Among the options, the one that will NOT affect the profit-maximizing quantity is an increase in the firm's revenues. (option E)
When a profit-maximizing firm is producing at the output level at which marginal revenue equals marginal cost, the firm is maximizing its profit. Any changes in the firm's cost or revenue structure can affect the profit-maximizing output level.
An increase in the price (option A) will increase the marginal revenue, leading to an increase in the profit-maximizing quantity.
An increase in variable costs (option B) will increase the marginal cost, leading to a decrease in the profit-maximizing quantity.
An increase in fixed costs (option C) will not directly affect the marginal cost or revenue, but it will increase the breakeven point, leading to a decrease in the profit-maximizing quantity.
An increase in labor productivity (option D) will decrease the marginal cost, leading to an increase in the profit-maximizing quantity.
However, an increase in the firm's revenues (option E) will not directly affect the marginal cost or revenue, and will not lead to a change in the profit-maximizing quantity in the short run. It may have an impact on the firm's long-term production decisions, but not on the current profit-maximizing output level.
Therefore, the correct answer is option E.
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paola is planning a major golf fundraiser for a local nonprofit organization and is spending several hours each week reviewing pinterest posts and reading articles about how to implement a successful golf outing. she's not a golfer herself and has never participated in a golf outing before but wants to make sure the event is enjoyed by people who like golf and that it generates the donations her organization needs to deliver their services to the community. paola's behavior can be explained by the concept of__________ involvement.
In the following question, in the missing blank, Paola is planning a major golf fundraiser for a local nonprofit organization and is spending several hours each week reviewing Pinterest posts and reading articles about how to implement a successful golf outing. People who like golf generate the donations her organization needs to deliver their services to the community. Paola's behaviour can be explained by the concept of "high" involvement.
What is high involvement? The term high involvement refers to the cognitive and emotional state of an individual when he or she is motivated to process a piece of information actively. The following traits characterize high-involvement purchase decisions: Extensive search and evaluation activities occur before the purchase. Lack of knowledge or uncertainty about the product/service or the purchase situation is present. Experience is not available or limited for the product/service being evaluated. The decision to purchase is considered to be important to the individual, and the decision outcome will have a considerable impact. High-involvement purchase decisions, in general, are more challenging to make than low-involvement decisions, require more cognitive processing, and are influenced by a larger number of variables. In Paola's case, she is planning a major golf fundraiser for a local nonprofit organization and is spending several hours each week reviewing Pinterest posts and reading articles about how to implement a successful golf outing. Despite not being a golfer herself and having never participated in a golf outing before, she wants to make sure the event is enjoyed by people who like golf and that it generates the donations her organization needs to deliver their services to the community.
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Mariah creates a t-shirt design that expresses support for Nathan, a presidential candidate, and distributes t-shirts imprinted with the design to her friends. The t-shirts are an example of
a. unprotected speech. b. controlled speech. c. symbolic speech. d. illegal speech.
The correct answer is c. symbolic speech. Symbolic speech is a form of expression that uses symbols or gestures to convey a message or opinion. Mariah's t-shirt design expressing support for a presidential candidate is an example of symbolic speech.
Using symbols or gestures to express ideas or opinions is known as symbolic speaking. It can be applied in a range of circumstances, such as demonstrations, protests, or other public displays of expression.
Symbolic communication can be seen in Mariah's t-shirt design, which shows support for a presidential candidate.
Symbolic speech is widely regarded as a form of free speech and is protected by the First Amendment of the United States Constitution.
Yet it's crucial to remember that there are some restrictions on what speech might be deemed unlawful, such as incitement to violence or hatred.
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multiple choice question during which stage of product development does a company estimate costs, identify pricing, and evaluate demand for the product in order to determine profitability? multiple choice question. product launch business analysis test marketing idea generation
The stage of product development during which a company estimates costs, identifies pricing, and evaluates demand for the product in order to determine profitability is the B: business analysis stage.
During the business analysis stage, the company conducts a thorough analysis of the potential profitability of the product. This includes estimating costs associated with production, marketing, and distribution, as well as identifying the appropriate pricing strategy that will maximize profitability. The company also evaluates the potential demand for the product in the market, which helps to inform the decision to move forward with the product development process.
In summary, the correct answer to the multiple choice question is B: Business analysis.
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given an industry is producing the socially efficient output level, a tax placed on the industry will result in inefficiency because the market will produce group of answer choices too many units, as some units produced will have more productive costs than consumer value. too few units, giving up some units that have more productive costs than consumer value. too many units, as some units produced will have more consumer value than productive costs. too few units, giving up some units that have more consumer value than productive costs.
The given industry is producing the socially efficient output level. A tax placed on the industry will result in inefficiency because the market will produce too few units, giving up some units that have more consumer value than productive costs.
When a tax is placed on an industry, it affects the supply and demand for the goods and services produced by the industry. This, in turn, affects the market equilibrium price and quantity. In general, the imposition of a tax on a particular industry will cause inefficiency because it reduces the overall welfare of both the producer and the consumer.
The producer will have to pay more for the production process, while the consumer will have to pay more for the goods and services produced by the industry. The inefficiency created by the tax can manifest itself in the form of deadweight loss. Deadweight loss refers to the economic inefficiency that occurs when the market fails to allocate resources optimally. It is caused by the imposition of taxes, subsidies, price ceilings or price floors, and other forms of market intervention.
Deadweight loss is represented by the area between the demand and supply curves above the market equilibrium price. Suppose an industry is producing the socially efficient output level. In that case, a tax placed on the industry will result in inefficiency because the market will produce too few units, giving up some units that have more consumer value than productive costs. This happens because the tax increases the cost of production for the industry, making it less profitable to produce more units than the socially efficient level.
As a result, some units that would have been produced if there were no tax will not be produced, leading to deadweight loss.
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Suppose that when the price of good X increases from $800 to $850, the quantity demanded of good Y increases from 65 to 70. Using the midpoint method, the cross price elasticity of demand is about 1 (25 Points) a. -1.2, and X and Y are complements. b. -0.1, and X and Y are complements c. 0.1, and X and Y are substitutes. d. 1.2, and X and Y are substitutes.
Answer: d, X, and Y are substitutes. The correct option is d.
Cross elasticity of demand is a measure that shows how the quantity demanded of one good changes in response to a change in the price of another good. The cross elasticity of demand for two goods X and Y is calculated using the following formula:
Cross elasticity of demand = % change in quantity demanded of X / % change in the price of Y
Using the midpoint formula,
% change in quantity demanded of Y = [tex](70-65)/((70+65)/2)*100% = 15/67.5*100% = 22.22%[/tex]
% change in the price of X = [tex](850-800)/((850+800)/2)*100% = 50/825*100% = 6.06[/tex]
%Using the formula for cross elasticity of demand, we get
Cross elasticity of demand =[tex]22.22% / 6.06%[/tex]= 3.66[tex]1.2[/tex]
Since the cross elasticity of demand is greater than 1, it means that X and Y are substitutes.
Hence, option (d) is correct.
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which of the following are generally considered to be the important trends that are becoming evident in the marketing research industry? (check all that apply.)
- A broader international client base
- Expanded use of digital technology to acquire and retrieve information
- Movement toward technology
-related data management
Option a, b, and c are generally considered to be the important trends that are becoming evident in the marketing research industry.
Marketing research is the systematic process of collecting and analyzing data to help businesses make informed decisions. It is concerned with determining what products or services consumers want, and how best to market them so that they will buy them.
Therefore, the following are the important trends that are becoming evident in the marketing research industry:
Option a: A broader international client base
Option b: Expanded use of digital technology to acquire and retrieve information
Option c: Movement toward technology-related data management
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in order to sell more of its product, a monopolist must
In order for a monopolist to sell more of its product, it must employ a variety of strategies.
Firstly, it must recognize its market share and optimize pricing to maximize profit. The monopolist may also set higher prices to limit output and create scarcity. Additionally, it can also create barriers to entry in the market, such as patenting and research and development. It can also invest in marketing and advertising to increase brand loyalty and visibility. Lastly, it can create strategic partnerships with other companies to further expand its reach. Overall, the monopolist must use a combination of strategies to increase its sales and maximize profits.
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major differences between erikson's theory of personality development and freud's theory are erikson's ideas regarding
The major differences between Erikson's theory of personality development and Freud's theory are Erikson's ideas regarding the concept of the ego identity.
The ego identity is a central construct in Erikson's psychosocial theory, and it represents a person's sense of self, as well as their sense of individuality and uniqueness, as they move through different stages of life. According to Erikson, ego identity development occurs through a series of eight stages that occur across the lifespan, each of which is characterized by a specific psycho-social crisis or challenge that must be resolved in order to move on to the next stage.
In contrast, Freud's psychoanalytic theory posits that personality development is driven by unconscious sexual and aggressive impulses, and that these impulses are controlled by three key components of the psyche: the id, the ego, and the superego. According to Freud, personality development is largely complete by the end of childhood, and it is shaped primarily by early experiences and interactions with caregivers.
Overall, Erikson's theory places a greater emphasis on the role of social and cultural factors in shaping personality development, whereas Freud's theory places a greater emphasis on biological and instinctual factors. Additionally, Erikson's theory suggests that personality development continues throughout the lifespan, whereas Freud's theory suggests that personality development is largely complete by the end of childhood.
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The GDP Deflator: I. is used to calculate inflation rates. II. is an alternative to the CPI. III. is more accurate than the CPI. A. Only I is true. B. I and II are true. C. I and III are true. D. II and III are true. E. I, II, and III are true.
The GDP Deflator: I. is used to calculate inflation rates. II. is an alternative to the CPI. III. is more accurate than the CPI. Only I is true. Option a)
The GDP deflator (implicit price deflator) in economics is a measure of the money price of all new, domestically produced, final products and services in an economy in a given year compared to their real worth. It may be used to calculate the worth of money.
GDP is an abbreviation for gross domestic product, which is the total monetary worth of all final products and services produced inside a country's borders over a specific time period (quarterly or annually).
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jeremy is writing the employee handbook for his organization. what visual cues could he incorporate to make the document visually complete?
Jeremy can incorporate visual cues into his employee handbook in order to make it visually complete. Visual cues could include diagrams, photos, graphs, illustrations, icons, or tables.
Visual CluesJeremy can incorporate the following visual cues in the employee handbook to make it visually complete:
Bullet points, Headings and subheadings, Bold and italicized text, Graphics and images, Spacing and alignment, Different fonts and sizes these visual cues are designed to capture the reader's attention and guide them through the document. Bullet points are used to break up long paragraphs and make important information stand out. Headings and subheadings make the document easy to navigate and find specific information. Bold and italicized text is used to emphasize key points and make them stand out. Graphics and images help illustrate the information and make it easier to understand.
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securities with maturities of one year or less are classified as a. capital market instruments. b. preferred stock. c. money market instruments. d. none of these choices are correct.
Securities with maturities of one year or less are classified as C. Money Market Instruments. Money market instruments are short-term debt instruments with a maturity period of less than one year.
What are money market instruments?Money market instruments are short-term, highly liquid, and low-risk debt securities. They are highly marketable instruments that are used by participants as a means of providing short-term financing. Money market instruments can be used by individuals, businesses, and governments to invest their money for short periods of time.
Money market instruments have a maturity of less than one year and are highly marketable. Treasury bills, certificates of deposit, commercial paper, banker's acceptances, and repurchase agreements are examples of money market instruments.
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can you use land as collateral for a construction loan
Yes, it is allowed and completely lawful to use land as collateral for a construction loan.
A collateral can be referred to or taken into consideration for general understanding as a security that is charged against a loan or a monetary advance in order to back the monies in case of default in repayment. When someone takes a construction loan, the law mentions that one may use his or her land as a collateral for the construction on the same piece of land. Thus, it is said to be completely legal act of using it as a collateral.
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mcdonald's is a company that has franchises worldwide. mcdonald's understands international marketing opportunities, uses effective international marketing strategies, and knows the threats from foreign competitors in all markets. mcdonald's takes advantage of .
McDonald's is a company that has franchises worldwide. McDonald's understands international marketing opportunities, and knows the threats from foreign competitors in all markets.
McDonald's takes advantage of these opportunities, as well as its extensive experience, to succeed in foreign markets. McDonald's can take advantage of several marketing opportunities, which include global and local advertising and the creation of new products that appeal to local tastes.
McDonald's also tailors its offerings to specific regions to meet the unique preferences of local consumers. Furthermore, by franchising its business, McDonald's can expand quickly into new regions and benefit from the local knowledge of its franchisees.
McDonald's is known for its consistent customer experience, which includes fast service, high-quality food, and value pricing. The company is constantly improving its customer experience by enhancing its menu, creating new restaurant concepts, and experimenting with technology.
Finally, McDonald's is known for its strong brand, which is recognized around the world. McDonald's is aware of the competition it faces from local and global competitors in every market.
The company responds by continually improving its customer experience, introducing new menu items, and keeping its prices competitive. Furthermore, McDonald's invests in local supply chains to ensure that it has a reliable source of ingredients and supports local economies.
Thus, we can conclude that McDonald's takes advantage of the opportunities and minimizes the risks posed by foreign competitors to succeed in foreign markets.
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The new social model of customer communication is unidirectional and intrusive. True or False.
Answer:
true
Explanation:
A cash budget, by quarters, is given below for a retail company (000 omitted). The company requires a minimum cash balance of at least $5,000 to start each quarter. Fill in the missing amounts. (Enter your answers in thousands of dollars. Cash deficiencies and Repayments should be indicated by a minus sign.)
Cash Budget Quarter (000 omitted) 1 2 3 4 Year
Cash balance,beginning $ 9 Add collections from customers 107 367
Total cash available 74 Less disbursements: Purchase of inventory 46 56 30 Selling and administrative expenses 32 30 109
Equipment purchases 9 9 21 49
Dividends 2 2 2 2 Total disbursements 99 Excess (deficiency) of cash available over disbursements (10 9 Financing: Borrowings 7 Repayments (including interest)* (19) Total financing Cash balance, ending *Interest will total $1,000 for the year.
The cash budget for a retail company is given below.
The company needs a minimum cash balance of $5,000 to start each quarter. Fill in the blanks.(Enter the answers in thousands of dollars. Cash deficiencies and repayments should be denoted by a minus sign.)Cash Budget Quarter (000 omitted)1 2 3 4 Year Cash balance, beginning$ 9 + (107) + (367) = 483Total cash available 74
Less disbursements: Purchase of inventory (46) (56) (30)Selling and administrative expenses (32) (30) (109)Equipment purchases (9) (9) (21) (49) Dividends (2) (2) (2) (2) Total disbursements (99) (265) Excess (deficiency) of cash available over disbursements $(25) $17 $(198) $218
Financing: Borrowings 7 Repayments (including interest)* (19)Total financing (12)Cash balance, ending$ 5 $22 $(176) $42 *Interest will total $1,000 for the year. The solution for the required amounts in the cash budget is given below: Quarter 1: $5, Quarter 2: $22, Quarter 3: ($176), Quarter 4: $42.
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your calculations reveal that a proposed it investment will yield a savings in your department of $45,000 per year for the five year planning period. what is the net present value of that savings, assuming a discount rate of 8%?
The net present value of the savings is $180,723.
This is calculated by taking the future value of the savings, discounted by 8% for 5 years, and subtracting the present value of the investment.
To calculate the future value of the savings, multiply $45,000 by the compound interest formula: FV = PV x (1 + i)^n, where PV is the present value, i is the interest rate, and n is the number of years.
This yields a future value of $259,097. To calculate the present value of the investment, multiply the investment cost by the same formula: PV = FV / (1 + i)^n.
This yields a present value of $78,374. Subtracting the present value from the future value yields a net present value of $180,723.
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the owner of a business with a buyer terminates an agency without giving notice of the termination to vendors who have dealt with the agent. is it reasonable for the vendors to expect that the agent still has the authority to make contracts that will bind the business?
If the owner of a business with a buyer terminates an agency without giving notice of the termination to vendors who have dealt with the agent, it is not reasonable for the vendors to expect that the agent still has the authority to make contracts that will bind the business.
When an agency is terminated, the principal is under no legal obligation to compensate the agent for the work that he or she has done unless he or she is terminated without any notice.
In addition, a principal is under no legal obligation to pay an agent who has caused damages to the principal, intentionally or unintentionally. An agency is a legal relationship in which a party grants authority to another party to act on his or her behalf.
This relationship is established by an agency agreement, which lays out the terms and conditions of the relationship. The party that grants authority is referred to as the principal, while the party that is granted authority is referred to as the agent.
Because the principal grants the agent authority, the agent is required to act in the principal's best interests, including following the principal's instructions, exercising reasonable care, and keeping accurate records.
The agency agreement is usually for a specific period of time, although it may be extended or terminated by the principal or the agent at any time, subject to the terms of the agreement.
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Given the data below for a firm in its first year of operation, determine net income under the accrual basis of accounting.
Revenue earned $16,000
Accounts receivable 3,000
Expenses incurred 7,250
Accounts payable (related to expenses) 750
Supplies purchased with cash 1,800
a. $8,750
b. $11,000
c. $6,500
d. $9,200
The net income under the accrual basis of accounting is $11,000. (option b)
To determine net income under the accrual basis of accounting, we need to subtract the expenses incurred from the revenue earned. However, we also need to adjust for any changes in accounts receivable and accounts payable.
Revenue earned: $16,000
Expenses incurred: $7,250
Adjustment for accounts receivable: Since $3,000 of the revenue was earned on credit (accounts receivable), it should be included in revenue even though the cash has not been received yet. This means that revenue should be increased by $3,000.
Adjustment for accounts payable: Since $750 of the expenses were incurred on credit (accounts payable), they should be included in expenses even though the cash has not been paid yet. This means that expenses should be increased by $750.
Therefore, net income under the accrual basis of accounting is:
Net income = Revenue earned + Adjustment for accounts receivable - Expenses incurred - Adjustment for accounts payable
Net income = $16,000 + $3,000 - $7,250 - $750
Net income = $11,000
Therefore, the answer is (b) $11,000.
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Globalization opens the doors for companies to attract new customers. One of the challenges is to determine how to meet the needs of these customers who have
A. different income levels.
B. low income levels.
C. high income levels.
D. steady income levels.
Globalization opens the doors for companies to attract new customers and have to determine how to meet the needs of these customers who have different income levels. The correct answer is Option A.
What is globalization?Globalization is defined as the process by which different economies of the world are interconnected to increase the international trade of goods and services. It involves the increasing interaction of people, economies, and cultures all around the world. Companies today have a worldwide reach, which means that they can sell their goods and services in any part of the world. As a result, companies are now more exposed to competitors from different parts of the world, and customers have access to a wider range of products and services than ever before.
The challenge of meeting the needs of customers with different income levels is one of the significant challenges of globalization. For companies to be successful in this globalized world, they must develop products that cater to different customer needs, and one of the significant factors that affect customer needs is income levels. Customers with different income levels have different needs, preferences, and purchasing power.
Therefore, companies need to be flexible and create products that cater to the needs of customers with different income levels. They need to be able to offer products that cater to both low-income and high-income customers.
Additionally, they need to offer products that cater to customers with different lifestyles, cultures, and habits.
Conclusively, in this globalized world, companies need to develop strategies that enable them to meet the needs of customers with different income levels. Companies that can do this effectively will be successful in this globalized world.
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Which of the following requires a person to identify the existing relationships among the elements presented and then construct a new relationship among them? Multiple Choice problems of arrangement problems of inducing structure O telegraphic speech O functional fixedness
The situation here denotes the arrangement of the inducting structure.
What is the configuration of the inducing structure?Inducing structure (reasoning by analogy) requires the problem-solver to arrange things in any way that results in the formation of a new relationship between them. Analogies entail ruminating on relationships, particularly relative similarity, in order to create a correspondence between one set of relationships and another. Some problems require the discovery of relationships between elements. "Pineapple is to fruit what cabbage is to ." In this analogy problem, the answer, "vegetable," requires people to figure out the relationship between "pineapple" and "fruit" and apply a similar relationship to "cabbage.
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Mel sent Jasper an e-mail message telling Jasper that his wife had been killed in a car accident, and Mel knew this was untrue. Jasper may be able to sue Mel for - libel - battery - intentional infliction of emotional distress - violations of the First Amendment
Jasper may be able to sue Mel for intentional infliction of emotional distress.
What is Intentional Infliction of Emotional Distress? Intentional Infliction of Emotional Distress (IIED) is a tort claim in which a person intentionally or recklessly causes emotional distress to another person by engaging in outrageous conduct that exceeds the bounds of decency.
A tort is a civil wrong, a legal obligation or a breach of duty owed to someone else.In the scenario given in the question, Mel sent an e-mail message to Jasper falsely stating that his wife had been killed in a car accident. This conduct by Mel was done intentionally, with the purpose of causing emotional distress to Jasper.
Since Mel knew that the statement was untrue, and sent it anyway, it can be argued that this conduct by Mel was outrageous and exceeded the bounds of decency. Therefore, Jasper may be able to sue Mel for intentional infliction of emotional distress.
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baker's contribution margin ratio is 60%, which means that a $7,000 increase in sales will result in a $ increase in net operating income.
Baker's contribution margin ratio is 60%, which means that a $7,000 increase in sales will result in a $4,200 increase in net operating income.
To calculate the increase in net operating income, we can use the contribution margin formula:
Contribution Margin = Sales - Variable Costs
Or rearranging the formula, we get:
Sales - Variable Costs = Contribution Margin
Then, we can use the contribution margin ratio to find the amount of contribution margin that comes from each dollar of sales:
Contribution Margin Ratio = Contribution Margin / Sales
Multiplying both sides by Sales, we get:
Contribution Margin = Contribution Margin Ratio x Sales
Now we can use this formula to calculate the increase in net operating income:
Increase in Sales = $7,000
Contribution Margin Ratio = 60% = 0.6
Contribution Margin = Contribution Margin Ratio x Sales
Contribution Margin = 0.6 x $7,000
Contribution Margin = $4,200
Since contribution margin represents the amount that covers fixed costs and contributes to net operating income, the increase in net operating income will also be $4,200.
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a company is planning its promotional budget. its planners have been running tests in various markets with different budgets in order to determine the appropriate amount of advertising expenditure. in this scenario, what method is the company using for promotional budgeting?
The company is using the trial and error method of promotional budgeting.
This method involves testing different budget amounts in various markets to determine the optimal amount of advertising expenditure. The company will then use the data gathered from their tests to determine the budget that will produce the best results.
Trial and error is a form of problem solving, learning, and discovery. It involves testing different potential solutions to a problem, and then analyzing the results of the tests. In this scenario, the company is testing different promotional budgets in different markets, in order to find the budget that yields the best results.
This is a practical method that can save the company time and resources in the long run. By testing different budgets, the company can see which yields the most favorable outcomes, and then use that budget for their promotional efforts.
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T/F: A periodical index contains lists of journal and magazine articles classified according to title, subject, and author.
A periodical index contains lists of journal and magazine articles classified according to title, subject, and author. This statement is TRUE.
A periodical index is a systematic list of articles that can be found in magazines and journals published within a specified period. A periodical index may be arranged by author, title, or subject. It can be either print or electronic, and it offers a comprehensive view of journal and magazine articles, whether current or past, related to a particular topic, event, or person. Additionally, periodical indexes may also include abstracts or summaries of the articles they contain.Types of Periodical IndexesThere are two types of periodical indexes: general and subject-specific. A general periodical index offers listings of articles that cut across several disciplines, while a subject-specific index covers articles on a particular subject area or topic. Examples of general periodical indexes include Readers' Guide to Periodical Literature, Index to Periodical Articles Related to Law, and Humanities Index. Some subject-specific indexes include the Education Index, MLA International Bibliography, and Art Index.Articles on a variety of topics, including politics, religion, education, technology, medicine, and entertainment, are frequently published in magazines and journals. Finding relevant articles for your research could be difficult without an efficient way to search them, and this is where periodical indexes come in handy. Periodical indexes are useful tools for scholars, students, researchers, and anyone interested in staying current with what's happening in various fields of study.
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Smith Company purchases $60,000 of inventory during the period and sells $18,000 of it for $30,000. The beginning of the period inventory was $3,000. What is the company's inventory balance to be reported on its balance sheet at year-end?
a) $2,000
b) $45,000
c) $18,000
d) $3,000
Data were collected on the amount, in dollars, that individual customers spent on dinner in an Italian restaurant. The quartiles for these data are shown. Which of the following statements must be true for these customers?
answer choices
At least half of the customers spent less than or equal to $44.27 and at least half spent more than or equal to $44.27.
Seventy-five percent of the customer spent between $36.27 and $58.97
Twenty-five percent of the customers spent less than or equal to $58.97 and the remaining 75 percent spent greater than or equal to $58.97
The mean amount spent by customers is $44.27
A majority of customers spent $44.27
The following statement must be true for these customers: At least half of the customers spent less than or equal to $44.27 and at least half spent more than or equal to $44.27.
The data were collected on the amount, in dollars, that individual customers spent on dinner in an Italian restaurant. The quartiles for these data are given below:
Quartiles
Lower Quartile: $36.27
Median: $44.27
Upper Quartile: $58.97
From the above-given quartiles, we can make the following observations:1. Half of the customers spent less than or equal to $44.27 and half spent more than or equal to $44.27.2. The range of 75% of the customers' spending lies between $36.27 and $58.97.
Therefore, 75% of the customer spent between $36.27 and $58.97.3. The remaining 25% of customers spent less than or equal to $36.27 and greater than or equal to $58.97. Therefore, the statement "Twenty-five percent of the customers spent less than or equal to $58.97, and the remaining 75 percent spent greater than or equal to $58.97" is incorrect.4. The mean amount spent by customers is not given.5.
We cannot determine whether the majority of customers spent $44.27 or not.Therefore, the correct statement must be: "At least half of the customers spent less than or equal to $44.27, and at least half spent more than or equal to $44.27."
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Chou Company uses the aging approach to estimate bad debt expense. The balance of each account receivable is aged on the basis of three time periods as follows: (1) not yet due, $295,000, (2) up to 120 days past due, $55,000, and (3) more than 120 days past due, $18,000. Experience has shown that for each age group, the average loss rate on the amount of the receivables at year-end due to uncollectability is (1) 2.5 percent,
(2) 11 percent, and (3) 30 percent, respectively. At December 31, 2015 (end of the current year), the Allowance for Doubtful Accounts balance is $100 (credit) before the end-of-period adjusting entry is made. Required: 1. Prepare the appropriate bad debt expense adjusting journal entry for the year 2015. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.) 2. Show how the various accounts related to accounts receivable should be shown on the December 31, 2015, balance sheet. (Amounts to be deducted should be indicated by a minus sign.) How do I compute the balance sheet?
The Net Accounts Receivable balance, which shows the estimated amount of Accounts Receivable that are expected to be collected, is obtained by subtracting the Allowance for Doubtful Accounts from the gross Accounts Receivable total.
What is a counter asset to allowance for doubtful accounts?A provision for dubious accounts is referred to as a "counter asset" because it lowers the value of an asset, in this example, the accounts receivable. The allowance—also referred to as a bad debt reserve—represents management's estimate of the amount of accounts receivable that customers won't pay..
Not yet due: $295,000 x 2.5% = $7,375
Up to 120 days past due: $55,000 x 11% = $6,050
More than 120 days past due: $18,000 x 30% = $5,400
Total estimated bad debt expense = $18,825
Bad Debt Expense $18,825
Allowance for Doubtful Accounts $18,725
Accounts Receivable
Accounts Receivable
Not yet due $295,000
Up to 120 days past due $55,000
More than 120 days past due $18,000
Less: Allowance for Doubtful Accounts ($18,725)
Net Accounts Receivable $349,275
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When a series of goals are set by the company with input from the employee, and the employee receives payment as each goal is reached, this is called a ____
When a series of goals are set by the company with input from the employee, and the employee receives payment as each goal is reached, this is called a Performance-based incentive (PBI).
Performance-based incentive (PBI): A type of incentive in which an employee is rewarded based on his or her performance. This reward may be in the form of a cash bonus, a promotion, or other perks. PBIs are often used in sales roles, where employees are rewarded for meeting or exceeding their sales targets. The input given by the employees are mandatory rewarded so that motivation can be spurge among employees and therefore increase productivity.
PBIs are becoming increasingly common in other industries as well. They can be an excellent way to motivate employees, particularly those who are motivated by financial incentives. PBIs can also help employers to retain their top performers, as employees who are consistently rewarded for their hard work are more likely to remain with the company.
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Assume that you contribute $330 per month to a retirement plan for 15 years Then you are able to increase the contribution to $530 per month for the next 25 years. Given an 8% interest rate, what is the value of your retirement plan after the 40 years? (Do not round intermediate calculations and round your final answer to 2 decimal places)
Initial monthly contributions $330
Number of years 15
Subsequent monthly contribution $530
Number of years 25
Interest rate earned 8.00%
Complete the following analysis.
Value at end of first set of contributions.
Value at end of second set of contributions.
Assuming you contribute $330 per month for 15 years and then increase your contribution to $530 per month for the next 25 years, with an 8% interest rate, the value of your retirement plan after 40 years is $1,594,082.76.
To calculate the value of your retirement plan, we will first calculate the value at the end of the first set of contributions. The formula for calculating the future value of an annuity is:
FV = PV (1+r)n
Where FV is the future value of the annuity, PV is the present value of the annuity, r is the interest rate per period, and n is the number of periods.
For the first set of contributions, the PV is $330 and n is 15. Thus, the value at the end of the first set of contributions is:
FV = $330 (1+ 0.08)15 = $45,616.54
For the second set of contributions, we need to take the value of the first set of contributions and add to it the future value of the second set of contributions. The formula for calculating the future value of an annuity with an increasing payment is:
FV = PMT [(1+r)n - 1]/r
Where PMT is the amount of the payment, r is the interest rate per period, and n is the number of periods.
For the second set of contributions, the PMT is $530 and n is 25. Thus, the value at the end of the second set of contributions is:
FV = $530 [(1+ 0.08)25 - 1]/ 0.08 = $1,548,466.22
Finally, we add the value at the end of the first set of contributions and the value at the end of the second set of contributions to get the total value of the retirement plan after 40 years:
$45,616.54 + $1,548,466.22 = $1,594,082.76
Thus, the value of your retirement plan after 40 years is $1,594,082.76.
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the two-year interest rates in australia and the us are 7.5% and 5.25%, respectively. all iunterest rates are continuously compounded. the current exchange rate is .7100 per aud. what should be the two-year forward exchange rate (usd per aud)
If the two-year interest rates in Australia and the US are 7.5% and 5.25%, respectively, the two-year forward exchange rate (USD per AUD) is 0.8050.
The two-year forward exchange rate can be calculated using the interest rate parity formula:
F/S = e^(rd-rf) * (1 + rf)^n / (1 + rd)^n
Where:
F/S = the forward exchange rate
e = the current spot exchange rate
rd = the domestic interest rate (US)
rf = the foreign interest rate (Australia)
n = the number of periods (2 years)
Plugging in the values:
F/.7100 = e^(0.0525-0.075) * (1 + 0.075)^2 / (1 + 0.0525)^2
Solving for F:
F = .7100 * e^(0.0525-0.075) * (1 + 0.075)^2 / (1 + 0.0525)^2
F = .7100 * e^(-0.0225) * 1.1570 / 1.1086
F = .7100 * 1.1349
F = 0.8050
Therefore, the two-year forward exchange rate (USD per AUD) is 0.8050.
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