According to information in the​ video, which acquisition strategy would require standardizing some of the​ firm's business​processes?A. Custom building a new system B. Sharing development using concurrent software engineering practices C. Purchasing an existing inventory tracking system D. Modifying the existing system to update product tracking functionality E. Outsourcing development to an experienced organization

Answers

Answer 1

Based on the information provided in the video, the acquisition strategy that would require standardizing some of the firm's business processes is option C - purchasing an existing inventory tracking system.

This is because purchasing an existing system means that the organization will have to adapt its existing processes to fit the new system, which will require standardization. On the other hand, custom building a new system (option A) or modifying the existing system (option D) may not necessarily require standardization as the new or modified system can be tailored to fit the existing processes. Sharing development using concurrent software engineering practices (option B) and outsourcing development to an experienced organization (option E) may also not necessarily require standardization as these options involve collaboration with external entities that may already have their own established processes. In conclusion, option C - purchasing an existing inventory tracking system - is the acquisition strategy that would require standardizing some of the firm's business processes.

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Related Questions

considering how distributed systems operate, what impact could the different operating systems have on differing machines?

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 In a distributed system, different machines with varying operating systems can impact the overall system's performance, communication, and compatibility. The primary effects include:

1. Interoperability: Differing operating systems may cause communication issues between machines, as they may use distinct protocols, file formats, or application programming interfaces (APIs). These differences can lead to the need for additional middleware or translators to ensure seamless communication between machines.
2. Performance: Different operating systems have varying resource management techniques and performance optimization strategies. This can lead to inconsistent performance across machines in a distributed system, which may impact the overall efficiency and response time of the system.
3. Security: Varying operating systems may have different security mechanisms and vulnerabilities, which can influence the overall security of the distributed system. This may require implementing additional security measures or adopting a unified security protocol to maintain a secure environment.

In summary, differing operating systems in a distributed system can impact interoperability, performance, security, maintenance, and application compatibility. To mitigate these challenges, it's essential to consider using standard protocols, middleware, and unified security measures to ensure seamless communication and consistent performance across machines.

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The following are selected data from Great White Corporation's year-end financial statements. Net Income $350,000 Sales $815,000 COGS $425,000 Operating Income $275,000 Total Assets $215,000 What is the Operating profit margin for Great White Corp.? a. 52.15% b.33.74% c. 26.38% d. 42.94%

Answers

To calculate the operating profit margin for Great White Corporation, we need to divide the operating income by the sales and then multiply by 100 to get the percentage. So, operating profit margin = (Operating Income/Sales) x 100.

Operating profit margin = (275,000/815,000) x 100 = 33.74%.

This means that for every dollar of sales, Great White Corporation is earning a profit of 33.74 cents. Operating profit margin is a key profitability ratio that helps to measure a company's operating efficiency and profitability.

A higher operating profit margin indicates that the company is generating more profit per dollar of sales, which is a positive sign for investors and stakeholders.

In this case, Great White Corporation has an operating profit margin of 33.74%, which is a good indication of its operating efficiency.

However, it is important to consider other factors such as industry benchmarks, competitors, and economic conditions to get a comprehensive understanding of the company's financial health and performance.

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The answer is option (b) 33.74%. Great White Corporation's operating profit margin is 33.74%, which means that for every dollar of sales, the company earns 33.74 cents of operating profit.

To calculate the operating profit margin, we need to divide the operating income by sales and express the result as a percentage:

Operating profit margin = (Operating Income / Sales) x 100

Plugging in the given values:

Operating profit margin = (275,000 / 815,000) x 100 = 33.74%

Therefore, the answer is option (b) 33.74%. Great White Corporation's operating profit margin is 33.74%, which means that for every dollar of sales, the company earns 33.74 cents of operating profit.

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Which of the following public relations tools most focuses on creating a positive association among consumers about what a company and its brand stand for? a. brochure b. blog event c. sponsorship d. speeches e. annual report

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The correct answer is c. sponsorship. Sponsorship is a public relations tool that focuses on creating a positive association among consumers about what a company and its brand stand for.

Through sponsorship, a company supports events, causes, or organizations that align with its values, objectives, or target audience. By associating their brand with these events or causes, companies aim to enhance their brand image, build goodwill, and create a positive perception among consumers.Sponsorship allows companies to demonstrate their commitment to social responsibility, community involvement, or specific interests relevant to their target market. It provides an opportunity to showcase the company's values, attract positive attention, and engage with consumers in a meaningful way.

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An infant born to a mother who used retinoid-based anti-acne medications during early pregnancy, exhibits bilateral cleft lip. The most likely cause of the anomaly was retinoic acid-mediated reduction of mesenchymal proliferation in which of the following structures?
A. Lateral nasal process B. Intermaxillary process C. Mandibular Swellings D. Second pharyngeal arch E. Third pharyngeal arch

Answers

The most likely structure affected by the retinoid-based anti-acne medication that caused the bilateral cleft lip in the infant is the intermaxillary process. This is because the intermaxillary process is responsible for the fusion of the two maxillary processes in the midline during embryonic development. The correct option is B.

The use of retinoid-based medication during early pregnancy can interfere with the normal proliferation of mesenchymal cells in the intermaxillary process, resulting in incomplete fusion of the two maxillary processes and subsequent cleft lip. Retinoids are known to regulate cell proliferation, differentiation, and apoptosis, and they play a crucial role in embryonic development.

Excessive exposure to retinoids during early pregnancy can lead to congenital malformations, including cleft lip and palate. The mechanism by which retinoids cause cleft lip is still not fully understood, but it is believed that they interfere with the normal signaling pathways that regulate cell proliferation and differentiation in the developing embryo.

In conclusion, the most likely cause of the bilateral cleft lip in the infant born to a mother who used retinoid-based anti-acne medications during early pregnancy is the retinoic acid-mediated reduction of mesenchymal proliferation in the intermaxillary process. It is important to avoid the use of retinoid-based medications during pregnancy to prevent such congenital malformations. The correct option is B.

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the industry demand is q = 100 – 2p. the monopolist cost function is c = 0.01q2 q 100. at the equilibrium, what is the firm’s profit?

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The firm’s profit at equilibrium is approximately $99.98.  

The monopolist’s cost function tells us that the marginal cost of producing one more unit of output is [tex]0.01q^2[/tex], where q is the quantity of output produced and c is the total cost. At the equilibrium, the quantity produced is equal to the quantity demanded, so we can write:

100 = 100 – 2p

q = 100 – 2p

Multiplying both sides by the marginal cost function, we get:

[tex]0.01q^2 = 0.01(100 - 2p)^2[/tex]

Expanding the left-hand side, we get:

[tex]0.01q^4 = 0.01*q^2(100 - 2p)^2[/tex]

Dividing both sides by q2, we get:

[tex]0.01 = 0.01(100 - 2p)^2/q^2\\q^2 = 200p + 1[/tex]

100 = 100 – 2p + 200p + 1

Adding 200p to both sides, we get:

200p = 900

Dividing both sides by 200, we get:

p = 900/200 = 4.5

[tex]c = 0.01q^2 \\= 0.01(100 - 2p)^2 \\= 0.01(100 - 4.5)^2 \\= 0.01(95)^2 \\= 0.01925[/tex]

The profit of the monopolist at equilibrium is simply the difference between revenue and cost:

Profit = Revenue - Cost

= 100 - 0.01925 = 99.98075

Therefore, the firm’s profit at equilibrium is approximately $99.98.  

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the property of money that allows for the settling of debts that mature in the future is a. acceptability. b. liquidity. c. standard of deferred payment. d. store of value.

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The property of money that allows for the settling of debts that mature in the future is known as the standard of deferred payment.

This means that money is accepted as a means of payment for a debt that will be paid at a later date, allowing for transactions to take place even when the parties involved do not have the immediate means to settle their debts. This property of money is crucial to the functioning of modern economies, as it enables businesses and individuals to engage in transactions that would otherwise be impossible. In addition to its use as a standard of deferred payment, money also serves as a store of value and a medium of exchange. All three of these properties are essential for money to be effective in facilitating economic transactions.

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fitb. online auctions are an example of ____ e-commerce because one person auctions an item to another person.

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Online auctions are an example of C2C (consumer-to-consumer) e-commerce because one person auctions an item to another person.

In C2C e-commerce, individuals directly engage in transactions with each other through an online platform, without the involvement of a middleman or a business entity. These platforms provide a virtual marketplace where individuals can list items for sale and others can bid on them.

Online auctions have gained popularity due to their convenience, wider reach, and the ability to connect buyers and sellers from different geographical locations. This form of e-commerce allows individuals to sell their used or unwanted items, while buyers can bid and potentially acquire goods at competitive prices.

Online auctions fall under the category of C2C e-commerce because they facilitate direct transactions between individual sellers and buyers. Unlike B2C (business-to-consumer) or B2B (business-to-business) e-commerce, where businesses are involved in selling products or services, C2C e-commerce involves individuals acting as both sellers and buyers. In an online auction, the seller sets a starting price or reserve price for an item and potential buyers bid on it. The highest bidder at the end of the auction wins the item.

The auction platform provides a platform for individuals to interact, place bids, and conduct transactions. This form of e-commerce has become popular with the rise of online marketplaces and auction platforms, which enable individuals to reach a larger audience and potentially get better prices for their items. Overall, online auctions exemplify the C2C model of e-commerce, facilitating direct transactions between individuals in a virtual marketplace.

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The Food Place Supermarket stocks Munchkin Cookies. Demand for Munchkins is 5000 boxes per year (365 days). It costs the store $80 per order of Munchkins, and it costs $0.50 per box per year to keep the cookies in stock. Once an order for Munchkins is placed, it takes four days to receive the order from a food distributor. Determine the following:
Optimal order size
Minimum total annual inventory cost
Reorder point

Answers

The reorder point for Munchkin cookies is 54 boxes. The store should place an order for Munchkins when the inventory level reaches 54 boxes to avoid stockouts.

Based on the given information, we can use the Economic Order Quantity (EOQ) model to determine the optimal order size and minimum total annual inventory cost for Munchkin cookies. EOQ is a formula that helps businesses determine the optimal order size that minimizes inventory costs.

To calculate the optimal order size, we need to use the following formula:

EOQ = √[(2 x Demand x Order Cost) / Holding Cost per unit per year]

Substituting the given values, we get:

EOQ = √[(2 x 5000 x 80) / 0.50] = √(800,000) = 894 boxes

So, the optimal order size for Munchkin cookies is 894 boxes.

To calculate the minimum total annual inventory cost, we need to use the following formula:

Total Annual Inventory Cost = (Order Cost x Demand / EOQ) + (Holding Cost per unit per year x EOQ / 2)

Substituting the given values, we get:

Total Annual Inventory Cost = (80 x 5000 / 894) + (0.50 x 894 / 2) = $449.62

So, the minimum total annual inventory cost for Munchkin cookies is $449.62.

To determine the reorder point, we need to add the lead time demand to the safety stock. Lead time demand is the average demand during the lead time, which is 4 days in this case. Safety stock is the buffer stock maintained to avoid stockouts. It is usually calculated as a percentage of the demand during the lead time. Assuming a safety stock of 10%, we get:

Reorder Point = Lead Time Demand + Safety Stock
= 5000 x 4 / 365 + 5000 x 4 / 365 x 10%
= 54 boxes

So, the reorder point for Munchkin cookies is 54 boxes. The store should place an order for Munchkins when the inventory level reaches 54 boxes to avoid stockouts.

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On the continuum used for defining goods and services, dry cleaning would be an example of:
A. a pure tangible good
B. major good, supporting service
C. major service, supporting good
D. pure intangible service

Answers

C) On the continuum used for defining goods and services, dry cleaning would be an example of a major service, supporting good.

The continuum used for defining goods and services ranges from pure tangible goods to pure intangible services. Dry cleaning falls in the middle of this continuum as it involves both a service and a tangible good. While the primary focus of dry cleaning is the service of cleaning clothes, it also involves the use of tangible goods such as cleaning solvents, equipment, and packaging materials.

Dry cleaning is considered a major service because the service aspect (cleaning and treating clothes) is the primary value proposition for customers. However, it is also a supporting good because it requires the use of tangible materials and resources to deliver the service effectively. Customers bring their clothes to the dry cleaner, and the dry cleaner uses specialized equipment and cleaning products to provide the service of cleaning and maintaining the garments.

In conclusion, dry cleaning is an example of a major service, supporting good on the continuum of goods and services. While the service aspect is the main offering, it relies on the use of tangible goods to deliver the desired outcome for customers.

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The woods co. and the mickelson co. have both announced ipos at $43 per share. one of these is undervalued by $20, and the over is overvalued by $14, but you have no way of knowing which is which. you plan on buying 1,000 shares of each issue. if an issue is underpriced, it will be rationed, and only half your order will be filled. what is the amount of the difference between your expected profit and the amount of profit you could earn if you could get 1,000 shares of woods and 1,000 shares of mickelson?

Answers

To calculate the difference between your expected profit and the potential profit if you could acquire 1,000 shares of Woods Co. and 1,000 shares of Mickelson Co., we need to consider the scenario where each company is either undervalued or overvalued.

Let's analyze the two possibilities:

Woods Co. is undervalued, and Mickelson Co. is overvalued:

In this case, you would be able to acquire 500 shares of Woods Co. (half of your order) at the IPO price of $43 per share. Since Woods Co. is undervalued by $20, you can expect its price to increase by $20 per share. Therefore, your profit per share would be $20.

For Mickelson Co., you would not be able to acquire any shares due to rationing. Hence, your profit from Mickelson Co. would be zero.

Total profit = (Profit per share from Woods Co. x Number of Woods Co. shares) + (Profit per share from Mickelson Co. x Number of Mickelson Co. shares)

Total profit = ($20 x 500) + ($0 x 0)

Mickelson Co. is undervalued, and Woods Co. is overvalued:

In this case, you would be able to acquire 500 shares of Mickelson Co. (half of your order) at the IPO price of $43 per share. Since Mickelson Co. is undervalued by $20, you can expect its price to increase by $20 per share. Therefore, your profit per share would be $20.

For Woods Co., you would not be able to acquire any shares due to rationing. Hence, your profit from Woods Co. would be zero.

Total profit = (Profit per share from Mickelson Co. x Number of Mickelson Co. shares) + (Profit per share from Woods Co. x Number of Woods Co. shares)

Total profit = ($20 x 500) + ($0 x 0)

To calculate the difference between your expected profit and the potential profit, we subtract the total profit in the second scenario from the total profit in the first scenario:

Difference = Total profit (Scenario 1) - Total profit (Scenario 2)

Difference = [(Profit per share from Woods Co. x Number of Woods Co. shares) + (Profit per share from Mickelson Co. x Number of Mickelson Co. shares)] - [(Profit per share from Mickelson Co. x Number of Mickelson Co. shares) + (Profit per share from Woods Co. x Number of Woods Co. shares)]

Since both scenarios result in zero profit from one of the companies, the difference would be zero.

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resources that may result from a socially complex phenomenon, something which cannot be systematically managed or influenced is called?

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The resources that may result from a socially complex phenomenon, something which cannot be systematically managed or influenced is called emergent properties.

Emergent properties are those that arise from the interactions and relationships among the components of a system, rather than being directly caused by any one component or factor. These properties can be difficult to predict or control, as they are often the result of complex and dynamic processes that are shaped by multiple factors and feedback loops.

Emergent resources are outcomes that arise from the interactions and behaviors within complex social systems. They are difficult to predict or control because they result from the spontaneous and dynamic interplay of various factors within the system.

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A stock split does not apply to a. treasury shares b. issued shares c. preferred shares d. common shares

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False. A stock split does apply to common shares.A stock split is a corporate action in which a company divides its existing shares into multiple shares.

The purpose of a stock split is to adjust the number of shares outstanding while maintaining the proportional ownership of shareholders. Typically, companies implement stock splits to make their shares more accessible to a broader range of investors by reducing the price per share.

A stock split does not apply to treasury shares because these are shares that a company has repurchased and are no longer outstanding. Issued shares represent the total number of shares a company has authorized and distributed, and a stock split affects these shares by increasing their quantity.

Preferred shares are a different class of shares with specific features, and although they may not be subject to stock splits as frequently as common shares, it is still possible for a company to split preferred shares if desired.

In summary, a stock split primarily applies to common shares, while treasury shares, issued shares, and preferred shares may not be subject to the same treatment or may have different considerations.

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the interest charged on a $100,000 note payable, at the rate of 6%, on a 90-day note would be select one: a. $1,500. b. $500. c. $6,000. d. $3,333.

Answers

The interest charged on a $100,000 note payable, at the rate of 6%, on a 90-day note would be:  $1,500. The correct option is A.

To calculate the interest charged on a $100,000 note payable at a 6% interest rate for a 90-day note, you can follow these steps:

1. Convert the annual interest rate (6%) to a decimal by dividing by 100: 6/100 = 0.06


2. Determine the daily interest rate by dividing the annual interest rate by 365 days: 0.06/365 = 0.000164


3. Calculate the interest for the 90-day period by multiplying the principal ($100,000) by the daily interest rate (0.000164) and then by the number of days (90): 100,000 * 0.000164 * 90 = $1,476.

So, the closest answer to the interest charged on a $100,000 note payable at a 6% interest rate for a 90-day note is a. $1,500. Please note that the calculated interest is $1,476, which is slightly different from the options provided: $1,500.  The correct option is A.

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Complete question:

the interest charged on a $100,000 note payable, at the rate of 6%, on a 90-day note would be select one:

a. $1,500.

b. $500.

c. $6,000.

d. $3,333.

how and why does working capital affect the incremental cash flow estimation for a proposed large capital budgeting project

Answers

Working capital refers to the current assets and liabilities of a company that are necessary to carry out its daily operations. These include cash, inventory, accounts receivable, and accounts payable.

When a large capital budgeting project is proposed, it will likely require additional working capital to finance the project's operations until it starts generating revenue. This means that the investment in working capital must be considered as part of the project's cash flow estimation.

The working capital investment affects the incremental cash flow estimation in two ways. First, it represents a cash outflow, as the company must invest in additional current assets to support the project's operations. Second, the working capital investment may generate a cash inflow over time as the company collects on accounts receivable and reduces its inventory levels. However, the timing of these cash inflows may not align with the timing of the working capital investment, leading to a temporary cash flow deficit.

Therefore, it is important to consider the impact of working capital investment on the cash flow estimation for a proposed capital budgeting project. Failure to do so can result in an inaccurate estimation of the project's cash flow and may lead to incorrect investment decisions.

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what type of electronic business represents traditional organizations with a physical location and no online business?

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The type of electronic business that represents traditional organizations with a physical location and no online business is referred to as a brick-and-mortar business.

Brick-and-mortar businesses are physical establishments that operate in a traditional manner, serving customers directly at a physical location such as a store, office, or restaurant. These businesses do not have an online presence or engage in e-commerce activities. They rely on in-person interactions and face-to-face transactions to conduct their business operations.

Unlike e-commerce businesses or online retailers, brick-and-mortar businesses do not sell products or services through a website or digital platform. Instead, they rely on the physical presence of customers visiting their premises to make purchases or avail themselves of their services. Examples of brick-and-mortar businesses include local retail stores, restaurants, banks, and medical clinics, among others.

While brick-and-mortar businesses have traditionally operated without an online presence, some may choose to incorporate elements of e-commerce or online marketing strategies to enhance their operations and reach a broader customer base. However, the defining characteristic of brick-and-mortar businesses is their primary focus on physical locations and in-person customer interactions.

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Inventory and Transactions Match the following transaction descriptions with the order in which the transactions typically would be recorded. Transaction Descriptions a. Records our obligation to pay the vendor for the products (Accounts Payable) b. Records our order of products from vendors. c. Records resale of product to customer and the customer's promise to pay later (Accounts Receivable) d. Records customer's payment in the bank account, used only if Undeposited Funds is selected on the receive Payment form. e. Records collection of the customer's payment. 1. Pays vendors for products received. Transaction Order 1. 2. 3. 4. 5. 6.

Answers

The company fulfills its obligation by paying the vendors for the products received.

What is the typical order of recording transactions for inventory and sales: order of products from vendors, obligation to pay the vendor, resale of product to customer with promise to pay later, customer's payment in the bank account (if Undeposited Funds is selected), and collection of the customer's payment?

The transaction order for the given descriptions would typically be as follows:

Records our order of products from vendors.  Records our obligation to pay the vendor for the products (Accounts Payable).  Records resale of product to customer and the customer's promise to pay later (Accounts Receivable).  Records collection of the customer's payment.  Records customer's payment in the bank account, used only if Undeposited Funds is selected on the receive Payment form. Pays vendors for products received.

This order reflects the typical flow of transactions related to inventory and sales. Initially, the company places an order for products from vendors, followed by recording the liability to pay the vendor (Accounts Payable). Subsequently, when the products are sold to customers, the sale is recorded as a receivable (Accounts Receivable). Once the customer pays, the payment is collected, and if necessary, recorded in the company's bank account. Finally, the company fulfills its obligation by paying the vendors for the products received.

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prepare journal entries to record each of the merchandising transactions assuming that the company records purchases using the gross method and a periodic inventory system.

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The journal entries for given merchandising transactions are Nov 5: Inventory Dr. $8,500 and Accounts Payable Cr. $8,500; Nov 7: Accounts Payable Dr. $300 and Inventory Cr. $300; and Nov 15: Accounts Payable Dr. $8,200 and  Cash Cr. $8,200.

Here are the journal entries to record each of the merchandising transactions assuming that the company records purchases using the gross method and a periodic inventory system:

Nov 5: Purchased 850 units of product at a cost of $10 per unit. Terms of the sale are 3/10, n/60; the invoice is dated November 5.

Inventory (Dr) $8,500

Accounts Payable (Cr) $8,500

This entry records the purchase of 850 units of product at a cost of $10 per unit. The total cost of the purchase is $8,500, which is debited to Inventory. The corresponding credit entry is made to Accounts Payable, which is the liability account that tracks the amount owed to the supplier.

Nov. 7: Returned 30 defective units from the November 5 purchase and received full credit.

Accounts Payable (Dr) $300
Inventory (Cr) $300

This entry reverses the initial entry made on November 5 for the 30 defective units that were returned. The cost of the returned units is $300, which is debited to Accounts Payable, reducing the amount owed to the supplier. The corresponding credit entry is made to Inventory, reducing the quantity and cost of the units in inventory.

Nov. 15: Paid the amount due from the November 5 purchase, minus the return on November 7.

Accounts Payable (Dr) $8,200
Cash (Cr) $8,200

This entry records the payment made to the supplier for the November 5 purchase, less the return made on November 7. The amount paid is $8,200, which is debited to Accounts Payable, reducing the amount owed to the supplier. The corresponding credit entry is made to Cash, which is the asset account that tracks the payment made to the supplier.

Note: The question is incomplete. The complete question probably is: Prepare journal entries to record each of the merchandising transactions assuming that the company records purchases using the gross method and a periodic inventory system. 5 Purchased 850 units of product at a cost of $10 per unit. Terms of the sale are 3/10, n/60; the invoice is dated November 5. Nov. 7 Returned 30 defective units from the November 5 purchase and received full credit. Nov. 15 Paid the amount due from the November 5 purchase, minus the return on November 7. Nov.

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CH 2 KB. If Union Manufacturing estimated manufacturing overhead to be $15,000 and the actual manufacturing overhead is $20,000, then the difference in manufacturing overhead is immaterial manufacturing overhead was under applied manufacturing overhead was over applied manufacturing overhead is a fixed cost

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CH 2 KB. If Union Manufacturing estimated manufacturing overhead to be $15,000 and the actual manufacturing overhead is $20,000, then B. manufacturing overhead was under-applied.

Based on the information provided, Union Manufacturing estimated its manufacturing overhead to be $15,000, while the actual manufacturing overhead turned out to be $20,000. This indicates that manufacturing overhead was under-applied by $5,000 ($20,000 - $15,000).

Under-applied manufacturing overhead occurs when the estimated overhead costs allocated during a period are lower than the actual overhead costs incurred. This can happen due to various reasons such as changes in production levels, unexpected expenses, or inaccurate estimations. It is essential for companies to closely monitor and adjust their overhead allocations to ensure accurate financial reporting and cost control.

On the other hand, over-applied manufacturing overhead takes place when the estimated overhead costs allocated exceed the actual overhead costs incurred. This situation can lead to a distorted view of a company's production costs and profitability.

It is important to note that manufacturing overhead includes both fixed and variable costs. In this scenario, we cannot determine if manufacturing overhead is a fixed cost without additional information. Therefore, the correct option is B.

The question was incomplete, Find the full content below:

CH 2 KB. If Union Manufacturing estimated manufacturing overhead to be $15,000 and the actual manufacturing overhead is $20,000, then

A. the difference in manufacturing overhead is immaterial

B. manufacturing overhead was under applied

C. manufacturing overhead was over applied

D. manufacturing overhead is a fixed cost

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Calculate the modified duration of a 10-year 7% semi-annual coupon bond priced at 97.50.
a. 7.316
b. 7.06
c. 6.88
d. 3.53
e. 3.67

Answers

The modified duration of a 10-year 7% semi-annual coupon bond priced at 97.50 is 6.88. Therefore, the correct option is C.

The modified duration can be calculated using the formula:

Modified duration = Macaulay duration / (1 + Yield to maturity / Number of coupon payments per year)

First, we need to calculate the Macaulay duration:

Macaulay duration = (1 x 0.5 / 3.5) + (2 x 0.5 / 3.5) + ... + (20 x 0.5 / 3.5) + (20 + 1000 / (1 + 0.035 / 2)^20 x 0.5 / 3.5)
                 = 7.06

Next, we need to calculate the yield to maturity. Since the bond is priced at a discount (97.50), the yield to maturity will be higher than the coupon rate of 7%. Using a financial calculator or Excel, we can find that the yield to maturity is approximately 3.67%.

Finally, we can calculate the modified duration:

Modified duration = 7.06 / (1 + 0.0367 / 2)
                 = 6.88

Therefore, the answer is option C: 6.88.

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debt is always cheaper than equity. why? therefore, the optimal debt ratio is all debt. hhow would you respond

Answers

Debt is often considered cheaper than equity due to the difference in risk and tax implications. Debt financing involves borrowing funds from lenders, such as banks or bondholders, while equity financing involves raising funds by selling shares of a company to investors.

One reason debt is considered cheaper is that interest payments on debt are tax-deductible, effectively lowering the overall cost of borrowing. In contrast, dividends paid to equity shareholders are not tax-deductible and are paid out of a company's after-tax profits.

Another reason is that debt carries  a lower risk for investors compared to equity. Lenders have a higher claim on a company's assets and earnings, as they must be paid before equity shareholders in case of bankruptcy or liquidation. This results in lower required returns for debt compared to equity, making it less costly for companies to raise funds through debt financing.

However, stating that the optimal debt ratio is all debt oversimplifies the issue. Over-reliance on debt can increase the risk of financial distress and potential bankruptcy. A high debt ratio may lead to increased interest rates on future borrowing, as lenders perceive the company to be riskier. Furthermore, a company with high debt levels may have less flexibility in managing its cash flows and responding to market changes.

In conclusion, while debt can be cheaper than equity, companies need  to maintain a balanced capital structure that optimizes their cost of capital and minimizes financial risk. The optimal debt ratio depends on factors such as the nature of the business, industry, and prevailing economic conditions.

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​investor pessimism., A bear market condition is associated with: ​investor optimism. ​declining securities prices. ​economic recovery. ​increased tax rate.

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In a bear market condition, investor pessimism prevails, and it is associated with declining securities prices. This means that the overall sentiment among investors is negative, leading to a downward trend in the prices of stocks, bonds, and other securities.

The expectation of economic recovery is typically low during a bear market, as investors tend to be cautious and uncertain about future prospects. Increased tax rates, on the other hand, are not directly associated with a bear market condition.

A bear market is characterized by a negative sentiment among investors, leading to declining securities prices. During this period, investor pessimism dominates the market as individuals are generally less confident about the prospects of the economy and financial markets.

This pessimism often results from various factors such as economic downturns, geopolitical uncertainties, or unfavorable market conditions. As a result, investors tend to sell off their holdings, causing prices to decline.

The expectation of an economic recovery is generally low during a bear market as investors have little optimism about the near-term prospects of the market. However, it's important to note that increased tax rates are not directly associated with a bear market. Tax policies can have an impact on the market, but they are just one of many factors that can influence investor sentiment and market conditions.

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Compute the following probabilities using the standard normal curve p(z 1. 53)

Answers

To compute the probability using the standard normal curve, we can use a Z-table or a statistical calculator. Assuming that you are looking for the probability of a standard normal random variable being less than 1.53, we can find this probability by looking up the corresponding Z-score in the Z-table.

Using the Z-table, the probability of a standard normal random variable being less than 1.53 is approximately 0.9370.

Therefore, p(z < 1.53) is approximately 0.9370, or 93.70%.

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An individual or business paying rent on a property would usually hold which of the following titles?
A. Leasehold
B. Freehold
C. Fee simple
D. Allodial

Answers

Answer:

A. Leasehold

Explanation:

Computing Accrued Interest Compute the interest accrued on each of the following notes receivable held by Southland, Inc., on December 31: (Use 360 days for interest calculation. Round to the nearest dollar.) Date of Interest Maker Note Principal Rate Term Maple November 21 $20,000 10% 120 days Wyman December 13 14,000 9% 90 days Nahn December 24 21,000 6% 60 days 0 x Maple: $ Wyman: Nahn: 0 x 01X

Answers

Maple: $667, Wyman: $315, Nahn: $210

To compute the accrued interest, we need to use the formula: Principal x Rate x Time. Time is calculated based on the number of days between the note date and December 31, using 360 days.

For Maple, the time is 40 days, for Wyman, it is 18 days, and for Nahn it is 7 days. Therefore, the accrued interest for Maple is $667 (20,000 x 10% x 40/360), for Wyman it is $315 (14,000 x 9% x 18/360), and for Nahn it is $210 (21,000 x 6% x 7/360).

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You have been asked to develop a pro forma statement of cash flow for West Office Plaza. The information given to you is listed below. Property Information: WEST OFFICE PLAZA Rentable Area Age Number of Stories Number of Tenants 312,000 square feet 8 years 15 40 Financial Information: Base Rent Average Other Income/Parking/Storage Expenses Recoverable from Tenants Current Vacancy $ 20 per square feet $ 2.10 per square feet $ 3.10 per square feet 5 Expenses: Management/Administration/Security/Ownership $ 696,20€ Property Taxes $ 678,000 Insurance $. 431,200 General Operations/Leasing Expense/Marketing $ 670,000 Utilities $ 1,162, 100 Janitorial/Cleaning $ 492,000 Business Taxes $ 113,000 Other : Recurring CAPEX/Improvement Allowance $703,000 Required: a. Develop a pro forma statement of cash flow for a base year showing net operating income (NOI) for West Office Plaza.

Answers

The pro forma statement of cash flow for West Office Plaza for the base year shows a net operating income (NOI) of $4,925,000. This is calculated by subtracting the total expenses of $3,277,320 (management/administration/security/ownership, property taxes, insurance, general operations/leasing expense/marketing, utilities, janitorial/cleaning, business taxes, and recurring CAPEX/improvement allowance) from the total revenue of $8,202,320 (base rent of $20 per square foot for 312,000 square feet, average other income/parking/storage of $2.10 per square foot, and recoverable expenses from tenants of $3.10 per square foot, multiplied by 312,000 square feet). The current vacancy rate was not given, so it is assumed to be 0% for the base year.

To develop a pro forma statement of cash flow for West Office Plaza, follow these steps:
1. Calculate Total Potential Rent: Rentable Area (312,000 sq ft) x Base Rent ($20/sq ft) = $6,240,000
2. Calculate Vacancy Loss: Total Potential Rent x Vacancy Rate (5%) = $312,000
3. Calculate Effective Rental Income: Total Potential Rent - Vacancy Loss = $5,928,000
4. Calculate Other Income: Rentable Area x Other Income ($2.10/sq ft) = $655,200
5. Calculate Total Income: Effective Rental Income + Other Income = $6,583,200
6. Calculate Recoverable Expenses: Rentable Area x Recoverable Expenses ($3.10/sq ft) = $967,200
7. Calculate Total Operating Expenses: Sum of all listed expenses = $4,841,500
8. Calculate Net Operating Income (NOI): Total Income - (Total Operating Expenses - Recoverable Expenses) = $6,583,200 - ($4,841,500 - $967,200) = $2,708,900

The pro forma statement of cash flow for a base year showing net operating income (NOI) for West Office Plaza is $2,708,900.

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Equal monthly payments (starting end of first month) on a 6-year, $50,000 loan at a nominal annual interest rate of 10% compounded monthly are:A. $977.50 B. $956.71 C. $694.44 D. $926.20

Answers

The answer is A. $977.50.
To calculate equal monthly payments on a loan, you can use the formula:
P = (Pr(1+r)^n) / ((1+r)^n - 1)
Where P is the monthly payment, r is the nominal annual interest rate divided by 12 (since it's compounded monthly), and n is the total number of payments (in this case, 6 years times 12 months per year, or 72 months).
Plugging in the numbers, we get:
P = (50000(0.1/12)(1+0.1/12)^72) / ((1+0.1/12)^72 - 1)
P = $977.50
So the answer is A. $977.5

To answer your question, let's calculate the equal monthly payments on a 6-year, $50,000 loan at a nominal annual interest rate of 10% compounded monthly. We can use the loan payment formula:
P = (PV * r * (1 + r)^n) / ((1 + r)^n - 1)
Where:
P = monthly payment
PV = present value (loan amount) = $50,000
r = monthly interest rate (annual rate / 12) = 0.10 / 12 = 0.008333
n = total number of payments (years * 12) = 6 * 12 = 72
P = (50,000 * 0.008333 * (1 + 0.008333)^72) / ((1 + 0.008333)^72 - 1)
P ≈ 956.71
So, the equal monthly payments for this loan are approximately $956.71, which corresponds to option B.

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Each of the following managers works for a national chain of hotels and has been given certain decision-making authority. Classify each of the managers according to the type of responsibility center they manage. a. Manager of the Central Reservation Office b. Managers of various corporate-owned hotel locations c. Manager of the H1 Corporate Division d. Manager of the Housekeeping Department at one hotel e. Manager of the H2 Corporate Division f. Manager of the complimentary breakfast buffet at one hotel Cost center nvestment center Profit center Revenue center

Answers

The managers can be classified according to the type of responsibility center they manage as follows.



a. Manager of the Central Reservation Office - Revenue center This manager is responsible for generating revenue by managing the reservations for all the hotels in the chain. b. Managers of various corporate-owned hotel locations - Profit center These managers are responsible for managing the operations of individual hotels and ensuring that they are profitable. c. Manager of the H1 Corporate Division - Investment center This manager is responsible for making investment decisions that will benefit the overall performance of the hotels in the chain. d. Manager of the Housekeeping Department at one hotel - Cost center This manager is responsible for managing the expenses related to housekeeping at one hotel. e. Manager of the H2 Corporate Division - Investment center This manager is responsible for making investment decisions that will benefit the overall performance of the hotels in the chain. f. Manager of the complimentary breakfast buffet at one hotel - Cost center This manager is responsible for managing the expenses related to providing complimentary breakfast at one hotel.

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What are some
ways you can work towards building a positive
online presence?

Answers

Building a positive online presence is essential in today's digital age. It can enhance your personal brand and open up opportunities for career growth and social connections. Here are some ways you can work towards building a positive online presence: 1. Monitor your online reputation, 2. Create and maintain a professional online profile, 3. Engage with your online community , 4. Post positive content , 5. Use privacy settings.

1. Monitor your online reputation - Keep a close eye on what is being said about you online, and address any negative comments or reviews promptly.

2. Create and maintain a professional online profile - Use your real name and a professional profile picture across all your social media platforms. Keep your profiles updated and make sure your content aligns with your personal brand.

3. Engage with your online community - Be active on social media and engage with your followers, respond to their comments and messages. Share relevant and helpful information and build relationships with like-minded people.

4. Post positive content - Focus on creating content that is informative, helpful, and positive. Share your accomplishments, experiences, and expertise to build credibility and showcase your personal brand.

5. Use privacy settings - Set your privacy settings on all your social media platforms to control who can see your content. Ensure that your personal information is not publicly accessible. Building a positive online presence takes time and effort, but it's worth it. By following these tips, you can create a strong personal brand and establish yourself as a thought leader in your industry.

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venture capitalists tend to avoid investment proposals that are referred from lawyers and accountants.
T/F

Answers

The statement "Venture capitalists tend to avoid investment proposals that are referred from lawyers and accountants" is false.

Venture capitalists evaluate investment proposals based on various factors such as the potential for growth, market opportunity, competitive advantage, management team, and financial viability. They consider a wide range of referral sources, including lawyers and accountants, to identify potential investment opportunities.

Lawyers and accountants play crucial roles in the business ecosystem, providing legal and financial expertise to companies seeking investment. They often have networks and connections within the industry and can refer investment opportunities to venture capitalists.

Venture capitalists value referrals from trusted professionals who can provide insights and due diligence on potential investment opportunities. While they conduct their own thorough evaluation of investment proposals, referrals from lawyers and accountants can provide valuable initial screening and validation of the opportunity.

Therefore, venture capitalists do not tend to avoid investment proposals referred from lawyers and accountants; rather, they consider such referrals as one of many sources for identifying potential investment opportunities.

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as the christmas is getting close, small temporary boutiques are set up in various shopping malls. what are these stores called?

Answers

These stores are called pop-up shops or temporary boutiques, which are set up in shopping malls during the Christmas season to cater to the increased demand for holiday shopping.

Pop-up shops, also known as temporary boutiques or seasonal stores, are temporary retail spaces that are established for a limited period, often coinciding with specific events or seasons. During the Christmas season, shopping malls and commercial areas often host these pop-up shops to capitalize on the increased consumer demand for holiday shopping.

Pop-up shops offer a unique shopping experience by providing a temporary and limited-time presence, creating a sense of urgency and exclusivity for customers. They typically feature a specific theme or product selection that aligns with the holiday season, such as Christmas decorations, festive clothing, holiday gifts, or specialty food items.

These stores are an opportunity for both established brands and emerging businesses to showcase their products and reach a larger audience during a peak shopping period. They allow retailers to test new markets, build brand awareness, and generate additional revenue during the busy holiday season.

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