All options (1-3) can customize the Company/Security tab's Comps report.
How to customize Comps report?Yes, you can customize the peers in the Comps report in the Company/Security tab by following these steps:
Loading in private comps or ADRs: You can include private companies or American Depositary Receipts (ADRs) in your report. Private comps refer to privately-held companies that are not publicly traded on stock exchanges. ADRs represent shares of foreign companies traded on U.S. stock exchanges.
Limiting by geography: You can limit the selection of peers based on geographic regions. This allows you to focus on companies operating in specific countries or regions of interest.
Changing the data item used to determine comps: You can modify the criteria used to determine the peers. For example, instead of using market capitalization as the primary factor, you can choose a different financial metric such as revenue, earnings, or industry-specific metrics.
Therefore, the correct answer is option 4: All of the above. By utilizing these customization options, you can tailor the Comps report to suit your specific requirements and compare the target company with a relevant set of peers.
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Which are considered to be the working areas of accounting?
The five main working areas of accounting. They are - managerial accounting, financial accounting, auditing, tax accounting, and accounting for governmental and not-for-profit organisations.
Business transactions are recorded and categorised as part of financial accounting. Here majority of the information is historical, or from the past. Managerial accounting is about a company’s operations to managers.
Internal and external auditing are the two distinct forms of auditing. An impartial third party examines a company's financial accounts during an external audit. Examining an organization's accounting division of labour is a component of internal auditing. Additionally, what standards and processes are in place, as well as who is qualified to do whatever accounting tasks.
Tax accounting include making preparations for tax season and filing tax returns. This area of accounting supports firms in adhering to IRS requirements. Public accounting, sometimes referred to as government accounting, manages all state and federal money distributions. Climate change, the utilisation of welfare money, social accounting, and the estimation of the cost to humanity are only a few examples.
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The company produced 4,000 units of P59G. Direct materials cost $7.30 per unit and direct labor costs $5.45 per unit. How much overhead cost would be allocated to Product P59G using activity-based costing
Explanation:
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The cost of land would not include: Multiple Choice Purchase price. Cost of parking lot lighting. Costs of removing existing structures. Title insurance fees. Government assessments.
The cost of land would not include option(a) i.e, the Cost of parking lot lighting.
What is meant by the cost of land?The asset valuation method that is used to value land that appears on a company's balance sheet is known by the financial accounting term cost of land. The price of the land would cover all costs incurred in purchasing the property as well as those incurred in getting it ready for usage by the business.
The price of the land might be calculated by adding the purchase price, the local government's appraisal of the property, deducting the cost of any existing structures, and title insurance premiums.
All expenses incurred to prepare the improvements for use are included in the cost of land improvements. For instance, the cost of the parking lot is just the agreed-upon fee when two businesses enter into a contract to build one on the other's property.
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The fee to be paid to a buyer's broker by a buyer-client is determined by agreement between:____.
The fee to be paid to a buyer's broker by a buyer-client is determined by the agreement between the buyer's broker and the buyer
A broker is an individual or company that acts as an intermediary between investors and a stock exchange. Brokers can also refer to the firm's role when acting as the client's agent and charging the client a fee for their services.
The definition of a broker is someone who buys and sells things on behalf of others. Someone you hire to buy stocks for you on the stock market is an example of a broker. They are intermediaries between two parties. In stock market jargon, a broker is a person or company that executes buy and sell orders for investors at a fee or commission.
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The Treasury yield curve is Downward sloping. Empirical data indicate that a positive maturity risk premium applies to both Treasury and corporate bonds. Empirical data also indicate that there is no liquidity premium for Treasury securities but that a positive liquidity premium is built into corporate bond yields. Which of the following is not necessarily correct
A 5-year corporate bond must have a higher yield than a 10-year Treasury bond.
What do you understand by corporate bond?
A firm can raise funds by issuing debt in the form of corporate bonds. Corporate bonds can be actively traded on the secondary market, but when an investor purchases one, they are making a loan to the company in exchange for several interest payments.
What do you mean by Treasury Bond?
Treasury bonds (sometimes known as T-bonds) are fixed-rate debt instruments issued by the US government, with maturities ranging from 10 to 30 years. T-bonds offer semi-annual interest payments up until maturity when the owner is given the bond's face value.
Why do corporate bonds have a higher yield than Treasury bonds?
Since corporate bonds carry a risk of default but Treasury bonds are guaranteed if held to maturity, corporate bonds often have a higher yield than Treasury bonds.
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Instead of selling your product throughout the united states, you might concentrate on one or two regions. this is an example of which type of segmentation?
Instead of selling your product throughout the united states, you might concentrate on one or two regions. This is an example of a Geographic type of segmentation.
Segmentation is the process of dividing a company's target market into groups of potential customers with similar needs and behaviors. This helps the company sell to each customer group with different strategies tailored to their needs.
Demographics, psychographics, behavior, and geographic segmentation are considered the four major types of market segmentation, but there are many other strategies available, including numerous variations of the four major types. I have. Here are some more ways you might want to explore.
Segmentation recognizes that different people and groups have different needs. Successful marketers use segmentation to find out which group (or segment) in the market is best suited for the product they offer. These groups form the target market.
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the government is one of three primary types of insurers. government insuarance provides protections against fundemental risks.
This government insurance program is an example of Social Security.
Social security is the protection that a society provides to individuals and households to ensure access to health care and to guarantee income security, particularly in cases of old age, unemployment, sickness, invalidity, work injury, maternity or loss of a breadwinner.
What is an Example of Social Security?An example of Social Security is a monthly check received by a retired worker which is based on the age of the worker and the amount of money the worker has earned over their work history. A federal program, created under the Social Security Act of 1935, that is designed to provide some financial support to retirees.Effective social security systems guarantee income security and health protection, thereby contributing to the prevention and reduction of poverty and inequality, and the promotion of social inclusion and human dignity.
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Correct Question - The government is one of three primary types of insurers. Government insurance provides protections against fundamental risks. This is an example of which government insurance program?
Cash that is restricted and is not available for current use may be reported in the balance sheet as:
Cash that is restricted and is not available for current use may be reported in the balance sheet separately from the income statement.
Restricted cash is mentioned one by one from cash and cash equivalents on an enterprise's stability sheet, and the reason the cash is limited is normally found out within the economic statement's accompanying notes.
Amounts commonly defined as confined cash and restricted cash equivalents are required to be included in the overall cash and cash equivalents within the statement of cash flows. The overall must reconcile to the same quantities at the assertion of assets and liabilities.
Cash that is confined for one year or much less is labeled underneath present-day assets, while cash restricted for more than a year is classified as a non-current asset.
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You take out a 20-year $240,000 mortgage loan with an APR of 12% and monthly payments. In 12 years, you decide to sell your house and pay off the mortgage. What is the principal balance on the loan
The principal balance on the loan is $162,593.52.
First, allow's locate the monthly charge
PV = 240,000
n = 20 * 12 = 240 monthly payments
r = 12%/12 = 0.01 in step with month
PV PMT * 1- 1 (1+r) n
240,000 = frac{PMT}{0.01} * left [ 1 - frac{1}{(1+0.01)^{240}} right ]
240,000 = frac{PMT}{0.01} * 0.9081941635
240,000 = PMT * 90.81941635
PMT = frac{240,000}{90.81941635}
PMT = $2,642.6067205176
Now, we are able to locate the mortgage notable after 12 years
PMT = $2,642.6067205176
variety of payments ultimate, n = (20 - 12) * 12 = 96
r = 0.01
PV PMT * 1- 1 (1+r) n
PV = frac{2,642.6067205176}{zero.01} * left [ 1 - frac{1}{(1+0.01)^{96}} right ]
PV = 264,260.67205176* 0.6152770299
PV = 162,593.5214193848
essential stability at the loan = $162,593.52
A mortgage loan is a secured mortgage that lets you avail your budget by providing an immovable asset, along with a house or commercial property, as collateral to the lender. The lender keeps the asset till you repay the loan.
The time period “mortgage” may be used to explain any monetary transaction where one celebration receives a lump sum and agrees to pay the cash again. A mortgage is a sort of mortgage that is used to finance assets. A mortgage is a kind of loan, but no longer all loans are mortgages.
When purchasing a house, there are three main kinds of mortgages to choose from fixed-fee, conventional, and trendy adjustable charge. All have distinct benefits and shortcomings that assist numerous homebuyer profiles.
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What purpose does tesla serve in the economy?
Tesla has created over 1,500 jobs at its ATVM-supported facilities. The Department of Energy's investment in Tesla supports the commercial deployment of advanced technologies that help U.S. automakers remain competitive in the growing global advanced vehicle market. This is the purpose of tesla serving the economy.
The economy is the field of production, distribution, trade and consumption of goods and services. Generally, it is defined as a social domain emphasizing practices, discourses, and material expressions related to the production, use, and management of scarce resources.
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ABC Lending requires mortgage borrowers to prepay 12 months of property taxes and insurance at closing. Where must these funds be held
ABC Lending requires mortgage borrowers to prepay 12 months of property taxes and insurance at closing. In Escrow account must these funds be held.
What is Escrow account ?When two parties to a financial transaction agree to hold valuables like money, property deeds, and personal financial papers in an escrow account until certain requirements are met, the account is maintained by an outside entity.
Escrow is a legal arrangement in which a third party accepts and disburses funds or property on behalf of the principal parties to a transaction, with the disbursement subject to terms established by those parties.
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Holding other factors constant, legislation to cut taxes in an open economy will: a. increase national saving and lead to a trade surplus. b. increase national saving and lead to a trade deficit. c. reduce national saving and lead to a trade surplus. d. reduce national saving and lead to a trade deficit.
The correct option is (d); reduce national saving and lead to a trade deficit.
What is trade deficit?When a nation purchases more than it exports, a trade deficit results. Although very big deficits can hurt the economy, a trade deficit is neither fundamentally fully positive nor harmful.
Some key features of trade deficit are-
When a nation purchases more than it exports, a trade deficit results. A nation with a trade deficit, also referred to as a negative trade balance, has spent more money than it has made in its foreign trade with other nations.The amount of imports and exports a nation makes can affect that nation's GDP, currency value, rate of inflation, and interest rates. The amount of imports and the size of the trade deficit can both hurt a nation's currency.A trade imbalance results when domestic consumers purchase more foreign goods than domestic manufacturers sell to overseas consumers, which lowers GDP.The trade deficit can be improved by consume less and save more.To know more about the causes of the trade deficit, here
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Cisco is a 16-year-old with a part-time job. He makes $100 per week and spends $50 on car insurance each week. This is his only income and his only expense. Which type of budget would be easiest for Cisco?
A mental budget
He need just keep in mind that he generates a profit of $50 per week if he only receives $100 per week and spends $50 of that for car insurance. A mental budget would be ideal because it is not complicated.
What is mental budgeting?Mental budgeting is fairly prevalent, and it is explained by having saving objectives, financial knowledge, a time-oriented mindset, and financial circumstances. Additionally, having an overview of spending and current accounts, as well as household financial management, were positively correlated with mental budgeting, along with the effects of financial status, time orientation, and financial awareness.
I understand the question you are looking for is this:
Cisco is a 16-year-old with a part-time job. He makes $100 per week and spends $50 on car insurance each week. This is his only income and his only expense. Which type of budget would be easiest for Cisco?
A. a software-based budget
B. a mental budget
C. a physical budget
D. a written budget
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Tanen inc. follows theory z and assumes a relationship between the company and the employee that is not typical in the united states. The company plans for?
Tanen inc. follows theory z and assumes a relationship between the company and the employee that is not typical in the united states. The company plans for long-term staff development and employment.
Developing staff members' knowledge, abilities, and competencies, in order to increase their effectiveness and efficiency for both themselves and the company, is referred to as staff development.
All types of development activities are included in staff development, including workshops, work shadowing, independent study, e-learning, internal or external courses, and scheduled experiences.
Within the constraints of the current budgetary allocation and the acknowledged business necessity, the Company shall endeavor to support persons in a number of ways.
Investing in staff development ensures that your business has the greatest team possible.
When staff members are adequately trained and that training is kept current, they can better assist consumers and provide an excellent customer experience.
Additionally, it demonstrates your willingness to invest in your employees, and they will reward you with greater loyalty and improved performance.
Hence, the company plans for long-term staff development and employment.
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The effect of repurchasing stock using the cost method is to ______. (Check all that apply.) Multiple select question. decrease assets decrease stockholders' equity increase Treasury Stock decrease liabilities increase liabilities decrease Treasury Stock increase assets
The effect of repurchasing stock using the cost method is to Increase Treasury Stock, Decrease stockholders' equity ,Decrease Assets.
What is Cost Method?Certain investments are recorded using the cost method of accounting in a company's financial statements. When an investor holds an investment that it has little or no control over—typically described as owning less than 20% of the company—they employ this strategy. On the balance sheet, the investment is listed as an asset at its historical cost. The investor lists the investment's cost as an asset. Dividend income is recorded as income when it is received and appears on the income statement. Depending on the investor's accounting principles, the receipt of a dividend also boosts the cash flow, either in the investing portion or the operational area of the cash flow statement.Treasury stock, commonly referred to as treasury shares or reacquired stock, describes previously outstanding stock that the issuing corporation purchases back from stockholders. The effect of repurchasing stock using the cost method increases treasury stock.
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Money that is invested in small and sometimes struggling firms that have the potential to become very successful is called:________
Money that is invested in small and sometimes struggling firms that have the potential to become very successful is called Venture capital
Venture capital (VC) is a sort of private equity and financing provided by investors to start-up enterprises and small businesses with the potential for long-term growth. The majority of venture capital is often provided by wealthy individuals, investment banks, and other financial organizations.
A venture capital fund is a type of private equity that is funded by institutional and private investors, including investment banks, insurance providers, and pension funds. Due to its unstable character, venture capital investing is also known as patient risk capital or risk capital.
A form of equity financing known as venture capital (VC) involves investing money in exchange for equity, usually a small interest in a business that appears to be set for rapid expansion.
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The discharge of an employee for reporting the employer's alleged violations of law is known as ________. Group of answer choices affirmative action benchmarking accommodation whistleblowing ratification
The discharge of an employee for reporting the employer's alleged violations of law is known as whistle-blowing.
What is whistle-blowing?Calling attention to misconduct that is taking place within an organisation is referred to as whistle blowing.
Some characteristics of whistle-blowing are-
One of the best ways to identify and stop fraud, corruption, and other wrongdoing is by whistle-blowing. Whistleblowers' revelations have revealed malfeasance and fraud, assisted in the preservation of millions of tax dollars, and helped avert environmental and health catastrophes.Whistle-blowers may be fired or coerced into leaving by their employers. Employees who don't leave their jobs risk being harassed, demoted, ostracised, or intimidated. Some whistle-blowers break under the pressure, developing depression or panic attacks or turning to alcohol.Therefore, the phrase "whistle-blowing" is used when an employee divulges information about wrongdoing. This is referred to as "making a disclosure" or "blowing the whistle" in this guidance. Usually, but not always, the wrongdoing will be something they have seen at work.
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it is your job to take customer orders and ensure items are in stock. it is alex's job to package and deliver those istemrs to the custmoer.
it's his job to take customer orders and make sure the items are in stock, his role is a stockist, and it's alex's job to pack and deliver these istemrs to the customer, he's a packer.
What are the functions of a stockist?A stockist is responsible for managing the stock, receiving goods and knowing where each type of product is. This professional should organize the products and separate them by categories to make it easier to find them.
What is a packer?The Packer packs, bags and boxes the goods. He also provides support by transporting products to the various areas of an establishment. In addition to checking the weight, prices and codes of the merchandise, this professional is responsible for forwarding documents, objects and serving customers.
With this information, we can conclude that his role is a stock clerk, and it is the job of packer Alex.
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You estimate the duration of an activity as five days because an expert told you that it took five days to complete a similar activity in a previous project. Which of the following methods have you used for your activity estimation estimate
Analogous estimating method is used for activity duration estimation.
What is Analogous Estimation?
Using the analogous estimation technique, the project manager examines a previous project, analyzes its factors, and uses that data to estimate the size and expense of the current project.
Why is analogous estimating most reliable?
When there are few specifics available early in the project, analogous estimation is a more accurate method of estimation. The technique is straightforward, and it takes very little time to estimate. Since the method is based on the organization's prior project data, a high success rate for the organization can be anticipated.
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The shares of Home Mortgage Corporation are publicly traded in securities markets. Home Mortgage Corporation is
The shares of Home Mortgage Corporation are publicly traded in securities markets. Home Mortgage Corporation is a publicly held corporation.
What is a public corporation?This is an organization, whose shares are openly traded on a stock exchange, which is owned by the government.
It is to be noted that a public corporation is one that has sold all or part of its stock to the general public through an initial public offering (IPO).
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Tyler works as a senior customer service associate at a large financial services firm. When the stock market closes each day, he is responsible for entering the closing prices of funds and processing withdrawals. These responsibilities would likely be considered as
Tyler is employed by a sizable financial services company as a senior customer service associate. He is in charge of entering the closing values of funds and executing withdrawals each day when the stock market closes. These duties would probably be regarded as routine task performance.
Routine task performance
Routine task performance involves well-known reactions to demands that come up normally, routinely, or in another predictable fashion. For routine-cognitive activities, routine task input is most prevalent in either clerical vocations or in jobs such as machine operators or assembly workers (for routine- manual tasks). 27 Each task is rated from one to 10, with ten denoting the task that is most frequently performed in this occupation. 28 We tested with a few somewhat different classification schemes.
The average of "Set Limits, Tolerances, or Standards" (routine cognitive tasks), which measures adaptability to situations requiring the precise attainment of set limits, tolerances, or standards, and "Finger Dexterity" (routine manual tasks), which measures ability to move fingers and manipulate small objects with fingers quickly or accurately.
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Which of the following institutions makes up the largest part of the Federal Reserve System organization
The Correct answer choice for question 1 is : Federal Reserve Banks
What is Federal Reserve Banks?
While the Board of Governors is a sovereign government agency, the Federal Reserve Banks are set up like private companies. Member banks hold stock in the Federal Reserve Banks and earn profits. The Federal Reserve's interest is determined principally from the interest on U.S. government securities that it has received through open market operations.
AND
The Correct answer choice for question 2 is : Buy government securities
What is Recession?A recession is a business cycle recession which occurs in a general slowdown in financial activity. Macroeconomic indicators such as GDP, finance spending, capacity utilization, household income, business profits, and inflation fall, while failures and the unemployment rate rise.
Therefore, we can conclude that the correct option of 1 is (B) and 2 is (A).
Your question is incomplete, but most probably your full question was:
1. Which of the following institutions makes up the largest part of the Federal Reserve System organization?
A. Board of Governors
B. Federal Free Market Committee
C. Federal Reserve Banks
D. Member banks and other depository institutions
2. If the United States falls into a recession, which action would the Federal Reserve take to encourage employment?
A. Buy government securities
B. Increase reserve requirements
C. Raise federal funds and prime rates
D. Sell government securities
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Answer:
member banks and other depository institutions
Explanation:
just took the test
Ted Catering received $920 cash in advance from a customer for catering services to be provided in three months. Determine the general journal entry that Ted Catering will make to record the cash receipt. Multiple Choice
Journal entry
Date account and explanation Debit credit
Cash 920
Unearned catering revenue 920
A magazine entry is a record of a business transaction for your business books. In double-entry bookkeeping, you're making a minimum of two magazine entries for every transaction. Due to the fact, that a transaction can create a variety of changes in an enterprise, a bookkeeper tracks all of them with magazine entries.
An example of journal access consists of the purchase of machinery through us of an in which the machinery account will be debited, and the cash account can be credited.
An instance of a magazine is a diary in which you write approximately what takes place to you and what you're questioning. An instance of a magazine is the new England magazine of medication, in which new research is posted which might be applicable to doctors and medicinal drugs.
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If the marginal benefit of the first donut is 30 , the marginal benefit of the second donut is 15, and the marginal benefit of the third donut is 10, what is the total benefit from eating 2 donuts?.
The total benefit from eating 2 donuts is 45.
What Does Marginal Gain Mean?A consumer's utmost willingness to pay for an additional commodity or service is known as the marginal benefit. It also refers to the additional pleasure or utility that a customer experiences after purchasing the extra commodity or service. As a consumer consumes more of a good or service, their marginal benefit tends to drop.
The term "marginal revenue" is frequently used in the business world to describe the manufacturers' marginal gain.
Calculation:
The extra enjoyment attained from eating one more unit of the good is referred to as a marginal benefit. It alludes to the benefit brought on by consuming one additional unit of a good. Total satisfaction obtained from using products and services is the overall gain.
The combined advantages of eating the first two doughnuts equal the benefits of eating two doughnuts.
= 30 +45
=45.
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The BDO Seidman v. Hirschberg, 93 N.Y.2d 382 case focuses on: Group of answer choices Whether adequate records and documents are maintained. Whether personal relationships between company management and external auditors is allowed. Whether merger and acquisition services should be provided for an audit client. Whether a firm's protective covenants are reasonable in scope.
The BDO Seidman v. Hirschberg, 93 N.Y.2d 382 case focuses on Whether a firm's protective covenants are reasonable in scope.
BDO Seidman (BDO), the General Partnership of Certified Public Accountants, is appealing for confirmation of the Supreme Court's order dismissing the claims against defendants who were former CPA defendants.
The key issue before us is the invalidity of the "redemption clause" in the agreement between the parties that obliges the defendant to compensate within 18 months of BDO's dismissal for servicing clients at its Buffalo office. and whether it is a non-enforceable limitation.
The question is incomplete. Please read below to find the missing content.
The BDO Seidman v. Hirschberg, 93 N.Y.2d 382 case focuses on:
- Whether merger and acquisition services should be provided for an audit client.
- Whether a firm's protective covenants are reasonable in scope.
- Whether adequate records and documents are maintained.
- Whether personal relationships between company management and external auditors is allowed.
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It is most accurate to say that successful niche marketing relies on a firm's ________ and its ________.
It is most accurate to say that successful niche marketing relies on a firm's Greater knowledge of customers need and its special reputation.
What is a marketing niche?A niche has to do with the particular brand or the particular trade that a person that is focused on buying and selling does.
This is to say that the person that is focused here would be successful if they know what their customers demand from them and the ways that they can carry out their activities for a greater reputation. The niche has the brand of the business.
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____________reflect(s) the consequences of executing process steps. Group of answer choices Material Groups Organizational Data Transaction Data Project Management None of the above
(B) Transaction Data reflects the consequences of executing process steps.
What is transactional data?In the context of data management, transactional data is information recorded from transactions. In this sense, a transaction is a series of information exchanges and related activities (such as database updating) that is handled as a unit for the purpose of satisfying a request.Transaction Data reflects the outcomes of process steps being carried out.What is Organizational Data?Organizational data describe the fundamental properties of organizations, their internal structures and processes, and their behavior as corporate players in various social and economic environments.What is project management?Project management is the process of managing a team's effort to fulfill all project goals within the limits set. This data is typically described in project documentation, which is prepared at the start of the development process.As the definition itself states, Transaction Data reflects the outcomes of process steps being carried out.
Therefore, (B) transaction Data reflects the consequences of executing process steps.
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Complete question:
____________reflect(s) the consequences of executing process steps. Group of answer choices Material Groups
(A) Organizational Data
(B) Transaction Data
(C) Project Management
(D) None of the above
Natalie is busy establishing both divisions of her business (cookie classes and mixer sales) and completing her business degree. Her goals for the next 11 months are to sell one mixer per month and to give two to three classes per week. The cost of the fine European mixers is expected to increase. Natalie has just negotiated new terms with Kzinski that include shipping costs in the negotiated purchase price (mixers will be shipped FOB destination). Assume that Natalie has decided to use a periodic inventory system and now must choose a cost flow assumption for her mixer inventory. Inventory as on January 31, 2022 represents three deluxe mixer purchased at a unit cost of $595.
The following transactions occur in February to May 2022.
Feb. 2 Natalie buys two deluxe mixers on account from Kzinski Supply Co. for $1,200 ($600 each), FOB destination, terms n/30.
16 She sells one deluxe mixer for $1,150 cash.
25 She pays the amount owed to Kzinski.
Mar. 2 She buys one deluxe mixer on account from Kzinski Supply Co. for $618, FOB destination, terms n/30.
30 Natalie sells two deluxe mixers for a total of $2,300 cash.
31 She pays the amount owed to Kzinski.
Apr. 1 She buys two deluxe mixers on account from Kzinski Supply Co. for $1,224 ($612 each), FOB destination, terms n/30.
13 She sells three deluxe mixers for a total of $3,450 cash.
30 Natalie pays the amounts owed to Kzinski.
May 4 She buys three deluxe mixers on account from Kzinski Supply Co. for $1,875 ($625 each), FOB destination, terms n/30.
27 She sells one deluxe mixer for $1,150 cash.
Determine the cost of goods available for sale. Cost of goods available for sale.
Answer:
LIFO:
Under LIFO method units purchased last are sold first.
Sold units included all units purchased on May 4, Apr. 1 and Mar. 2 and 1 unit purchased on Feb. 2
Cost of goods sold = 3*625+2*612+1*618+1*600 = $4,317
Ending inventory = Inventory as on January 31, 2014 and 1 unit purchased on Feb. 2 = 1785+600 = $2,385
Gross profit = sales-Cost of goods sold = 8050-4317 = $3,733
Gross profit rate = 3,733/8050 = 46.37%
FIFO:
Under FIFO method units purchased first are sold first.
Sold units included all units of beginning inventory, purchased on Feb 2, Mar 2 and 1 unit from Apr. 1 purchase
Cost of goods sold = 3*595+2*600+1*618+1*612 = $4,215
Ending inventory = 1 unit purchased on Apr 1 and all units of May 4 purchase = 612+1875 = $2,487
Gross profit = sales-Cost of goods sold = 8050-4,215= $3,835
Gross profit rate = 3,835/8050 = 47.64%
Average cost
Average cost per unit = 6702/11 = $609.273
Cost of goods sold = 7*609.273 = $4,264.91
Ending inventory = 4*609.273 = $2,437.09
Gross profit = sales-Cost of goods sold = 8050-4,264.91= $3785.09
Gross profit rate = 3785.09/8050 = 47.02%
Explanation:
To partially eliminate the problems that are associated with the short-term focus of return on investment, residual income, and EVA, the performance of a division's major investments is commonly evaluated through: Select one: a. horizontal analysis. b. segmented reporting. c. performance operating plans. d. sensitivity analysis. e. postaudits.
To partially eliminate the problems that are associated with the short-term focus of return on investment, residual income, and EVA, the performance of a division's major investments is commonly evaluated through (E) post audits.
What are post audits?The post-audit procedure establishes a formal process (feedback) for assessing whether existing initiatives should be continued, extended, or discontinued. That is, the post-audit gives useful information that can be used to fix problems before an investment's performance is jeopardized.The purpose of the post-audit review process is to ensure that management has addressed all of the recommendations given in the Audit Report. The Post-Audit Review occurs shortly after the agreed-upon implementation deadline, which management committed to in the management response.Therefore, to partially eliminate the problems that are associated with the short-term focus of return on investment, residual income, and EVA, the performance of a division's major investments is commonly evaluated through (E) post audits.
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Tubifor, Inc. purchases all available imported lumber so it can resell it at a quantity and rate that it prefers.
This trade restraining practice is a good example of controlling output because Tubifor, Inc. is purchasing all of the available output so that nobody else can purchase and they will be the sole owner and they can charge whatever price they want to charge.
Overall, the United States imports most foreign hardwood floors from Canada, China, Sweden, Indonesia, and Brazil. In addition to Malaysia, all these countries, with the exception of Sweden, are also important sources of hardwood moldings. But this example highlights the complexity of timber flows and international markets.
Imported lumber is Hardwood, softwood, plywood, or MDF are the four main types of wood that can be used for any type of woodworking project, and the following will give you confidence in choosing the right type of wood for your project.
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