assuming a company has a mixed cost structure (i.e., costs include both fixed and variable costs), how will the total per unit cost usually change if the production level rises?

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Answer 1

When a company with a mixed cost structure increases its production level, the total per unit cost usually decreases due to the fixed costs being spread over more units, while the variable costs per unit remain constant.


In a company with a mixed cost structure, the total per unit cost typically decreases as the production level rises. This happens because the fixed costs are spread over a larger number of units produced, while variable costs change in proportion to the production level.

1. Fixed costs: These are costs that do not change with the production level, such as rent, salaries, and equipment depreciation. As the production level increases, the fixed cost per unit decreases because the same fixed cost is divided among more units.

2. Variable costs: These are costs that change in direct proportion to the production level, such as raw materials, labor, and utilities. As the production level increases, the variable cost per unit generally remains constant, since it depends on the amount of resources used to produce each unit.

3. Mixed costs: As the production level rises, the fixed cost component of the mixed cost will decrease per unit, while the variable cost component will remain constant per unit.

4. Total per unit cost: To calculate the total per unit cost, add the fixed cost per unit to the variable cost per unit. Since the fixed cost per unit decreases and the variable cost per unit remains constant as the production level increases, the total per unit cost will generally decrease.

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Related Questions

is an operational requirement of a global information system (gis) that includes accounting and financial data, manufacturing updates, inventory, and so forth. a. communication between headquarters and subsidiaries b. consolidated global reporting c. strategic planning support d. global data access

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B)Communication between headquarters and subsidiaries is an operational requirement of a global information system (GIS) that includes accounting and financial data, manufacturing updates, inventory, and so forth.

A global information system (GIS) is a computer system that generates, manages, analyses, and maps all types of data. GIS connects data to a map by combining location data with various types of descriptive data. This contributes to a foundation for mapping and analysis that is used in science and nearly every industry.

Users can use GIS to understand patterns, associations, and geographic context. The advantages include improved communication and efficiency, as well as improved management and decision making.

An organization's information system can be defined as a system that provides information within the organization when and where it is needed at some managerial level.

An information system is a collection of people, processes, and resources that work together to meet an organization's information processing needs.

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Correct question:

__________is an operational requirement of a global information system (GIS) that includes accounting and financial data, manufacturing updates, inventory, and so forth.

A) Consolidated global reporting

 B) Communication between headquarters and subsidiaries

 C) Global data access

 D) Strategic planning support

dawson, inc.'s warehouse (with an adjusted tax basis of $75,000) was destroyed by fire. the following year, dawson received insurance proceeds of $195,000 and acquired a new warehouse for $167,000. dawson elected to recognize the minimum gain possible. what is dawson's basis in the new warehouse?

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Dawson's basis in the new warehouse is $75,000.



1. Insurance proceeds ($195,000) - Adjusted tax basis of the destroyed warehouse ($75,000) = $120,000 realized gain.

2. Since Dawson elected to recognize the minimum gain possible, it means they want to defer as much gain as possible under Section 1033 of the Internal Revenue Code. The minimum gain to be recognized is the amount by which the insurance proceeds exceed the cost of the new warehouse. So, $195,000 (insurance proceeds) - $167,000 (cost of new warehouse) = $28,000 minimum gain to be recognized.

3.  Realized gain ($120,000) - Recognized gain ($28,000) = $92,000 deferred gain.

4.  To calculate the basis in the new warehouse, subtract the deferred gain from the cost of the new warehouse. So, $167,000 (cost of new warehouse) - $92,000 (deferred gain) = $75,000 basis in the new warehouse.

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a company received a bill for newspaper advertising services, $440. the bill will be paid in 10 days. how would the transaction be recorded today? multiple choice debit advertising expense $440, credit cash $440 debit accounts payable $440, credit cash $440 debit advertising expense $440, credit accounts payable $440 debit accounts payable $440, credit advertising expense $440

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The correct transaction to record today for the company that received a bill for newspaper advertising services of $440 to be paid in 10 days is debit advertising expense $440, credit accounts payable $440. Therefore, the correct option is C.

It is given that a company received a bill for newspaper advertising services, $440. the bill will be paid in 10 days. In order to record the transaction today, the advertising expense will be debited for an amount of $440. The account payable will be credited for an amount of $440. This is because the company has incurred the advertising expense but has not yet paid for it, so they will record the amount as a liability in accounts payable.

Hence, the correct option for the given transaction is C: debit advertising expense $440, credit accounts payable $440.

Note: The question is incomplete. The complete question probably is: A company received a bill for newspaper advertising services, $440. The bill will be paid in 10 days. How would the transaction be recorded today? multiple choice A) debit advertising expense $440, credit cash $440 B) debit accounts payable $440, credit cash $440 C) debit advertising expense $440, credit accounts payable D) $440 debit accounts payable $440, credit advertising expense $440

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which of the following is true about trade restrictions? a. imposing tariffs to help save domestic jobs hurt by outsourcing will generally increase the consumer, producer and total surplus of the country that imposes tariffs. b. imposing tariffs to help save domestic jobs hurt by outsourcing will generally increase the producer surplus of the country that imposes tariffs. c. imposing tariffs to help save domestic jobs hurt by outsourcing will generally increase the total surplus of the country that imposes tariffs. d. imposing tariffs to help save domestic jobs hurt by outsourcing will generally increase the consumer surplus of the country that imposes tariffs.

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Imposing tariffs to help save domestic jobs hurt by outsourcing will generally increase the consumer surplus of the country that imposes tariffs is true about trade restrictions. The answer is OPTION D

A trade restriction is a stifling of trade in products and/or services between two or more countries. It is a result of xenophobia. Trade barriers are frequently erected to safeguard domestic industries and workers.

This is known as protectionist. Tariffs, quotas, and embargoes, for example, make foreign products more expensive and scarce. Trade restrictions are usually imposed in order to safeguard domestic companies and workers from foreign competition. A protectionist strategy restricts the importation of goods and services manufactured in other nations. The answer is OPTION D

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rovinsky corporation, a company that produces and sells a single product, has provided its contribution format income statement for november. sales (6,600 units) $ 455,400 variable expenses 323,400 contribution margin 132,000 fixed expenses 103,500 net operating income $ 28,500 if the company sells 6,500 units, its net operating income should be closest to: (do not round intermediate calculations.)

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If the company sells 6,500 units, its net operating income should be closest to $24,550.

Using the contribution margin approach, we can find the expected net operating income as follows:

Contribution margin per unit = (Sales - Variable expenses) / Units sold

Contribution margin per unit = ($455,400 - $323,400) / 6,600

Contribution margin per unit = $19.70

Total contribution margin at 6,500 units = 6,500 units × $19.70 = $128,050

Expected net operating income = Total contribution margin - Fixed expenses

Expected net operating income = $128,050 - $103,500 = $24,550

Therefore, if the company sells 6,500 units, its net operating income should be closest to $24,550.

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You have been offered an insurance settlement that provides for annual payments of $29,000, $42,000, and $53,000 over the next three years, respectively. the first payment will be made one year from today. if you would rather receive a lump sum settlement today, what is the minimum amount you should accept? assume your discount rate is 8.7 percent.

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The minimum amount which should be accepted as a lump sum settlement today is $102,600 (round off)

Calculate the present value of the $29,000 initial payment that will be made in a year. Make use of the equation: PV = FV / (1 + r)n, where PV is the present value, FV is the future value (8.7% in this case), and r is the discount rate. In this situation, the future value is $29,000. (in this case, 1). [tex]PV = 29,000 / (1 + 0.087)^1, PV = 26,688.93[/tex] Calculate the present value of the $42,000 second payment that will be made in two years. utilize the same formula, but with n being 2: [tex]PV = 42,000 / (1 + 0.087)^2, PV = 34,044.20[/tex], Calculate the current value of the third $53,000 payment, which is due in three years. Use the same formula once more, but with n equal to 3 instead: [tex]PV = 53,000 / (1 + 0.087)^3, PV = 41,865.68[/tex] To determine the total present value, add the three installments' present values together: Total PV is equal to 26,688.93, 34.044.20, and 41.865.68. PV overall is 102,598.81, Today, you may accept a lump sum payment of no less than $102,598.81.

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a well-established pharmaceutical company has built a number of mechanisms to promote innovation. as part of this initiative, it provided an opportunity to its employees to work on projects that interest them. it also arranged for a weekly brainstorming session to gather and consolidate innovative ideas and approaches. this is an example of .

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This scenerio describes an example of a proactive approach to encourage innovative thinking within the organization.

A pharmaceutical company is an organization or a business that is involved in the research, development, production, and distribution of medicinal drugs or pharmaceuticals. These companies are engaged in the manufacturing, testing, and marketing of drugs used to treat or prevent diseases, medical conditions, or other health problems. The pharmaceutical industry is a crucial component of the healthcare sector, as it plays a significant role in the discovery and development of new drugs and treatments for various ailments.

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i'd like to say a few words about the car manufacturing plant that mr. davis wants to bring to our city. he's told you about all the jobs and prosperity it will bring to our city. but there is something else you need to know. factories are ugly. do we really want to spoil prime farmland with an ugly factory?

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No, we do not want to spoil prime farmland with an unsightly factory. Before we accept the proposal made by Mr. Davis, we must consider the environmental and aesthetic impacts of the factory.

A factory will create employment and prosperity in our community, but it will also increase traffic, noise, air, and water pollution.

All of these factors need to be considered before we make a choice. We should look into more options for generating employment and advancing our economy.

We should also take into account the possibilities of constructing the facility on another plot of land or even in a location with an established industrial base.

By doing this, we can make sure that a factory isn't taking the place of our picturesque landscape.

Complete Question:

I'd like to say a few words about the car manufacturing plant that Mr. Davis wants to bring to our city. He's told us about all the jobs and prosperity it will bring to our city, but there is something else we need to consider: factories are ugly. Do we really want to spoil prime farmland with an unsightly factory?

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if the fixed cost increased, would the new break-even point be higher or lower? multiple choice 1 higher lower it would remain the same there is insufficient information to answer this question

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Breakeven is the place where complete expenditure and absolute income are original. It's option A, as break indeed point will be advanced as cost rises.

The breakeven point in units rises with fixed costs. The number of threshold units rises in tandem with an increase in fixed costs. Threshold units fall as fixed costs fall.

The point at which total costs and earnings are equal is called the break-even point. Despite paying the occasion cost and entering the anticipated threat- acclimated return, there are no net earnings or losses, and the breakeven point has been reached.

Know when your business is beginning to come salutary. Knowing the number of units you that need to offer to produce a gain can help you with putting forth the right deals objects.

Question:

A volume publisher has fixed costs of $380,000 and variable costs per volume of $10.00. The book costs $25.00 per dupe.

still, would the new breakeven point be advanced or lower?

A) higher

b) Lower

c) It would be the same

d) no proper information given

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during the accounting period, ourso recorded $11,600 of sales revenue on account. the company also wrote off a $145 account receivable. required: determine the amount of cash collected from receivables. determine the amount of uncollectible accounts expense recognized during the period.

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The amount of cash from receivables is $10,298.

The amount of uncollectible account expense recognized is $174.

Account receivable refers to the amount of cash or money that

a customer owes to the company for the goods or services they have received that are yet to be paid off.

Given,                                Ending balance                     Beginning balance

Accounts Receivable  =       $2692                                      $3849

Allowance for doubtful accounts = $139                                $168

So,

the amount of cash collected from receivables is

Beginning receivable balance = $2692

Add: sales revenue on account = $ 11,600

Less: write off = $145

Less: ending receivable balance = $3849

therefore, cash collected from receivables is

= 2692 + 11600 - 145 - 3849

= $10,298

The amount of cash from receivables is $10,298.

now,

the amount of uncollected accounts expense recognized during the period is,

Ending balance of in allowance for doubtful accounts = $168

Add: write off = $145

Less: beginning balance of in allowance for doubtful accounts = $139  

therefore, uncollectible account expense is

= 168 + 145 - 139

= $174

The amount of uncollectible account expense recognized is $174.

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The complete question is

The following account balances come from the records of Ourso Company:

Accounts Receivable  =       $2692                                      $3849

Allowance for doubtful accounts = $139                                $168

During the accounting period. Ourso recorded $11,050 of sales revenue on account. The company also wrote off a $191 account receivable.

a. Determine the amount of cash collected from receivables.

b. Determine the amount of uncollectible accounts expense recognized during the period.

in a(n) strategy, companies manufacture the product and sell it to resellers (distributors or dealers), who put their own brand on the product.group of answer choicesnetwork marketingprivate-labelingexclusive distributionlicensingco-operative advertising

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Private-labeling is a marketing strategy in which companies manufacture products and sell them to resellers who put their own brand name on the product. So, correct option is B.

The resellers, such as distributors or dealers, then sell the product under their own brand name. Private-labeling is common in the retail industry, where stores like Target, Walmart, and Costco use their own brands to sell products such as groceries, electronics, and clothing.

Private-labeling offers several advantages to both the manufacturer and the reseller. For the manufacturer, it allows them to sell products in bulk quantities and reduce their marketing costs since the reseller takes care of the branding and advertising.

For the reseller, it allows them to differentiate their products from competitors and increase their profit margins by selling products at a lower cost.

Overall, private-labeling is a successful marketing strategy that has gained popularity in recent years as retailers seek to offer products that are both affordable and of high quality to their customers.

The correct answer is B. private-labeling.

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if wilmington used a plantwide predetermined overhead rate based on direct labor-hours, how much manufacturing overhead would be applied to job bravo? 2. if wilmington uses departmental predetermined overhead rates with direct labor-hours as the allocation base in assembly and machine-hours as the allocation base in fabrication, how much manufacturing overhead would be applied to job bravo?

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If Wilmington used a plantwide predetermined overhead rate based on direct labor-hours, the amount of manufacturing overhead applied to job Bravo would be $34,000.

Wilmington has 800 direct labor hours and the predetermined overhead rate is $42.50 per direct labor hour.

To calculate the manufacturing overhead applied to job Bravo, you would multiply the number of direct labor hours for job Bravo (200) by the predetermined overhead rate ($42.50):200 direct labor hours × $42.50 per direct labor hour = $8,500 manufacturing overhead applied to job Bravo If Wilmington uses departmental predetermined overhead rates with direct labor-hours as the allocation base in assembly and machine-hours as the allocation base in fabrication, the amount of manufacturing overhead applied to job Bravo would be $37,400.

Job Bravo has 200 direct labor hours in the assembly department and 400 machine hours in the fabrication department. Assembly department: predetermined overhead rate of $35 per direct labor hour200 direct labor hours × $35 per direct labor hour = $7,000 manufacturing overhead applied Fabrication department: predetermined overhead rate of $30 per machine hour400 machine hours × $30 per machine hour = $12,000 manufacturing overhead applied Total manufacturing overhead applied to job Bravo = $7,000 + $12,000 = $19,000

Note that this method results in a higher amount of manufacturing overhead applied to job Bravo compared to the plantwide predetermined overhead rate.

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assume the following: the standard labor rate per hour is $17.75. the standard labor-hours allowed per unit of finished goods is 3 hours. the actual quantity of labor hours worked during the period was 43,600 hours. the total actual direct labor cost for the period was $726,000. the company produced 15,000 units of finished goods during the period. what is the labor efficiency variance? multiple choice $24,850 f $24,850 u $47,900 u $47,900 f

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If the company produced 15,000 units of finished goods during the period, the labor efficiency variance is $24,850 F (favorable). So, correct option is A.

The labor efficiency variance measures the difference between the actual labor hours worked and the standard labor hours allowed, multiplied by the standard labor rate per hour. It indicates how efficiently the company utilized its labor resources during the period.

To calculate the labor efficiency variance, we first need to determine the standard labor cost for the production of 15,000 units of finished goods. Since the standard labor-hours allowed per unit of finished goods is 3 hours, the total standard labor-hours allowed for the production of 15,000 units is 45,000 hours (15,000 x 3).

The standard labor cost for 45,000 hours at the standard labor rate of $17.75 per hour is $800,625 (45,000 x $17.75).

The actual direct labor cost for the period was $726,000, which means the company spent less than the standard labor cost for the actual labor hours worked. This results in a favorable labor rate variance.

The labor efficiency variance can be calculated as follows:

Labor Efficiency Variance = (Standard Labor Rate x (Standard Labor Hours - Actual Labor Hours)) = ($17.75 x (45,000 - 43,600)) = $24,850 F (favorable)

Therefore, Option A is the correct answer.

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which of the following common cultural traits is the most highly valued by the majority of businesses around the world? multiple choice question. egalitarianism uncertainty avoidance performance orientation assertiveness

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The most highly valued common cultural trait by the majority of businesses around the world is performance orientation.

 What is performance orientation?

Performance orientation is the cultural trait that most businesses around the world value the most. It is defined as the degree to which individuals are encouraged and rewarded for excellence and achievement, emphasizing innovation and entrepreneurship.

It is also known as achievement orientation, where people or society values competition, hard work, innovation, and perseverance above everything else.It is a cultural trait that is focused on the outcome of performance and achievement.

Businesses that value performance orientation tend to be more productive and successful, and the workers tend to be more competitive and productive as well. In such companies, employees are motivated to work hard to achieve their goals and objectives to increase the company's productivity, revenue, and success.

Therefore, performance orientation is the most highly valued common cultural trait by the majority of businesses around the world. Therefore, the correct answer is performance orientation.

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Extended warranty prices __________ depending on the type of car and coverage.

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Answer:

vary

Explanation:

Need to get to the 20 letter limit lol

when shareholder-managers pay themselves excessively high salaries or have the corporation pay their personal credit card bills, this is an example of .

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This is an example of misuse of company funds by shareholder-managers, as they are paying themselves excessively high salaries or using the corporation's money to cover their personal credit card bills.

When shareholder-managers pay themselves excessively high salaries or have the corporation pay their personal credit card bills, this is an example of self-dealing. What is self-dealing? Self-dealing refers to a circumstance in which a person in a position of responsibility in an organization, such as an officer, director, or manager, has a conflict of interest and engages in actions that benefit themselves or their associates at the expense of the corporation or entity.

Self-dealing might include excessive pay, gifts, advantages, or privileges to a shareholder-manager or a connected entity. Self-dealing might also involve utilizing business assets, such as a company credit card, for personal gain.

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what is a feature of hierarchical cultures? multiple choice people tend to distribute and share power evenly. leaders expect employees to comply with their decisions because of their authority. subordinates do not take responsibility for the mistakes of leaders. salary ranges between the top and the bottom of an organization are quite narrow. people of all ranks are encouraged to voice their opinions openly.

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The feature of hierarchical cultures is that leaders expect employees to comply with their decisions because of their authority. This statement is true of hierarchical cultures.

What are hierarchical cultures? Hierarchical cultures are a kind of culture that is governed by a clearly defined power structure. Leaders are always at the top, with subordinates coming below them. Hierarchical cultures frequently have strict procedures and regulations that must be followed, as well as a chain of command that must be respected in order to maintain order and performance. A key feature of hierarchical cultures is that leaders expect employees to comply with their decisions because of their authority.

In these organizations, the power dynamic is clearly defined, with leaders being responsible for making the majority of the decisions.

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under current gaap, using the acquisition method for a business combination, goodwill is generally defined as: group of answer choices cost of the investment less the subsidiary's book value at the beginning of the year. cost of the investment less the subsidiary's book value at the acquisition date. cost of the investment less the subsidiary's fair value at the beginning of the year. cost of the investment less the subsidiary's fair value at acquisition date.

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Under current GAAP and the acquisition method, goodwill is generally defined as the cost of the investment less the subsidiary's fair value at the acquisition date. So, correct option is D.

The acquisition method is the most common approach used to account for business combinations. Under this method, the acquirer recognizes the assets and liabilities acquired at their fair values at the acquisition date, including any goodwill.

Goodwill is an intangible asset that represents the excess of the cost of an acquisition over the fair value of the net assets acquired. It reflects the value of the acquired business as a whole, including its brand name, customer relationships, and other intangible assets that are not separately identifiable.

Therefore, under the acquisition method and current GAAP, goodwill is calculated as the difference between the cost of the investment and the fair value of the net assets acquired at the acquisition date.

This calculation is important because it helps the acquirer to allocate the purchase price of the acquired business to the assets and liabilities acquired, including goodwill.

Therefore, correct option is D.

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a type of medium-term trade financing used to finance the sale of capital goods in which the sale of promissory notes are bought at a discount from face value without recourse against the exporter in the event of default by the importer is

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The type of medium-term trade financing being described here is called forfaiting.

Forfaiting is a financing method commonly used in international trade transactions to provide working capital to exporters who sell capital goods to importers. In a forfaiting transaction, the exporter sells its receivables (promissory notes or bills of exchange) at a discount to a forfaiting institution. The forfaiting institution then assumes the credit risk associated with the transaction, thereby providing the exporter with immediate cash flow. The importer is not involved in the forfaiting transaction, and the forfaiting institution does not have recourse against the exporter in the event of default by the importer. Forfaiting is a useful financing tool for exporters who need to receive payment for their goods quickly and who want to transfer the credit risk to a third party.

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you want to buy a new sports car from muscle motors for $43,000. the contract is in the form of a 60-month annuity due at a 6.25 percent apr. required: what will your monthly payment be? (do not include the dollar sign ($). enter rounded answer as directed, but do not use the rounded numbers in intermediate calculations. round your answer to 2 decimal places (e.g., 32.16).)

Answers

The monthly payment for the 60-month annuity due at a 6.25 percent APR is $834.46 (rounded to the nearest whole dollar).

To calculate the monthly payment, we can use the formula:

P = A / ((1 - (1 + r)^(-n)) / r)

where P is the monthly payment, A is the total amount to be financed (in this case, $43,000), r is the monthly interest rate (which is the annual rate divided by 12), and n is the number of payments (which is 60 since it's a 60-month annuity).

Plugging in the values, we get:

P = 43,000 / ((1 - (1 + 0.0625/12)^(-60)) / (0.0625/12))

Solving for P, we get $834.46 as the monthly payment.

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4) The term data is: A) Simple B3) Hard () Singular D) Plural 3) The me minimum number of shareholders of a cooperative society is (A) 05 (3) 08 () 10 09 15 6) The difference between Total Revenue and Total cost is A) Profit BB) Loss C) Price D) Inputs (7) The only producer of the producer of the good is called. A) A trader B) The monopolist C) The trader and monopolist D) None of these 8) Noise pollution in the form of unwanted sound com damag A/Physiological health B) Psychological health () Physiological and Psykohological health Of None of these​

Answers

Answer:

The term data is: A) Singular

The minimum number of shareholders of a cooperative society is (A) 05

The difference between Total Revenue and Total cost is A) Profit

The only producer of the good is called. B) The monopolist

Noise pollution in the form of unwanted sound can damage: C) Physiological and Psychological health

Explanation:

if the marginal propensity to consume is 0.30 , what is the multiplier, assuming there are no taxes or imports? round to the tenths place.

Answers

If the marginal propensity to consume is 0.30, the multiplier would be approximately 3.3.

The multiplier represents the amount by which a change in autonomous spending, such as investment or government spending, will affect overall economic output. The formula for the multiplier is 1/MPC, where MPC is the marginal propensity to consume, which is the fraction of additional income that is spent on consumption.

If the MPC is 0.30, the multiplier would be 1/0.30, which is approximately 3.3. This means that a $1 increase in autonomous spending would lead to a $3.30 increase in total economic output. For example, if the government increases spending by $100 million, the multiplier effect suggests that the total increase in economic output could be up to $330 million.

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the conner company's august 31 pre-reconciliation cash balance on its books was $93,500. as of august 31, outstanding checks total $45,400 and deposits in transit total $30,700. assuming there are no other reconciling items, what was the august 31 cash balance on conner's bank statement?

Answers

The correct answer is  option A. $104,600. The August 31 cash balance on Conner's bank statement is calculated by adding deposits in transit to the pre-reconciliation cash balance on its books and then subtracting outstanding checks.

Thus, the August 31 cash balance on Conner's bank statement is $104,600 ($90,500 + $30,100 - $44,200).

The purpose of performing bank reconciliation is to ensure that the cash balance on the company's books is accurately stated. This process involves a comparison between the balance of the company's cash account according to its internal records and the balance of the company's cash account according to the bank statement.

Any differences between the two balances are identified and adjusted. In this case, the pre-reconciliation cash balance on Conner's books is $90,500, outstanding checks total $44,200 and deposits in transit total $30,100.

Therefore, the cash balance on Conner's bank statement as of August 31 is $104,600.

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g the most important aspect of this course is knowing the interconnectivity of the three core financial statements. open the attached excel file and go to the worksheet labeled: model what is the capital expenditure amount on the cash flow statement in 2025f?

Answers

In the cash flow statement for 2025f, the capital expenditure amount is $24,000.

To find the capital expenditure amount on the cash flow statement in 2025f, we need to look at the cash flow statement for the year 2025f in the attached excel file. In the cash flow statement, the line item "Purchase of Property, Plant, and Equipment" represents capital expenditures.  The excel worksheet is attached below.

In 2025f, this line item shows a value of -$24,000, which means that $24,000 was spent on the purchase of property, plant, and equipment. Therefore, the capital expenditure amount on the cash flow statement in 2025f is $24,000. It's important to note that capital expenditures represent investments in long-term assets that are expected to generate future benefits for the company, such as new equipment or buildings.

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what would you expect the market quantity supplied to be at a price of $24? the quantity supplied would be cakes per day. give your answer to the nearest whole number.

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It is calculated that we can expect the market quantity of 148 cakes per day supplied to be at a price of $24.

The question provides us with a supply equation: Qs = 100 + 2P. This equation tells us how many cakes will be supplied at a given price. Specifically, it states that the quantity supplied (Qs) is equal to a base quantity of 100 cakes plus 2 times the price per cake (P). This implies that as the price of a cake increases, the quantity supplied will increase as well.

The question then asks us to find the market quantity supplied at a price of $24 per cake. To do this, we simply substitute P = $24 into the supply equation and solve for Qs:

Qs = 100 + 2($24) = 148

This tells us that at a price of $24 per cake, the market quantity supplied is expected to be 148 cakes per day (rounded to the nearest whole number).

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The complete question is :

In a certain market, the supply of cakes per day is determined by the following equation: Qs = 100 + 2P, where Qs is the quantity supplied in cakes per day and P is the price per cake in dollars. What would you expect the market quantity supplied to be at a price of $24 per cake? Give your answer to the nearest whole number.

grecian tile manufacturing of athens, georgia, borrows $1,500,000 at libor plus a lending margin of 1.41 percent per annum on a six-month rollover basis from a london bank. if six-month libor is 5.30 percent over the first six-month interval and 5.455 percent over the second six-month interval, how much will grecian tile pay in interest over the first year of its eurodollar loan? (do not round intermediate calculations. round your answer to 2 decimal places.)

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In the first year of its Eurodollar loan, Grecian Tile Manufacturing will pay a total of $101,812.50 in interest.

Grecian Tile Manufacturing borrows $1,500,000 at LIBOR plus a lending margin of 1.41 percent per annum on a six-month rollover basis from a London bank. This means that the interest rate on the loan will be adjusted every six months based on the six-month LIBOR rate plus the lending margin of 1.41 percent.

Over the first six-month interval, the six-month LIBOR rate is 5.30 percent. Adding the lending margin of 1.41 percent gives us an interest rate of 6.71 percent for the first six months. The interest paid over this period would be $1,500,000 × (6.71 / 100) × (6 / 12)

= $50,325.

Over the second six-month interval, the six-month LIBOR rate is 5.455 percent. Adding the lending margin of 1.41 percent gives us an interest rate of 6.865 percent for the second six months. The interest paid over this period would be $1,500,000 × (6.865 / 100) × (6 / 12)

= $51,487.50.

Therefore, over the first year of its Eurodollar loan, Grecian Tile Manufacturing will pay a total of $50,325 + $51,487.50 = $101,812.50 in interest.

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stacey and her husband david have a joint savings account that earns 4.86% interest payable continuously and has a current balance of $58458. each year, david wishes to withdraw $4000 payable continuously at a level rate. stacey wishes to deposit $ x at the beginning of each year for 30 years so that the account will last for 30 years. what is the least $x that will work?

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To determine the least value of x that will work for Stacey's deposit, we can use the formula for the future value of an annuity : the least value of x that will work for Stacey's deposit is approximately $2,320 per year.

[tex]FV = P * ((1 + r)^n - 1) / r[/tex]  where FV is the future value of the annuity, P is the periodic payment, r is the interest rate per period, and n is the number of periods.In this case, Stacey wishes to deposit x at the beginning of each year for 30 years. David will withdraw $4,000 at the end of each year, leaving the balance to earn continuous interest. The interest rate is 4.86% per year, compounded continuously.Let P be the periodic payment that Stacey needs to make so that the account lasts for 30 years. The initial balance in the account is $58,458. David will withdraw a total of $4,000 x 30 = $120,000 over the 30-year period. Therefore, the future value of the account after 30 years must be at least $58,458 + $120,000 = $178,458.

Using the formula for the future value of an annuity, we can write:

[tex]FV = P * ((1 + 0.0486)^30 - 1) / 0.0486[/tex]

Solving for P, we get:

[tex]P = FV * r / ((1 + r)^n - 1)[/tex]

where r = 0.0486 and n = 30.

Substituting FV = $178,458, r = 0.0486, and n = 30, we get:

[tex]P = $178,458 * 0.0486 / ((1 + 0.0486)^30 - 1) ≈ $2,320[/tex]

Therefore, the least value of x that will work for Stacey's deposit is approximately $2,320 per year.

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quick computing currently sells 17 million computer chips each year at a price of $22 per chip. it is about to introduce a new chip, and it forecasts annual sales of 15 million of these improved chips at a price of $28 each. however, demand for the old chip will decrease, and sales of the old chip are expected to fall to 8 million per year. the old chips cost $7 each to manufacture, and the new ones will cost $10 each. what is the proper cash flow to use to evaluate the present value of the introduction of the new chip? note: enter your answer in millions.

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The proper cash flow to use to evaluate the present value of the introduction of the new chip is $390 million.

To evaluate the present value of the introduction of the new chip, we need to calculate the incremental cash flow generated by the new chip.

First, let's calculate the revenue from the new chip

15 million x $28 = $420 million

Next, let's calculate the cost of manufacturing the new chip

15 million x $10 = $150 million

Now, let's calculate the revenue from the old chip

8 million x $22 = $176 million

Finally, let's calculate the cost of manufacturing the old chip

8 million x $7 = $56 million

To calculate the incremental cash flow, we need to subtract the costs of the old chip from the revenue generated by both the old and new chips:

Incremental cash flow = ($420 million - $150 million) + ($176 million - $56 million) = $390 million

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assume able owns a residence which he sells to bob who does not record but who lives openly on the property. able then fraudulently sells the very same property to charlie, who records. as between bob and charlie who would the courts find is the real owner of the property? group of answer choices a) bob would win because whoever buys property first always wins as they acquire title to the property. b) bob would win because able committed fraud. c) bob would win because living openly on the property prevents charlie from being a bona fide purchaser for value (bfp). d) charlie would win because he was a bona fide purchaser for value and the first to record.

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Bob would prevail as Charlie cannot be a legitimate purchase for value while he is living openly on the property.

Purchase ,On the whole The term "purchase" refers to any acquisition of stock, but only if— I the adjusted basis of the stock in the hands of the person from whom it was bought is not used to determine the basis of the stock in the hands of the purchasing corporation in whole or in part, A person's right to possess property is known as their right of possession. A person who currently has possession of something in their hands or under their control has the right to keep it; conversely, another person who asserts superior title or a right to custody of the property may also have this right. Even while the circumstances weren't quite the same, they raised some similar warning signs. Red signals that could be helpful.

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which assumption allows the life of the company to be divided into artificial time periods to provide timely information?

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The premise of recurrence In order to provide timely information, the periodicity assumption enables the life of a business to be separated into fictitious time periods.

According to the periodicity presumptions, an organization can disclose its financial results within specific time frames. This usually denotes that a company consistently provides monthly, quarterly, or annual reports on its financial performance. For the purpose of comparison, these temporal frames are maintained over time. For instance, if the reporting period for the current year is set at calendar months, the same dates should be used in the following year, allowing for an on a monthly basis comparison of the two years' outcomes. Once the financial reporting standard times have been established.

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