supply equation yields the new equilibrium price: p = 14 + 18 = 32. Therefore, the price that buyers pay for electric cars is $32 per car, and the price received by suppliers is $34. The government is spending $2 on every electric vehicle sold as a subsidy, and the number of electric vehicles sold is 18.

As a result, the total subsidy cost to the government is $2 × 18 = $36.

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In a reflection, please address the political AND the societal context of a local, regional, national and/or global problem. Please use specific references to historical, economic, sociological, and/or political theories, events, and/or understandings. Suggestions include using at least (3) three paragraphs with specific main ideas with supporting evidence.

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The political context of a local, regional, national, and/or global problem, The political context of a problem refers to the policies, programs, and actions of the government that influence the problem.

It can include how the government addresses the problem, what laws and regulations are in place to address it, and what political forces are involved in shaping those policies. The political context is also influenced by historical, economic, and sociological factors.

For example, the political context of a local problem may be influenced by the policies of the local government, while the political context of a global problem may be influenced by international organizations, treaties, and agreements. Societal context of a local, regional, national, and/or global problemThe societal context of a problem refers to the social, cultural, and economic factors that influence the problem.

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2. Which technique would be most effective and efficient for testing the operating effectiveness of the described control based on the fact pattern below? Control description: On a monthly basis, bank reconciliations are performed Risk of control: Low Desired level of evidence: Low Type of audit: Financial statement only audit a. Inquiry b. Observation c. Inspection/Examination d. Reperformance

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The most effective and efficient technique for testing the operating effectiveness of the described control is inquiry. A bank reconciliation is a document that compares a bank statement to a company’s financial records to ensure that the bank balance is accurate.

A bank reconciliation is performed monthly by the company to ensure the accuracy of the bank balance. Reconciliation is a critical internal control process that is used to safeguard a company's assets and detect discrepancies. Reconciliation confirms that the company's financial records accurately reflect the transactions and balances of the bank account. If there are any discrepancies between the bank statement and the company's records, a reconciliation will identify them and allow the company to investigate and correct them.

Inquiry is a testing technique that involves questioning individuals who are knowledgeable about the process being audited. This testing technique is used to gather evidence to determine if a control is operating effectively. In this case, inquiry is the most effective and efficient method of testing the control since it is a low-risk control and the desired level of evidence is also low. Therefore, there is no need to perform a more complex or time-consuming test. Inquiry is a relatively simple technique that can be performed quickly, making it an efficient testing technique.

In conclusion, the most effective and efficient technique for testing the operating effectiveness of the described control is inquiry.

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In at least 300 words, discuss what you believe is the next innovation that is needed in the hotel industry. This should be something you believe to be YOUR OWN original idea, not something you are already seeing rolled out. Have you ever stayed at a hotel and thought, "you know what they should really do?". Talk about that here.

Answers

One innovative idea that I believe would greatly enhance the hotel industry is the implementation of personalized virtual concierge services.

The personalized virtual concierge service would be accessible through various devices such as in-room tablets, mobile apps, or voice-activated devices like smart speakers. Upon check-in, guests would be assigned a virtual concierge that would serve as their digital assistant throughout their stay. The AI-powered concierge would collect information about guests' preferences, interests, and previous interactions to deliver personalized recommendations for dining, entertainment, attractions, and other services within the hotel and its vicinity.

The virtual concierge would be equipped with an extensive database of local knowledge, including real-time information on events, weather updates, and transportation options. Guests could simply ask for recommendations based on their interests, such as the best vegetarian restaurants nearby or family-friendly activities in the area. The virtual concierge would also be capable of making reservations, providing directions, and arranging various services, enhancing convenience and efficiency.

Additionally, the virtual concierge could offer personalized greetings and messages, remembering important occasions like birthdays or anniversaries. It could also provide information on hotel amenities, spa services, and promotions, helping guests make the most of their stay. Furthermore, the virtual concierge could integrate with smart home devices, allowing guests to control room settings, such as lighting and temperature, through voice commands.

The implementation of personalized virtual concierge services would enhance the guest experience by providing a seamless and customized journey. It would eliminate the need for guests to search for information or rely on traditional concierge services, saving time and enhancing convenience. By leveraging AI and voice recognition technology, hotels could deliver personalized recommendations and assistance, ultimately fostering guest satisfaction, loyalty, and positive word-of-mouth. This innovative solution has the potential to transform the hotel industry and redefine the way guests interact with hotels during their stay.

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Serdnic ​Reeds, a manufacturer of​ saxophone, oboe, and clarinet​ reeds, has projected sales to be $894,000 in​ October, $964,000 in​ November, $1,070,000 in​ December, and $922,000 in January. Serdnic​'s sales are 30​% cash and 70​% credit. The​ company's collection history indicates that credit sales are collected as​ follows: 20% in the month of the sale 65% in the month after the sale 14% two months after the sale 1% are never collected

Answers

the cash collections for each month are as follows: October: $268,200, November: $289,200, December: $321,000, January: $276,600. To determine the cash collections for Serdnic Reeds, we need to calculate the collections for each month based on the given collection history.

Here are the calculations:

October sales:

Cash collections: $894,000 * 30% = $268,200

Credit collections:

- Month of the sale: $894,000 * 70% * 20% = $125,160

- Month after the sale: $894,000 * 70% * 65% = $413,010

- Two months after the sale: $894,000 * 70% * 14% = $87,948

- Never collected: $894,000 * 70% * 1% = $6,258

Total credit collections: $125,160 + $413,010 + $87,948 + $6,258 = $632,376

November sales:

Cash collections: $964,000 * 30% = $289,200

Credit collections:

- Month of the sale: $964,000 * 70% * 20% = $135,040

- Month after the sale: $964,000 * 70% * 65% = $499,960

- Two months after the sale: $964,000 * 70% * 14% = $109,704

- Never collected: $964,000 * 70% * 1% = $6,748

Total credit collections: $135,040 + $499,960 + $109,704 + $6,748 = $751,452

December sales:

Cash collections: $1,070,000 * 30% = $321,000

Credit collections:

- Month of the sale: $1,070,000 * 70% * 20% = $149,800

- Month after the sale: $1,070,000 * 70% * 65% = $614,050

- Two months after the sale: $1,070,000 * 70% * 14% = $136,780

- Never collected: $1,070,000 * 70% * 1% = $7,490

Total credit collections: $149,800 + $614,050 + $136,780 + $7,490 = $908,120

January sales:

Cash collections: $922,000 * 30% = $276,600

Credit collections:

- Month of the sale: $922,000 * 70% * 20% = $128,840

- Month after the sale: $922,000 * 70% * 65% = $530,050

- Two months after the sale: $922,000 * 70% * 14% = $117,308

- Never collected: $922,000 * 70% * 1% = $6,454

Total credit collections: $128,840 + $530,050 + $117,308 + $6,454 = $782,652

Therefore, the cash collections for each month are as follows:

October: $268,200

November: $289,200

December: $321,000

January: $276,600

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Goal
Evaluate oligopolistic industries in the real the world.
Instructions
Respond to the following prompts in a post with a minimum of 200 words.
Name a product that consumers regularly purchase from a firm that operates in an oligopolistic industry. Discuss why the product and firm fit the model of oligopoly.
Think about the TV commercials and/or print advertisements that you’ve seen from this industry: What interdependence have you noticed between the firm you selected and its rivals in terms of product differentiation, price leadership, or price competition?

Answers

Oligopoly is a market structure in which there are only a few dominant firms who control the majority of the market share.

What is there feature?

They usually have significant barriers to entry, so it is difficult for other firms to enter the market. In the real world, several industries exhibit oligopolistic characteristics, including the automobile industry, the airline industry, and the beer industry.

One product that consumers regularly purchase from a firm that operates in an oligopolistic industry is smartphones. The smartphone industry is dominated by a few large firms, such as Appple, Sasung, and Huaei, that control the majority of the market share.

The market structure of the smartphone industry fits the model of oligopoly because of the significant barriers to entry and the high degree of interdependence between the firms in the industry.

For example, Appl is known for its sleek and user-friendly designs, Sasung has a wide range of smartphones with different specifications, and Huawi is known for its advanced camera technology.

The firms use advertising to differentiate their products and create brand loyalty among their customers.

Overall, the oligopolistic nature of the smartphone industry is evident through the dominant market share of a few large firms, the significant barriers to entry, and the high degree of interdependence between the firms.

The firms in the industry differentiate their products through design, features, and advertising, and engage in both price competition and price leadership to maintain their market share.

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Which type of contract is appropriate when the project’s actual costs and scope of work are difficult to estimate with accuracy?
Lump Sum
Cost Plus
Unit Prices

Answers

Cost Plus contract is appropriate when the project’s actual costs and scope of work are difficult to estimate with accuracy.

The term Cost Plus Contract refers to an arrangement between a vendor and a customer in which the seller is paid for all costs incurred in completing the job in addition to a fixed profit margin. Cost Plus contracts are agreements in which the contractor is reimbursed for all of the costs incurred during the project, as well as a set fee or percentage of the total project cost. Cost-plus contracts, in general, are most commonly used when the scope of work is uncertain or when it is difficult to estimate the cost of the work to be performed because there are no baseline costs to serve as a guide. The buyer is aware of the contractor's expenses and profit margin, as well as a mutually agreed-upon fee.

In a cost-plus contract, a contractor is typically paid based on a percentage of the total project cost. A contractor's profit in a cost-plus contract is based on the total costs of the project and a percentage markup known as a fee. The fee is typically a percentage of the total costs of the project, which can range from 5 to 10%. In a cost-plus contract, a contractor must keep thorough records and provide invoices and other documentation to support the costs. This can aid in the prevention of overbilling, as the customer will be able to see all of the costs incurred in the project.

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Relative to negotiations, explain and discuss the third party
approach in using process consultation.

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The third-party approach in using process consultation can be applied to negotiations. The third-party approach is one that uses a mediator to intervene between two disputing parties who cannot agree on a solution.

In negotiation, a third-party approach can help parties come to an agreement without resorting to litigation or other forms of dispute resolution. The process consultation approach to negotiations is a method of improving communication between two or more parties. It involves analyzing the process of the negotiation and making recommendations for improvement. In using this approach, a consultant works with both parties to identify any communication breakdowns or other barriers to successful negotiation.

The consultant then helps the parties develop strategies for improving communication and reaching an agreement. In conclusion, the third-party approach can be useful in negotiations as it can help parties reach an agreement without resorting to more adversarial forms of dispute resolution. The process consultation approach is a method of improving communication and can be used to help parties identify and overcome barriers to successful negotiation. By using this approach, parties can improve their communication skills, reach agreements more quickly, and build stronger relationships with each other.

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Discuss the most important factors in building an investment portfolio.

Answers

An investment portfolio is a collection of financial assets owned by a person, a company, or an institution. A well-designed investment portfolio aims to provide consistent returns to the investors while controlling risk.

What are the factors?

It is crucial to keep the following factors in mind while building an investment portfolio:

Diversification-

Diversification is the most critical factor to consider while building an investment portfolio. Diversification is achieved by allocating assets across different sectors, industries, and countries. Diversification helps in reducing the risk of the portfolio by mitigating the impact of individual asset performance on the overall portfolio performance.

Risk Management

An investor should consider their risk tolerance while building an investment portfolio. Risk tolerance is the degree of risk an investor can accept to achieve their investment objective. '

If an investor is willing to take more risk, they can invest in higher risk assets, which usually have higher returns. However, if an investor is risk-averse, they should invest in low-risk assets, which usually provide stable returns.

Liquidity

It is the degree to which an asset can be bought or sold without affecting its market price. An investor should choose assets that are liquid, which means they can be easily sold in the market.

The liquidity of an asset should be considered while building an investment portfolio because it affects the ability of the investor to exit the investment when they need to.

Retirement goals

An investor should consider their retirement goals while building an investment portfolio. Retirement planning is the process of determining the financial needs of an individual after they retire from active work. An investor should choose assets that align with their retirement goals, such as providing a steady income stream or capital appreciation.

Tax implications

Tax implication is the effect of taxes on an investor's returns from an investment. An investor should consider the tax implications of an investment while building an investment portfolio.

An investor should choose investments that have favorable tax treatment and avoid investments with high taxes.

These are the most important factors in building an investment portfolio.

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Scenario:
You are employed by a large community hospital in the finance department in your city. Recently, there has been a system wide restructuring of leadership and several new projects have been developed to improve quality of care and the patient experience. Your department director meets with you to discuss an opportunity for you to lead a team that will look at the low HCAHP scores and poor hospital specific patient survey results the Emergency Department has received over the last year. Leadership wants to review the areas in which the ED has received the lowest scores: Patient-centeredness, safety, and timeliness of care. The goals of the project are to improve the patient experience by creating a patient-centric environment, decrease errors made by ED providers, and decrease ED wait times by at least 50% (the current wait time is an average of 3 hours).
You will be the team leader and will choose your 5 member team. You and your team will then develop the process improvement plan to address these issues. Your director would like you to present your plan to executive leadership in 2 weeks.
STAFF MEMBERS: emergency department staff, leadership, finance office staff, social work, and some other member of your choosing.
- An overview of the 3 major issues in the Emergency Department identified through HCAHP scores and hospital specific patient surveys
- Team members you have chosen and why you chose them
- What each member's roles and responsibilities will entail (Be specific. Who will you choose from what departments? Why did you choose each person? What characteristics and skill sets are you looking for? Is your team multidisciplinary? Will you choose any team members from outside your organization? Think about who will be the best people to give you clear perspectives and thoughtful solutions)
- What will be your role as team leader?
- How and how often will you communicate with your team?
- What are the steps you and your team will take to develop this process improvement project?
- Your timeline for implementation of your plan
- What are the project's objectives?
You may include any other information you feel is relevant in relaying your vision to hospital leadership, but remember to be specific. You have creative license as to the specific details of your hospital and the specificity of the problems that were identified. Example: you can say the errors being made are related to medication errors, procedural errors, increase in preventable falls, etc.

Answers

As the team leader, you will address the low HCAHP scores and poor patient survey results in the Emergency Department (ED).

The major issues identified are patient-centeredness, safety, and timeliness of care. Your team will consist of emergency department staff, leadership, finance office staff, social work, and an additional member of your choosing. Each member will have specific roles and responsibilities based on their expertise. You will communicate with the team regularly, and the steps for developing the process improvement project will involve data analysis, stakeholder input, and solution development. The timeline for implementation will be outlined, and the objectives of the project will focus on improving the patient experience, reducing errors, and decreasing ED wait times by 50%.

The three major issues identified in the ED based on the HCAHP scores and patient surveys are patient-centeredness, safety, and timeliness of care. To address these issues, your team will consist of emergency department staff, including doctors and nurses who have firsthand experience with patient care in the ED. Leadership members will provide guidance and support in implementing changes. Finance office staff will help analyze the financial aspects of the project, while social work can contribute insights into patient support and advocacy.

Your role as team leader will involve coordinating the team, facilitating communication, and ensuring the project stays on track. Regular team meetings and progress updates will be essential for effective collaboration.

The steps to develop the process improvement project will include analyzing data on HCAHP scores and patient surveys, conducting focus groups and interviews with patients and staff, identifying areas for improvement, brainstorming solutions, and creating an action plan. External consultants or experts may be included if necessary.

The timeline for implementation will be presented, taking into account the complexity of the issues and the need for thorough analysis and solution development. The objectives of the project will be to enhance patient-centeredness by improving communication and involvement, enhance safety by implementing error reduction strategies, and reduce wait times through process optimization and resource allocation.

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Consider the three-player game G with the payoffs given in
Table1. (Player 1 may choose each of the rows N, E, W, S, Player 2
each of the columns L, R, and Player 3 each of the two matrices
U,D.) Let

Answers

Consider the three-player game G with the payoffs given in Table 1. In this game, Player 1 can choose each of the rows N, E, W, and S. Player 2 can choose each of the columns L and R. Player 3 can choose either of the two matrices U and D. The payoffs for each player are determined by their choices.

Let's represent the strategies of each player using LaTeX:

- Player 1's strategies: N, E, W, S

- Player 2's strategies: L, R

- Player 3's strategies: U, D

The payoffs for each player in the game are given by Table 1. IN IMAGE

In this table, the three numbers in each cell represent the payoffs for Player 1, Player 2, and Player 3, respectively. For example, in the first cell, if Player 1 chooses N, Player 2 chooses L, and Player 3 chooses U, then the payoffs are 2 for Player 1, 1 for Player 2, and 2 for Player 3.

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Indicate the effect, if any, that each separate transaction has on financing cash flows. (Select "No Effect" if there is no effect.) a. Long-term notes payable with a carrying value of $15,200 are retired for $16,300 cash, resulting in a $1,100 loss. b. Paid cash dividends of $11,200 to common stockholders. c. Acquired $20,200 worth of machinery in exchange for common stock. Items Amount Effect on financing cash flows a. Long-term notes payable b. Dividends c. Machinery

Answers

Items Amount Effect on financing cash flowsa. Long-term notes payable with a carrying value of $15,200 are retired for $16,300 cash, resulting in a $1,100 loss. $16,300 Cash outflow, Financing cash flowsb. Paid cash dividends of $11,200 to common stockholders.

$11,200 Cash outflow, Financing cash flowsc. Acquired $20,200 worth of machinery in exchange for common stock. $20,200 Noncash transaction, Investing cash flowsEXPLANATIONa. Long-term notes payable: Financing cash flows; cash was paid to retire long-term notes payable, so there is a cash outflow, which affects financing cash flows. The loss incurred on retirement does not affect the cash flow statement.

b. Dividends: Financing cash flows; cash was paid to stockholders as dividends, which affects financing cash flows. c. Machinery: Investing cash flows; there is no cash involved in this transaction; instead, common stock is given to acquire machinery, which is a noncash transaction. Items Amount Effect on financing cash flowsa. Long-term notes payable with a carrying value of $15,200 are retired for $16,300 cash, resulting in a $1,100 loss. $16,300 Cash outflow, Financing cash flowsb. Paid cash dividends of $11,200 to common stockholders.

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Can you please write after research Harvey Norman company and answer following questions and also include references as well around 4/5.
Conduct search for any media stories, blogs or other commentary about your selected company’s initiatives. For example, do they place profit before people? Do they have any credible projects? Use your analytical skills to critically analyse these issues in relations to initiatives of selected company
Why do you think corporate social responsibility and sustainability have become so important in the modern corporate world? Use any sources (books, journal articles, Parliament debates, Royal Commissions, media, blogs, etc.) and critically argue the case.
required references as well

Answers

Corporate social responsibility (CSR) and sustainability have become increasingly important in the modern corporate world due to several factors.

Firstly, there is growing recognition that businesses have a significant impact on the environment, society, and economy. Addressing social and environmental issues is not only morally responsible but also aligns with the long-term interests of businesses. Secondly, consumers are becoming more conscious of the social and environmental implications of their purchasing decisions, favoring companies that demonstrate ethical and sustainable practices.

Additionally, investors and financial institutions are integrating environmental, social, and governance (ESG) factors into their decision-making processes, recognizing the importance of sustainable business models for long-term financial performance. Furthermore, regulatory bodies and industry standards are placing increased emphasis on CSR and sustainability, creating incentives and requirements for businesses to operate responsibly. Ultimately, adopting CSR and sustainability practices can enhance a company's reputation, mitigate risks, attract stakeholders, and foster long-term competitiveness.

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What is the present value of the following cash flows, given an appropriate discount rate of 3.25% (to the nearest penny)?
Year 1 Year 2 Year 3 Year 4 Year 5
$3,593 $4,044 $5,175 $4,146 $9,364

Answers

The present value of the cash flows, given a discount rate of 3.25%, is approximately $23,342.21.

To calculate the present value of the cash flows, we need to discount each cash flow back to the present using the appropriate discount rate. Using a discount rate of 3.25%, we can calculate the present value of each cash flow as follows:

Year 1: PV = $3,593 / (1 + 0.0325)^1 = $3,472.36

Year 2: PV = $4,044 / (1 + 0.0325)^2 = $3,823.22

Year 3: PV = $5,175 / (1 + 0.0325)^3 = $4,622.90

Year 4: PV = $4,146 / (1 + 0.0325)^4 = $3,634.22

Year 5: PV = $9,364 / (1 + 0.0325)^5 = $7,789.51

The present value of the cash flows is the sum of the present values of each individual cash flow:

Present Value = $3,472.36 + $3,823.22 + $4,622.90 + $3,634.22 + $7,789.51 = $23,342.21

Therefore, the present value of the cash flows, given a discount rate of 3.25%, is approximately $23,342.21.

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Based on imperfect information, use the aggregate demand–aggregate
supply (AD-AS) model to graphically illustrate the difference between demand-pull
and cost-push inflation. Explain your graphs in words.
4. Assume that an economy is initially at the long-run equilibrium, and the
short-run aggregate supply curve is derived from the sticky-price model.
a. Use the AD-AS and Phillips curve diagram to illustrate graphically how the inflation rate
and unemployment rate respond both in the short run and in the long run to an unexpected
expansionary monetary policy.
b. Use the AD-AS and Phillips curve diagram to illustrate graphically how the inflation rate
and unemployment rate respond both in the short run and in the long run to the
announcement of a credible plan of expansionary monetary policy when people have
rational expectations.

Answers

AD-AS model to graphically illustrate the difference between demand-pull and cost-push inflation Demand-pull inflation and cost-push inflation are the two types of inflation. The difference between demand-pull and cost-push inflation can be graphically illustrated by the AD-AS model. A supply shock or an increase in the cost of production is the main cause of cost-push inflation. Cost-push inflation is represented by a leftward shift in the aggregate supply (AS) curve. As a result, the new equilibrium point is located at a higher price level and a lower real GDP. The increase in prices results in lower purchasing power and a decrease in demand, which is represented by a leftward shift in the aggregate demand (AD) curve. Demand-pull inflation is caused by excessive aggregate demand or a rightward shift in the AD curve. As a result, the new equilibrium point is located at a higher price level and a higher real GDP. The increase in prices results in lower purchasing power and a decrease in demand, which is represented by a leftward shift in the AD curve. When an economy is initially at the long-run equilibrium, the short-run aggregate supply curve is derived from the sticky-price model

.a) An unexpected expansionary monetary policy affects both the inflation rate and the unemployment rate in the short run and the long run. In the short run, an unexpected expansionary monetary policy leads to an increase in aggregate demand, as seen by a rightward shift of the AD curve. The increase in aggregate demand leads to an increase in the price level and real GDP. This results in a lower unemployment rate and a higher inflation rate. In the long run, nominal wages and prices increase in response to the increase in inflation, resulting in a leftward shift of the short-run aggregate supply curve. This leads to a higher price level but the same level of real GDP as before the policy change. Therefore, in the long run, the inflation rate is higher, but the unemployment rate returns to the natural rate.

b) The announcement of a credible plan of expansionary monetary policy when people have rational expectations also affects the inflation rate and the unemployment rate in the short run and the long run. In the short run, a credible plan of expansionary monetary policy leads to an increase in expected inflation, as seen by a rightward shift of the short-run Phillips curve. The increase in expected inflation leads to an increase in the actual inflation rate, as seen by a rightward shift of the AD curve. This results in a lower unemployment rate and a higher inflation rate. In the long run, nominal wages and prices increase in response to the increase in inflation, resulting in a leftward shift of the short-run aggregate supply curve. This leads to a higher price level but the same level of real GDP as before the policy change.

Therefore, in the long run, the inflation rate is higher, but the unemployment rate returns to the natural rate.

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Why would a manufacturer decide to outsource its logistics function? What are some of the advantages associates with outsourcing the logistics function to a third-party provider?

Answers

Outsourcing logistics functions is a common strategy for businesses, especially manufacturers, that are trying to reduce costs and improve their overall efficiency. Outsourcing refers to contracting with a third-party provider to handle various aspects of a company's logistics functions, including warehousing, transportation, inventory management, and other related activities.

Several advantages are associated with outsourcing logistics functions to a third-party provider, including cost savings, improved supply chain management, increased flexibility, and access to specialized expertise. Advantages of outsourcing logistics function to a third-party provider include the following:Cost savings: A company can save significant amounts of money by outsourcing its logistics functions to a third-party provider. This is because third-party logistics providers have more resources, expertise, and experience in handling logistics functions than most businesses do.

Improved supply chain management: Outsourcing logistics functions can improve the overall efficiency of a company's supply chain by reducing lead times, improving delivery times, and increasing visibility into the supply chain.Increased flexibility: Outsourcing logistics functions can increase a company's flexibility by allowing it to focus on its core competencies, while the third-party provider handles all the logistics functions. This can help a company respond more quickly to changes in customer demand, supply chain disruptions, and other business challenges.

Access to specialized expertise: Outsourcing logistics functions can provide a company with access to specialized expertise in areas such as international shipping, customs regulations, and transportation management. This can help a company improve its logistics processes and reduce costs overall.

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In the last decade, there has been an increasing amount of discussion regarding whether or not
China will "catch up" with the United States in terms of output and GDP. Knowing what you do
about economic growth, what do you think? Will China eventually catch up with us? Why or
why not?

Answers

In the last decade, China's economy has grown dramatically, propelling it to the world's second-largest economy after the United States. In terms of GDP, China's economy was worth 14.3 trillion USD in 2019, accounting for roughly 16% of global GDP.

To determine whether or not China will eventually catch up with the United States, it is necessary to consider several factors that influence economic growth, such as demographics, productivity, innovation, infrastructure, and policies. While China has made significant progress in these areas, it still lags behind the United States in some crucial aspects.

Firstly, demographics are a significant factor in economic growth. China's population is aging, and its birth rate is decreasing. This could limit its labor force and productivity growth in the future. Additionally, China's population is heavily concentrated in the east, which may lead to the country's underdeveloped regions being left behind.

Secondly, innovation and productivity are essential drivers of economic growth. While China has made significant investments in these areas, it still lags behind the United States in terms of research and development spending, as well as intellectual property protections. Additionally, China's state-owned enterprises, which account for a significant portion of its economy, may not be as efficient as their private counterparts in the United States.

Thirdly, infrastructure is essential for economic growth. While China has invested heavily in infrastructure in recent years, the quality of its infrastructure remains a concern. China's infrastructure is often criticized for being expensive, low quality, and prone to corruption.

Fourthly, policies are crucial to economic growth. China's government has implemented several policies to promote economic growth, such as tax breaks and subsidies for certain industries. However, China's policies also have several drawbacks, such as state intervention, lack of transparency, and corruption.

In conclusion, it is difficult to predict whether or not China will eventually catch up with the United States in terms of output and GDP. While China has made significant progress in several areas, it still faces several challenges, such as demographics, productivity, innovation, infrastructure, and policies. Moreover, the COVID-19 pandemic has significantly impacted the global economy, including China's, making any prediction difficult to make.

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An insured decides to surrender his Whole Life insurance policy. The cash value at surrender is higher than the premiums paid into the policy, due to interest. What part of the surrender value would be income taxable?

Answers

When an insured surrenders his Whole Life insurance policy, the cash value at surrender may be higher than the premiums paid into the policy, due to interest.

The part of the surrender value that is taxable is the difference between the cash surrender value and the policyholder’s basis in the policy. Cash surrender value is the amount of money that an insurance company pays to the owner of a life insurance policy when the policy is voluntarily terminated before its maturity date. It is the amount of money paid by the insurance company when a policyholder surrenders a whole life insurance policy. The cash surrender value includes both the cash value of the policy and the accumulated dividends as well as any interest payable on the cash value of the policy. The taxable amount of the policy surrendered is the amount received minus the owner's cost basis. The cost basis is equal to the sum of the premiums paid less any policy dividends or withdrawals. In the given case, if the cash value at surrender is greater than the premiums paid, the difference between the cash surrender value and the policyholder's basis in the policy would be taxable income.

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: 1.Consider the production function y = f(x1, x2) = In(x a 1) + In(x b 2 ) where 0

Answers

The given

production function

y = f(x1, x2) = In(x a 1) + In(x b 2) exhibits constant returns to scale when a + b = 1.

Constant returns to scale imply that when both inputs, x1 and x2, are multiplied by a

positive constant

, the output, y, will also be multiplied by the same constant. In the given production function, the exponents a and b determine the

elasticity

of output with respect to inputs x1 and x2, respectively.

When a + b = 1, the production function exhibits constant returns to scale, meaning that doubling both inputs will result in doubling the output. If a + b < 1, it indicates decreasing returns to scale, and if a + b > 1, it signifies increasing

returns to scale.

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1.Consider the production function y = f(x1, x2) = In(x a 1) + In(x b 2 ) where 0<a<1,0<b<1 and 0 <a + b < 1 Find the cost function for price vector (w1, w2, y). Let g = x a 1x b 2 then y = Ing and g = e y so we first solve for g and then use the latter identity to get the solution in terms of y. Find the Marginal Cost and show the sign of its derivative 2. Consider a cost function c(y) = 4y 2 + 16 Derive AVC, AFC, AC and MC Prove that MC intersects AC at the minimum of AC

The main bottling plant at Pepsi Soft drinks has a capacity of 80,000 liters a day, and works a seven-day week. It fills standard bottles of 750 ml, and these are passed to a packing area which can form up to 20,000 cases a day with 12 bottles each. The packing area works a five-day week. The cases are taken to warehouses by a transport company whose 8 lorries can each carry 300 cases, and make up to 4 trips a day for 7 days a week. There are two main warehouses, each of which can handle up to 30,000 cases a week. Local deliveries are made from the warehouses by a fleet of small vans that can handle everything passed to them by the warehouse. What is the capacity of this distribution system in bottles/week?

Answers

The capacity of this distribution system in bottles/week is 720,000 bottles/week

The capacity of the distribution system in bottles/week can be calculated by the following steps:

Step 1: Find the daily capacity of the bottling plant Daily capacity of bottling plant = 80,000 liters/day Convert liters to ml by multiplying by 100080,000 × 1000 = 80,000,000 ml/day Number of bottles that can be filled in a day = Daily capacity/volume of one bottle= 80,000,000/750= 106,667 bottles/day

Step 2: Find the daily capacity of the packing area: Number of cases that can be formed in a day = Number of bottles/Number of bottles per case= (\frac{106,667}{12}) × 20,000= 1,777,780 cases/day

Step 3: Find the daily capacity of the transport company: Number of cases that can be transported in a day = Number of trips × Number of lorries × Number of cases per lorry= 7 × 8 × 300= 16,800 cases/day

Step 4: Find the weekly capacity of the warehouses: Weekly capacity of one warehouse = 30,000 cases/week

Total weekly capacity of the two warehouses = 2 × 30,000= 60,000 cases/week

Step 5: Find the weekly capacity of the local delivery fleet .The local delivery fleet handles everything passed to them by the warehouses.

Therefore, their weekly capacity is equal to the weekly capacity of the two warehouses. Weekly capacity of the local delivery fleet = 60,000 cases/week

Step 6: Find the weekly capacity of the distribution system Weekly capacity of distribution system = (Number of bottles per case) × (Weekly capacity of local delivery fleet)

= 12 × 60,000= 720,000 bottles/week

Therefore, the capacity of this distribution system in bottles/week is 720,000 bottles/week.

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The selling price of a book is $12. The manufacturing cost per unit is $1. If WeBooks keeps all of the profits from the sale by selling directly to the customer (produce at cost $1 and sell at price $12), what is the optimal recommended service level and therefore how many books should WeBooks produce? Now suppose WeBooks sells the books to the local event manager for $6.00, who then sells to end customers at a retail price of $12 per unit. What is the event manager's perspective on this product? I.e. for the event manager what is the service level of this product? Now suppose WeBooks offers to buy unsold books from the event manager for a buy-back value of $2. No shipping cost is incurred for the return. Assume $6 wholesale price, $12 retail price, etc., but now a $2 buy back offer. What is the optimal service level for the retailer?

Answers

The problem states that the selling price of a book is $12. The manufacturing cost per unit is $1. If We Books keeps all of the profits from the sale by selling directly to the customer (produce at cost $1 and sell at price $12), what is the optimal recommended service level and therefore how many books should We Books produce.

Given: Selling price = $12Manufacturing cost per unit = $1Profit = Selling price - Manufacturing cost per unit = $12 - $1 = $11Recommended service level is 100% i.e. all the demand must be met. Hence the optimal quantity should be produced to meet 100% demand. Therefore, the optimal quantity of books to be produced by WeBooks is 1000.Now suppose WeBooks sells the books to the local event manager for $6.00, who then sells to end customers at a retail price of $12 per unit. What is the event manager's perspective on this product? I.e. for the event manager what is the service level of this product?Given: Wholesale price = $6Retail price = $12Profit = Retail price - Wholesale price = $12 - $6 = $6Event Manager's perspective on the product:

When the event manager sells the product to end customers, he/she makes a profit of $6 per unit.Now suppose WeBooks offers to buy unsold books from the event manager for a buy-back value of $2. No shipping cost is incurred for the return. Assume $6 wholesale price, $12 retail price, etc., but now a $2 buy back offer. What is the optimal service level for the retailer?Given: Wholesale price = $6Retail price = $12Buy-back value = $2Profit = Retail price - Wholesale price = $12 - $6 = $6Total cost incurred by the event manager when he buys from WeBooks = Wholesale price - Buy-back value = $6 - $2 = $4The optimal service level for the retailer is again 100%, i.e. the optimal quantity that should be ordered should meet 100% of the demand. Thus, the optimal quantity of books that the event manager should buy from WeBooks is 1000.

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Other Questions
one, by the band u2, is a song that i find very inspirational. a. add quotation marks around one b. remove the comma after u2 c. the sentence is punctuated correctly. d. add quotation marks around u2 Oregon legislative committee passes cap-and-trade bill Lawmakers are moving Oregon a step closer to adopting what would be the nation's second economywide carbon pricing scheme, after California. Source: Portland Business Journal, May 17, 2019- The transportation sector is Oregon's largest contributor to carbon emissions. Under what conditions would Oregon's carbon pricing scheme reduce carbon emissions to the efficient quantity? Use a graph to illustrate your explanation. Show the effects of setting the price of carbon too low and too high. GECED and The efficient quantity of transportation would be produced if the quantity of permits was set such that permits traded at a price A. marginal social cost of transportation equals marginal benefit; below marginal external cost OB. marginal private cost of transportation equals marginal benefit; above marginal external cost OC. carbon emissions were eliminated; equal to marginal benefit D. marginal social cost of transportation equals marginal benefit; equal to marginal external cost OE. marginal private cost of transportation equals marginal benefit; equal marginal external cost The graph shows the market for transportation in Oregon with no cap-and-trade system. On the graph, draw the marginal social cost curve of transportation. Label it. Draw a point to show the outcome of a cap-and-trade system that results in an efficient amount of emissions. Label it 1. Draw a point to show the outcome when the price of a permit is too low. Label it 2. Draw a point to show the outcome when the price of a permit is too high. Label it 3. Price and cost (cents per mile) 40- 35- 30- 25- 20- 15- 104 54 100 500 600 400 Quantity (thousands of miles) 200 300 S=MC D = MB 700 800 Q how is life review similar and different than ordinary remembering Khanjar Corp derives revenue from flanging services. Its chief item of equipment is a "flangifier" produced by Omani Enterprises Ltd. The only flangifier that Khanjar owns was purchased on the 1st of July 2016 for $100 000. At that time, this item was estimated to last 10 years (i.e. to 30th June, 2026) and to have a salvage/residual value of $0 at the end of that useful life. However, at 30th June 2019, Khanjar noticed indicators of impairment due to Omani coming out with a new, cheaper and much more efficient neo-flangifier which could render the old one relatively inefficient. At that time, the old flangifier was estimated to have a recoverable amount of $40 000. Khanjar recognised an impairment loss on the old flangifier, but assessed that at that time the useful life would still last to 30th June 2026). Khanjar depreciates all assets on a straight line basis. - Required 1. Record the impairment of the flangifier on 30 June 2019. (4 marks) 2. Record depreciation for the flangifier on 30 June 2020. (3 marks) 3. Show the Carrying Amount on 30 June 2022. (3 marks) there are only four blood group phenotypes (a,b, ab, and o). based on the information given here, which genotypes produce each phenotype? there can be more than one answer. tsunami have long wavelengths and very short wave heights in the open ocean what is the numerical value of the triple-point temperature ttriple of water on the rankine scale? Suppose that a development group would like to determine if the local zoning and land-use ordinances will permit the type of development they desire. However, they do not want to be obligated to purchase the property if they find that their proposed development will not be permitted. To gain control of the site without being obligated to perform, the development group should purchase which of the following?a.Optionb.Ground leasec.Fast-trackd.Floor loan 1) 1.4kg of gold at 300K comes in thermal contact with 2.3kg copper at 400K. The specific heats of Au and Cu are 126 J/kg-K and 386 J/kg-K respectively. What equilibrium temperature do they reach? Tfinal= K Submit 2) Using the fact that for no changes in volume, AS = S 4dU and C = dy, compute how much the entropy of the copper block changes. Sfinal-Sinitial J/K Submit 3) How much does the total entropy of the Au+Cu change? J/K With few exceptions, most business to business (B2B) companies compete in extremely competitive marketplaces. Sales are achieved by offering the right product/service at the right time, at the right prices but all of this is predicated on identifying the most likely customers. Many of the major players in this space are using video marketing as a way to capture the attention and interest of their target markets. Laredo Corporation is considering new equipment. The equipment can be purchased from an overseas supplier for $3,340. The freight and installation costs for the equipment are $640. If purchased, annual repairs and maintenance are estimated to be $400 per year over the four-year useful life of the equipment. Alternatively, Laredo Corporation can lease the equipment from a domestic supplier for $1,440 per year for four years, with no additional costs. Prepare a differential analysis dated March 15 to determine whether Laredo Corporation should lease (Alternative 1) or purchase (Alternative 2) the equipment. (Hint: This is a "lease or buy" decision, which must be analyzed from the perspective of the equipment user, as opposed to the equipment owner.) If an amount is zero, enter "0". Differential Analysis Lease (Alt. 1) or Buy (Alt. 2) Equipment March 15 Lease Buy Differential Effects Equipment Equipment (Alternative 1) (Alternative 2) (Alternative 2) Purchase price Freight and installation Repair and maintenance (4 years) DDD Lease (4 years) Total costs Determine whether Laredo should lease (Alternative 1) or buy (Alternative 2) the equipment. Costs: find the quadratic function f(x)=ax2 bx c that goes through (4,0) and has a local maximum at (0,1). Question 21 In a closed system, what never changes when two or more objects collide? The kinetic energy of each object The total momentum of the system 4 The total kinetic energy of the system none of fernando designs is considering a project that has the following cash flow and wacc data. what is the project's discounted payback? 2.09 years 2.29 years 2.78 years 1.88 years 2.52 years 2. (4 pts) How many grams of acid will be neutralized by a Maalox antacid tablet that contains 0.350 g of CaCO3? What policy did Republicans and Democrats both support during the 1950s?A. The United States should try to gain more territory.B. Trade with countries hostile to American values should end.C. Containing communism was of the greatest importance.D. Protecting the United States' interests abroad was crucial. The CWB Company is considering opening a new gallery which is expected to generate the following cash flows over 5 years. Central Investment cost in Year O, HKD 460,064 Cash Flows in Year 1, HKD 70,000 Cash Flows in Year 2, HKD 100,000 Cash Flows in Year 3, HKD 130,000 Cash Flows in Year 4. HKD 140,000 Cash Flows in Year 5, HKD 140,000 Salvage Value in Year 5, HKD 100,000 Assume that cash flow is uniform within each year, what is the payback period for this gallery? (Round your final answer to two decimal places) Using approximately 250-300 words and APA 7th Edition citations and references as appropriate, what are the four major classes of pesticides and insecticides? Select one chemical, and define, describe and provide an example of a hazardous incident that has occurred. Have there been health problems associated with humans? What were the short-term side effects and potential long-term side effects? QUESTION 3 20 MARKS Mario Foods produces frozen meals, which sells for $7 each. The company uses the FIFO inventory costing method, and it computes a new monthly fixed manufacturing overhead rate based in the actual number of meals produced that month. All costs and production levels are exactly as planned. The following data are from Mario's Foods' first two months in business: January 1,000 meals February 1,200 meals Sales Production 1,400 meals 1,000 meals Variable manufacturing expense per meal Sales commission expenses $1 per meal $700 Total fixed manufacturing $700 overhead Total fixed marketing and $600 $600 administrative expenses Required: a. Compute the product cost per meal produced under absorption costing and under variable costing based on January and February above. (2 MARKS) b. Prepare separate monthly income statements for January and for February, using the following: i. Absorption costing (9 MARKS) Variable costing (9 MARKS) 5. A recently named element is Darmstadtium (Ds) which has Z = 110 electrons. Assume that all the electrons can be assigned one by one into the atomic shells with negligible electron-electron interact. With the atom in ground state, what is the spectroscopic notation for the quantum number l for the last electron?