Calculate Production Order Quantity or EPQ:
D = 1,000 units
S = $10
H = .50 per unit
p = 8 units per day
u = 4 units per day
140
283
181
300

Answers

Answer 1

The production order quantity or EPQ for this scenario is approximately 490 units. This means that if we produce 490 units at once, it would minimize the total cost of production. To calculate the production order quantity, we need to consider various factors such as setup cost, holding cost, demand rate, and production rate.

In your case, the demand rate is given as 4 units per day, and we need to produce 300 units. To calculate the production order quantity or EPQ, we need to use the following formula:
EPQ = √(2DS/H)
Where D is the demand rate, S is the setup cost, and H is the holding cost per unit.
Let's assume that the setup cost is $100 and the holding cost per unit is $1. Using the formula, we get:
EPQ = √(2 * 4 * 300 * $100/$1) = √(240,000) = 489.9
Therefore, the production order quantity or EPQ for this scenario is approximately 490 units. This means that if we produce 490 units at once, it would minimize the total cost of production. However, if we produce more than 490 units, the holding cost would increase, and if we produce less than 490 units, the setup cost would increase, leading to a higher total cost of production.
In conclusion, calculating the production order quantity or EPQ helps in optimizing the production process, minimizing the cost of production, and ensuring efficient utilization of resources.

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Related Questions

promotion mix methods that use new media techinuqes for delivery include:

Answers

Promotion mix methods that use new media techniques for delivery include digital advertising, social media marketing, influencer marketing, email marketing, and content marketing.

In today's digital age, businesses have various new media techniques at their disposal to deliver promotional messages to their target audience. Digital advertising is one such method that utilizes online platforms, such as search engines, websites, and mobile apps, to display ads to potential customers.

Influencer marketing is another effective new media technique where brands collaborate with influential individuals on social media to promote their products or services. Lastly, content marketing focuses on creating and distributing valuable, relevant, and consistent content through various channels like blogs, videos, and podcasts to attract and retain customers.

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hat actions a city like milwaukee might take to encourage corporate growth in its most economically distressed areas.

Answers

To encourage corporate growth in Milwaukee's most economically distressed areas, the city could implement several strategies, including tax incentives, infrastructure improvements, workforce development, business support and zoning.



1. Tax incentives: Offering tax breaks or reduced property taxes for businesses that choose to invest and operate in economically distressed areas.

2. Infrastructure improvements: Enhancing transportation, utilities, and broadband access in these areas to make them more attractive for businesses.

3. Workforce development programs: Collaborating with local educational institutions and organizations to provide job training and skills development for residents in economically distressed areas, thus creating a skilled workforce for businesses.

4. Business support services: Providing resources such as mentorship, networking opportunities, and financial assistance to help businesses grow and thrive in these areas.

5. Zoning and land use policies: Adjusting zoning regulations and land use policies to allow for mixed-use developments and more business-friendly environments in economically distressed areas.

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Which of the following is not one of the three primary duties of a probation officer?
a. serving subpoenas to witnesses
b. risk assessment and classification
c. probation investigation
d. supervising offenders

Answers

The answer is: a. serving subpoenas to witnesses. The three primary duties of a probation officer are risk assessment and classification, probation investigation, and supervising offenders.

These responsibilities are related to managing and monitoring individuals who have been placed on probation as an alternative to incarceration or as part of their sentence. Risk assessment and classification involve evaluating the level of risk posed by individuals under probation, determining appropriate supervision levels, and implementing strategies to reduce the likelihood of reoffending.

Probation investigation entails conducting background checks, gathering information about the probationer's circumstances, and providing recommendations to the court regarding conditions of probation. Supervising offenders involves monitoring probationers, ensuring compliance with court-ordered conditions, providing guidance and support, and facilitating their successful reintegration into society. Serving subpoenas to witnesses is typically not a primary duty of a probation officer. This task is more commonly associated with the responsibilities of law enforcement officers, court officials, or legal professionals involved in the judicial process.

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using a single plantwide overhead rate will correctly assign overhead costs in situations where a company has a range of products that differ in volume, lot size, or complexity of production.
true
false

Answers

The given statement " using a single plantwide overhead rate will correctly assign overhead costs in situations where a company has a range of products that differ in volume, lot size, or complexity of production" is false.

When a corporation has a variety of products that differ in volume, lot size, or complexity of production, using a single plantwide overhead rate will not effectively assign overhead expenses.

This is due to the fact that different products consume overhead costs in different ways, and utilising a single rate to allocate overhead costs will result in some items being overcharged while others are undercharged.

To overcome this issue, businesses may employ activity-based costing (ABC) or other techniques of allocating overhead costs that take into account the many cost drivers for each product or product line.

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False. Using a single plantwide overhead rate will not correctly assign overhead costs in situations where a company has a range of products that differ in volume, lot size, or complexity of production.

A plantwide overhead rate is a method of allocating overhead costs to products based on a single predetermined overhead rate. This approach assumes that all products use overhead resources in the same proportion, which may not be accurate in situations where products have different characteristics. For example, products that require more machine time or setup time may use a larger share of overhead resources than products that require less machine time or setup time. In such cases, using a single overhead rate would lead to distorted product costs, as some products would be assigned a larger share of overhead costs than they actually consume, while others would be assigned a smaller share. To overcome this issue, companies often use activity-based costing (ABC) or other more sophisticated overhead allocation methods that take into account the different cost drivers for each product.

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prioritize types of controls from most preferred to least preferred

Answers

When prioritizing types of controls, it is important to consider the hierarchy of controls, which is a widely accepted framework used to manage and mitigate risks.

Elimination/Substitution: The most effective control measure is to eliminate the hazard or substitute it with a safer alternative. This involves redesigning processes, equipment, or materials to remove or replace the source of risk.

Engineering Controls: Engineering controls modify the work environment or equipment to minimize the risk. Examples include installing ventilation systems, implementing machine guards, or using automated processes to reduce human interaction with hazards.

Administrative Controls: These controls focus on changes in work practices and policies to reduce risks. They include implementing safety procedures, providing training and awareness programs, and establishing clear guidelines for safe work practices.

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The following table lists the monthly incomes (in hundreds of dollars) and the monthly rents paid (in hundreds of dollars) by a sample of six families.

Monthly Income Monthly Rent

24 7. 0

16 4. 5

19 6. 5

31 11. 6

10 4. 5

27 8. 5

1 The 99% confidence interval for the slope, B, of the population regression line is (2

decimals): __________________________________________

2. The null hypothesis is that the slope of the population regression line of monthly rent

on monthly income is zero and the alternative hypothesis is that the slope of this

population regression line is greater than zero. The significance level is 1%. What is the

critical value of t (3 decimals)? __________________________________________

3. The null hypothesis is that the slope of the population regression line of monthly rent

on monthly income is zero and the alternative hypothesis is that the slope of this

population regression line is greater than zero. The significance level is 1%. What is the

value of the test statistic, t, rounded to three decimal places? ______________________

4. The null hypothesis is that the slope of the population regression line of monthly rent

on monthly income is zero and the alternative hypothesis is that the slope of this

population regression line is greater than zero. The significance level is 1%. By hand, test

whether the slope of the monthly income is greater than zero using the CV approach, including

identifying the reject/non reject regions, etc

Answers

The values of a and b for the regression of y on x, based on the given data, are approximately a = -3.75 and b = 0.52. These values represent the intercept and slope of regression line, respectively. The correct option is A).

To find the values of a and b for the regression of y on x, you can use a regression analysis. The equation for the regression line is y = a + bx, where a is the intercept and b is the slope.

Using the given data

x = [24, 16, 19, 31, 11, 27]

y = [7.0, 4.5, 6.5, 12.8, 4.5, 8.5]

Performing the regression analysis, the values of a and b are calculated as follows:

Calculate the means of x and y:

X = (24 + 16 + 19 + 31 + 11 + 27) / 6 = 21.33

Y = (7.0 + 4.5 + 6.5 + 12.8 + 4.5 + 8.5) / 6 = 7.53

Calculate the deviations of x and y from their means:

dx = [24 - 21.33, 16 - 21.33, 19 - 21.33, 31 - 21.33, 11 - 21.33, 27 - 21.33]

dy = [7.0 - 7.53, 4.5 - 7.53, 6.5 - 7.53, 12.8 - 7.53, 4.5 - 7.53, 8.5 - 7.53]

Calculate the sum of the products of the deviations:

Σdxdy = (24 - 21.33)(7.0 - 7.53) + (16 - 21.33)(4.5 - 7.53) + (19 - 21.33)(6.5 - 7.53) + (31 - 21.33)(12.8 - 7.53) + (11 - 21.33)(4.5 - 7.53) + (27 - 21.33)(8.5 - 7.53)

Calculate the sum of the squared deviations of x:

Σdx² = (24 - 21.33)² + (16 - 21.33)² + (19 - 21.33)² + (31 - 21.33)² + (11 - 21.33)² + (27 - 21.33)²

Calculate the slope (b):

b = Σdxdy / Σdx²

Calculate the intercept (a):

a = Y - b * X

Performing the calculations using the given data, the values of a and b are approximately

a = -3.75

b = 0.52

Therefore, the correct answer is A. a = -3.75, b = 0.52.

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--The given question is incomplete, the complete question is given below " The following table lists the monthly incomes (in hundreds of dollars) and the monthly rents paid (in hundreds of dollars) by a sample of six families. Monthly Income: 24,16,19,31,11,27 Monthly Rent: 7.0,4.5,6.5,12.8,4.5,8.5 For the regression of y on x, what are the values of a and b? A. a=.52,b=-3.75 B. a=.384,b=-.89 C. a=-3.75,b=.52 D. a=-.89,b=.384"--

true or false: most companies focus on reducing their economic exposure while ignoring strategies to reduce their transaction and translation exposure.

Answers

False. While reducing economic exposure is an important consideration for companies, they also pay attention to strategies aimed at mitigating transaction and translation exposure.

Companies often adopt comprehensive risk management approaches to address various types of exposures in international business. Economic exposure refers to the potential impact of exchange rate fluctuations on a company's overall competitive position and long-term profitability.

While reducing economic exposure is crucial, companies are also aware of the risks associated with transaction and translation exposure. Transaction exposure pertains to the risk of fluctuations in exchange rates affecting the value of individual transactions.

Translation exposure refers to the potential impact of exchange rate fluctuations on the financial statements of a company's foreign subsidiaries. To manage these risks, companies employ strategies such as hedging, diversifying currency holdings, using financial derivatives, and operational adjustments in production and sourcing.

By considering all three types of exposures, companies aim to mitigate potential risks and maintain financial stability in international markets.

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consumption is $151 billion, government expenditure is $70.2 billion, investment is $65.8 billion, and net exports amount to -$21 billion. what is aggregate expenditure in this economy?

Answers

The aggregate expenditure in this economy is $245 billion. These components are consumption, government expenditure, investment, and net exports.

So, aggregate expenditure = consumption + government expenditure + investment + net exports
Plugging in the given values, we get:
Aggregate expenditure = $151 billion + $70.2 billion + $65.8 billion + (-$21 billion)
Aggregate expenditure = $266 billion - $21 billion
Aggregate expenditure = $245 billion
Therefore, the aggregate expenditure in this economy is $245 billion.
Aggregate expenditure is a measure of the total amount of spending in an economy. It includes all the spending by households, businesses, and governments, as well as the value of exports minus the value of imports. This measure is important because it can help us understand the overall level of economic activity in a country and can inform economic policies aimed at increasing or decreasing spending.

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T/F according to the marine corps' teachings regarding making decisions, it is time to act as soon as 50 percent of the information is gathered and 50 percent of the analysis is done.

Answers

False. According to the marine corps' teachings regarding making decisions, it is time to act as soon as 50 percent of the information is gathered and 50 percent of the analysis is done.

According to the Marine Corps' teachings regarding making decisions, it is time to act when 70 to 80 percent of the information is available and when 70 to 80 percent of the analysis is complete. This approach is called the 70-80 percent solution, which aims to strike a balance between being proactive and being paralyzed by overanalysis. By acting on incomplete information, Marines are able to gain ground and maintain the initiative, while continuing to gather information and analyze the situation to refine their approach. This approach requires judgment, flexibility, and a willingness to adapt as new information becomes available.

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FILL IN THE BLANK. Managers analyze __ to evaluate past financial performance and make future decisions. Managers use these to prepare horizontal, vertical and ratio analyses

Answers

The correct answer is financial statements. Managers analyze financial statements to evaluate past financial performance and make future decisions.

Financial statements provide a comprehensive overview of a company's financial activities, including its income, expenses, assets, and liabilities.

Managers use these statements to perform various types of financial analysis, such as horizontal analysis (comparing financial data over multiple periods), vertical analysis (analyzing the proportions of different components within a single period), and ratio analysis (calculating and interpreting financial ratios to assess the company's financial health and performance).

These analyses help managers gain insights into the company's financial position, identify trends, assess profitability, liquidity, and solvency, and make informed decisions for the future. Financial statements serve as a valuable tool for financial analysis and provide essential information for managerial decision-making.

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The following information pertains to Petit Four Inc. Net income $548,000 5% Convertible bonds issued at par $225,000 Weighted-average shares outstanding 188,000 Tax rate 25% Each $1,000 bond is convertible into 20 shares of common stock at the option of the bondholder. The bonds were outstanding all year. The company computes diluted EPS using the if-converted method.
Calculate basic and diluted EPS for the year assuming that the convertible bonds were issued on November 1.
A) $2.19 $2.19
B) $2.91 $2.91
C) $2.91 $2.89
D) $2.91 $2.80

Answers

The basic and diluted EPS for the given information on shares and convertible bonds is given by

Option D. $2.91 (Basic EPS) and $2.91 (Diluted EPS).

To calculate the basic and diluted earnings per share (EPS),

Use the given information.

Calculate the Basic EPS,

Basic EPS = Net Income / Weighted-average shares outstanding

⇒Basic EPS = $548,000 / 188,000

⇒Basic EPS = $2.9149 (rounded to two decimal places)

Calculate the Diluted EPS using the if-converted method,

First, calculate the potential additional shares from the convertible bonds,

Number of convertible bonds

= Convertible bonds issued at par / Conversion ratio

Number of convertible bonds = $225,000 / 20

Number of convertible bonds = 11,250

Potential additional shares

= Number of convertible bonds × Conversion ratio

⇒ Potential additional shares = 11,250 × 20

⇒ Potential additional shares = 225,000

Convertible Bond Interest

= Convertible Bond Principal × Convertible Bond Interest Rate

= $225,000 × 5%

= $11,250

Next,  calculate the Incremental Shares from Conversion,

Incremental Shares from Conversion

= Convertible Bond Principal / Conversion Ratio

= $225,000 / 20

= 11,250

Now  calculate the diluted EPS,

Diluted EPS

= (Net Income - Preferred Dividends + Convertible Bond Interest × (1 - Tax Rate)) / (Weighted-average Common Shares Outstanding + Incremental Shares from Conversion)

= ($548,000 - 0 + $11,250 × (1 - 0.25)) / (188,000 + 11,250)

= $548,000 + $8,438 / 199,250

= $556,438 / 199,250

= $2.7924 (rounded to the nearest cent)

≈ $2.80

Therefore, basic and diluted EPS for the year assuming that the convertible bonds were issued on November 1 is equal to,

Option D. $2.91 (Basic EPS) and $2.91 (Diluted EPS).

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After a gastrectomy, a client has a nasogastric tube to low continuous suction. The client begins to hyperventilate. How does the nurse anticipate that this breathing pattern will alter the client's arterial blood gases?1Increase the PO 2 level2Decrease the pH level3Increase the HCO 3 level4Decrease the Pco 2 level

Answers

The nurse anticipates that the client's hyperventilation will result in a decrease in the Pco2 level.

Hyperventilation is a rapid and deep breathing pattern that leads to an excessive elimination of carbon dioxide from the body. As a result, the partial pressure of carbon dioxide in the arterial blood decreases. Therefore, option 4, "Decrease the carbon dioxide level," is the correct answer.

During hyperventilation, the respiratory rate and depth increase, causing a greater amount of carbon dioxide to be exhaled. As carbon dioxide is eliminated from the body, the arterial Pco2 level decreases. This leads to a condition known as respiratory alkalosis, characterized by a higher arterial pH level and a decrease in the concentration of bicarbonate ions (HCO3-) in the blood.

While hyperventilation can increase the arterial PO2 level (option 1), it is not the primary effect of this breathing pattern. The pH level (option 2) increases due to the alkalotic state caused by decreased Pco2. The HCO3- level (option 3) does not increase; instead, it decreases as a compensatory response to the respiratory alkalosis.

In summary, hyperventilation resulting from low continuous suction via a nasogastric tube after gastrectomy leads to a decrease in the Pco2 level, causing respiratory alkalosis characterized by increased pH and decreased HCO3- levels.

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CVP Corp. is considering the introduction of a new product that would sell for $5.00 per unit with a 75% contribution margin [(revenue – variable cost)/revenue] and monthly fixed costs of $250,000. How many units would CVP need to sell per month to break even? A. 200,000 B. 66,667 C. 250,000 D. 12,500 E. 50,000

Answers

CVP need to sell per month to break even 66,667 units. Option B is right choice.

First, we need to calculate the contribution margin per unit.

We know that the selling price per unit is $5.00 and the contribution margin is 75%, which means the variable cost per unit is $1.25 ($5.00 x 0.75).

Therefore, the contribution margin per unit is $3.75 ($5.00 - $1.25).

Next, we can calculate the break-even point in units by dividing the monthly fixed costs by the contribution margin per unit. In this case, the monthly fixed costs are $250,000.

So, the break-even point in units is:

$250,000 ÷ $3.75 = 66,667 units

Therefore, the answer to the question is B. CVP Corp. would need to sell 66,667 units per month to break even.
It is important for CVP Corp. to consider this break-even point when deciding whether or not to introduce the new product. They will need to assess whether they can realistically sell enough units to cover their fixed costs and generate a profit.

Arizona Pharmacueticals exchanged laser equipment with a book value of $70,000 and a fair value of $75,000 for the newer model of laser equipment. In addition to the old equipment, $90,000 cash was given. Please display the proper journal entries from Arizona pharmaceuticals' point of view. Option B is right choice.

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The answer is B. 66,667 units.

CVP stands for cost-volume-profit analysis, which is a tool used to analyze the relationship between sales volume, cost, and profit. To break even, CVP Corp. needs to sell enough units to cover its fixed costs and variable costs.

The formula for break-even point is:

Break-even point (in units) = Fixed costs / (Price per unit - Variable cost per unit)

Using the information given in the question, we can calculate the break-even point:

Break-even point = $250,000 / ($5.00 - ($5.00 x 0.75))
Break-even point = $250,000 / ($5.00 - $3.75)
Break-even point = $250,000 / $1.25
Break-even point = 200,000 units

Therefore, the answer is not A or C.

To double-check, we can also use the formula for contribution margin:

Contribution margin per unit = Price per unit - Variable cost per unit
Contribution margin per unit = $5.00 - ($5.00 x 0.75)
Contribution margin per unit = $5.00 - $3.75
Contribution margin per unit = $1.25

Contribution margin ratio = Contribution margin per unit / Price per unit
Contribution margin ratio = $1.25 / $5.00
Contribution margin ratio = 0.25

Break-even point (in dollars) = Fixed costs / Contribution margin ratio
Break-even point (in dollars) = $250,000 / 0.25
Break-even point (in dollars) = $1,000,000

Break-even point (in units) = Break-even point (in dollars) / Price per unit
Break-even point (in units) = $1,000,000 / $5.00
Break-even point (in units) = 200,000 units

Therefore, the answer is B. 66,667 units is not correct, it is actually 200,000 units.

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You have $27,000 to invest. You want to purchase shares of Alaska Air at $44.26, Best Buy at $53.12, and Ford Motor at $9.41. How many shares of each company should you purchase so that your portfolio consists of 30 percent Alaska Air, 50 percent Best Buy, and 20 percent Ford Motor? (Do not round intermediate calculations and round your final answers to the nearest whole number.) Amount to invest 27,000 PriceAlaska Air 44.26 53.12 PriceFord Motor 9.41 30.00% wAlaska Air 50.00% w Buy Best 20.00% WFord Motor

Answers

Shares of each company you should purchase so that your portfolio consists of 30 percent Alaska Air, 50 percent Best Buy, and 20 percent Ford Motor are approximately 183 shares of Alaska Air, 254 shares of Best Buy, and 574 shares of Ford Motor which is required to have a portfolio consisting of 30% Alaska Air, 50% Best Buy, and 20% Ford Motor with a $27,000 investment.

To determine how many shares of each company you should purchase with a $27,000 investment, you'll need to allocate the funds according to the given percentages  to have a portfolio consisting of 30% Alaska Air, 50% Best Buy, and 20% Ford Motor 30% Alaska Air, 50% Best Buy, and 20% Ford Motor.

1. Calculate the amount to invest in each company:
- Alaska Air: 27,000 * 0.3 = $8,100
- Best Buy: 27,000 * 0.5 = $13,500
- Ford Motor: 27,000 * 0.2 = $5,400

2. Determine how many shares to purchase for each company by dividing the allocated funds by the stock price:
- Alaska Air: 8,100 / 44.26 ≈ 183 shares
- Best Buy: 13,500 / 53.12 ≈ 254 shares
- Ford Motor: 5,400 / 9.41 ≈ 574 shares
The above calculation gives a detailed structure of how many needed to be purchased with an investment of $27,000 in order to have a portfolio consisting of 30% Alaska air, 50% Best Buy, and 20% Ford Motor.

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One or more transportation mode(s) was(were) known for poor service. What is being referred to? (best answer).
Multiple Choice
Air
Water
rail
water and rail
pipe
pipe and road

Answers

One or more transportation modes were known for poor service. It is referred to as a pipe.

The option (E) is correct

Pipelines move products of strong, fluid, or vaporous materials over tremendous distances by pipes. This method of transport is generally used to convey unrefined and refined oil-based goods like oil and gaseous petrol

Coming up next are the primary impediments to pipeline transport:

It is prohibitive, meaning it must be utilized for a couple of fixed places. When fitted, its ability can't be expanded.It is challenging to make pipeline security courses of action. Underground pipelines are challenging to fix and break recognition is troublesome.

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This question is not complete, Here I am attaching the complete question:

One or more transportation mode(s) was(were) known for poor service. What is being referred to? (best answer). Multiple Choice

(A) Air

(B) Water

(C) rail

(D) water and rail

(E) pipe

(F) pipe and road

When firms develop a WACC for individual projects based on the cost of capital for other firms in similar lines of business as the project, the firm is utilizing a: a. subjective risk approach b. pure play approach c. divisional cost of capital approach d. capital adjustment approach

Answers

The correct answer to this question is b. pure play approach.

When firms develop a WACC (Weighted Average Cost of Capital) for individual projects based on the cost of capital for other firms in similar lines of business as the project, they are using a pure play approach. This approach involves analyzing the cost of capital of publicly traded companies that operate in the same line of business as the project. By doing so, firms can estimate the cost of capital for their own project. This method is considered to be more objective than other approaches since it relies on the actual cost of capital of other firms. Firms can also adjust the WACC based on their own specific risk factors. By using a pure play approach, firms can make more informed decisions about whether to pursue a project or not. Overall, the use of a WACC is essential for firms to make sound financial decisions and ensure that their investments generate a satisfactory return.

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Please sort the following questions into those that can be answered by market forces ("Answerable") and those that cannot ("Unanswerable").Economists are often confronted with questions that cannot be purely answered by the market alone, and which require decision making based on moral and ethical belief.

Answers

Market forces refer to the economic principles that drive supply and demand in a free market system. Some questions can be answered by market forces alone, while others require a more nuanced approach. Answerable questions include those related to pricing, production levels, and consumer behavior. For example, how much will consumers pay for a particular product or service? How much of a particular good will be produced in response to market demand?

Unanswerable questions, on the other hand, are those that require ethical or moral considerations that cannot be determined by market forces alone. For example, questions related to the distribution of wealth or income inequality, environmental sustainability, or social justice cannot be solely addressed by market forces. Economic decisions that impact these issues must be made with a more comprehensive understanding of the societal implications and values at stake.

While market forces can provide valuable insight into economic decision-making, it is important to recognize their limitations and the need for ethical considerations in complex economic questions. Economists must consider a variety of factors beyond pure supply and demand in order to make informed and responsible decisions that benefit society as a whole.

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situations where it is unclear exactly where responsibility for something lies reflects which of the following factors why organizations have conflict?

Answers

Situations where it is unclear exactly where responsibility for something lies reflect the factor of role ambiguity as a reason for conflict within organizations.

Role ambiguity refers to a lack of clarity or uncertainty about the expectations, responsibilities, and boundaries of one's role within an organization. When individuals or teams are unsure about who is responsible for a particular task, decision, or outcome, it can lead to conflicts and disagreements regarding accountability and ownership.

In such situations, conflicts may arise due to misunderstandings, finger-pointing, and a lack of coordination. It becomes challenging to assign blame or resolve issues effectively when there is ambiguity around roles and responsibilities.

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A manufacturer has decided to locate a new factory in northwestern United States to serve growing demand in that market. They have narrowed the potential sites down to two finalists, City A and City B. They have developed a list of important factors to consider in selecting a site, and rated each as shown in the following table.
FACTOR CITY A CITY B
Utility rates 100 118
Availability of skilled labor 75 75
Tax rates 45 37
Transportation 46 40
Proximity to suppliers 35 34
Quality of life 17 16
Based on this data, which city appears to be the better choice?
multiple choice
a. City B
b. City A
c. They are equally attractive
d. There is insufficient information provided to answer this question

Answers

Based on this information, we can conclude that City A appears to be the better choice. It has higher ratings for two important factors (utility rates and tax rates) compared to City B, which only has a higher rating for transportation. Therefore, the answer is b. City A.

Looking at the ratings provided for each factor, we can see that City A has higher ratings for utility rates (100 vs. 118) and tax rates (45 vs. 37), while City B has a slightly higher rating for transportation (46 vs. 40). However, both cities have the same rating for the availability of skilled labor (75), proximity to suppliers (35 vs. 34), and quality of life (17 vs. 16)

Based on the information provided, it is difficult to determine which city would be the better choice for the manufacturer's new factory. Both City A and City B have similar ratings for the important factors, such as transportation access, labor availability, and utility costs.

However, the quality of life rating is slightly higher for City A than for City B. It is important for the manufacturer to conduct further research and analysis on both cities before making a decision.

They should consider factors such as tax incentives, local regulations, infrastructure, and proximity to suppliers and customers. They may also want to visit each city and meet with local officials and business leaders to get a better sense of the business environment and potential partnerships.

Ultimately, the decision will depend on the specific needs and priorities of the manufacturer. Option B

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Using the following categories, indicate the effects of the following transactions. Indicate the accounts affected and the amounts. (Enter any decreases to Assets, Liabilities, or Stockholders Equity with a minus sign.) a. During the period, customer balances are written off in the amount of $11,400. b. At the end of the period, bad debt expense is estimated to be $9,400. Assets Liabilities Stockholders' Equity

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Let's analyze the effects of the transactions on the accounts using the given categories.


a.  Assets: Accounts Receivable decrease by $11,400
   Stockholders' Equity: Allowance for Doubtful Accounts decreases by $11,400

b. Assets: Allowance for Doubtful Accounts increases by $9,400 (resulting in a decrease in net assets)
   Stockholders' Equity: Bad Debt Expense increases by $9,400 (reducing Retained Earnings)



a. When customer balances are written off of amount of $11,400, this transaction affects both Assets and Stockholders' Equity. The Accounts Receivable (Asset) account will decrease by $11,400, as the company is no longer expecting to receive that amount from customers. At the same time, the Allowance for Doubtful Accounts (a contra-asset account) will also decrease by $11,400, which will ultimately reduce Stockholders' Equity. The transaction can be summarized as follows:

- Assets: Accounts Receivable decreases by $11,400
- Stockholders' Equity: Allowance for Doubtful Accounts decreases by $11,400

b. At the end of the period, when bad debt expense is estimated to be $9,400, this transaction affects Assets and Stockholders' Equity. The Allowance for Doubtful Accounts (a contra-asset account) will increase by $9,400, indicating that the company expects a portion of its receivables to be uncollectible. This increase will reduce the net value of Assets. Simultaneously, the Bad Debt Expense (an expense account) will increase by $9,400, which reduces the Retained Earnings account within Stockholders' Equity. The transaction can be summarized as follows:

- Assets: Allowance for Doubtful Accounts increases by $9,400 (resulting in a decrease in net assets)
- Stockholders' Equity: Bad Debt Expense increases by $9,400 (reducing Retained Earnings)

In both transactions, the primary accounts affected are within the Assets and Stockholders' Equity categories. Liabilities remain unchanged in these scenarios.

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Which form can be used to add new vendors to the Vendor List?Bills formExpense formPurchase Order formAll of the choices are correct

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The form that can be used to add new vendors to the Vendor List is the Expense form. When creating a new expense, there is an option to add a new vendor to the list if the vendor is not already on the list.

Simply click on the "New Vendor" button and fill out the necessary information such as the vendor's name, address, and contact information. Once this information is saved, the vendor will be added to the Vendor List and can be selected for future expenses.

While the Expense form is the most common form used to add new vendors, it is worth noting that the other forms listed - Bills form and Purchase Order form - also have the ability to add new vendors to the Vendor List. Therefore, all of the choices given in the question are correct. However, the Expense form is typically the easiest and most commonly used form for adding new vendors.

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You bought some shares of stock and sell them one year later. At the end of the year, the price per share was 5 percent higher and the price level was 3 percent higher. Before taxes, you experienced a. a nominal gain and a real loss, and you paid taxes on the nominal gain. b. both a nominal gain and a real gain, and you paid taxes only on the real gain. c. both a

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Based on the given scenario, you experienced both a nominal gain and a real gain from selling your shares of stock. The price per share increased by 5 percent, which means that the nominal gain is 5 percent. On top of that, the price level also increased by 3 percent, which means that the real gain is 2 percent (5 percent nominal gain - 3 percent inflation rate).

However, you only need to pay taxes on the nominal gain, which is 5 percent. This is because the taxes are based on the nominal gain, which is the actual increase in value of the shares, without considering the effects of inflation.

In summary, your answer would be b. both a nominal gain and a real gain, and you paid taxes only on the real gain. It's important to keep in mind the difference between nominal and real gains when dealing with investments and taxes.

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Which of the following is a normative statement?
A. The deduction for state taxes cost the federal government $100 billion a
year.
B. Taxpayers in North Carolina pay state taxes that are above the national
average.
C. Twenty-two states use a lottery to raise state taxes.
D. Congress is considering Clinton's tax plan to increase taxes, which is a fair
plan.
E. None of the above

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Option D, "Congress is considering Clinton's tax plan to increase taxes, which is a fair plan," is the normative statement among the given options.

A normative statement expresses a value judgment or opinion about what ought to be or what is considered fair. In this case, option D states that Clinton's tax plan to increase taxes is fair.

The term "fair" is subjective and reflects a judgment based on personal beliefs or opinions. It goes beyond stating factual information or describing the current state of affairs.

The other options (A, B, and C) are descriptive statements that provide factual information or make comparisons without expressing a value judgment. Option A states a cost incurred by the federal government, option B describes a comparison of state taxes in North Carolina, and option C mentions the use of a lottery by states to raise taxes.

These statements are objective and do not involve subjective opinions or value judgments. Therefore, option D, which expresses a subjective opinion about the fairness of a tax plan, is the normative statement among the given options.

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if you take the initiative to write to businesses inquiring about a position, even though they haven't announced a job opening that is right for you, you are said to be _____________________.

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If you take the initiative to write to businesses inquiring about a position, even though they haven't announced a job opening that matches your qualifications or preferences, you are said to be "making a proactive or speculative application."

In this context, a proactive or speculative application refers to reaching out to companies or organizations without a specific job posting in order to express your interest in working for them and inquire about potential opportunities. It demonstrates your proactive approach to job searching and your enthusiasm for a particular company or industry.

By sending a proactive application, you are taking the initiative to introduce yourself, showcase your skills and qualifications, and express your desire to contribute to the organization. While there may not be an immediate opening, it allows you to make a positive impression and potentially be considered for future opportunities or even create a position specifically tailored to your skills.

It's important to research the company beforehand, tailor your application to their needs, and highlight the value you can bring. This approach can help you stand out from other candidates and increase your chances of being considered for employment even before a formal job posting is made.

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sphere company produces two products, alpha and beta. alpha is a high-volume item totaling 20,000 units annually. beta is a low-volume item totaling only 6,000 units per year. alpha requires one hour of direct labor for completion, while each unit of beta requires 2 hours. therefore, total annual direct labor hours are 32,000 (20,000 12,000). expected annual manufacturing overhead costs are $640,000. sphere uses a traditional costing system and assigns overhead based on direct labor hours. each unit of beta would be assigned overhead of

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Each unit of Beta would be assigned an overhead cost of $40.

To determine the overhead cost assigned to each unit of Beta, we can divide the total annual manufacturing overhead costs by the total direct labor hours.

Total annual manufacturing overhead costs: $640,000

Total annual direct labor hours: 32,000

Overhead rate per direct labor hour = Total annual manufacturing overhead costs / Total annual direct labor hours

Overhead rate per direct labor hour = $640,000 / 32,000

Overhead rate per direct labor hour = $20

Since each unit of Beta requires 2 hours of direct labor, the overhead cost assigned to each unit of Beta would be:

Overhead cost per unit of Beta = Overhead rate per direct labor hour × Direct labor hours per unit of Beta

Overhead cost per unit of Beta = $20 × 2

Overhead cost per unit of Beta = $40

Therefore, each unit of Beta would be assigned an overhead cost of $40.

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The slow rise of S cyclin levels throughout G1 phase is due to ___________, and the abrupt decrease is caused by ___________.
a. import; export
b. synthesis; mitosis
c. transcription; proteolysis
d. phosphorylation; translation

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The correct answer is c. Transcription of S cyclins is responsible for the gradual increase in their levels during G1 phase.

S cyclins play a crucial role in promoting DNA synthesis during S phase of the cell cycle. However, once DNA replication is complete, these cyclins need to be degraded to prevent the cell from undergoing another round of DNA synthesis. This degradation is accomplished through the process of proteolysis, which breaks down proteins into smaller peptides. Specifically, the anaphase-promoting complex (APC) targets S cyclins for degradation by adding ubiquitin tags to them. This leads to their recognition by the proteasome, a large enzyme complex that breaks down ubiquitinated proteins. The abrupt decrease in S cyclin levels during late G1 phase is therefore due to proteolysis, which helps to ensure that DNA replication occurs only once per cell cycle.

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commercial bias in the media is a result of the growing concentration of corporate ownership of the media. group of answer choices true false

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Commercial bias in the media is a growing problem, and the concentration of corporate ownership in the media is a contributing factor. It is important that media outlets strive to maintain objectivity and independence in their reporting to ensure that the public receives accurate and unbiased information.

The statement that commercial bias in the media is a result of the growing concentration of corporate ownership of the media is true to a great extent. The media industry has undergone significant changes in recent years, with many media companies being bought out by larger corporate entities. These corporations are often more concerned with making profits than delivering unbiased news and information to the public. As a result, there has been a significant increase in the amount of commercial bias in the media.
Corporate ownership of the media has resulted in a narrow range of perspectives being presented to the public, as media outlets are more likely to promote stories that align with the interests of their corporate owners. This can result in important stories being overlooked, or only being presented from a particular perspective.
Moreover, the need to attract advertising revenue has also led to commercial bias in the media. Media outlets are more likely to promote products and services that are advertised in their publications, which can lead to a bias in their reporting.

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some people believe that progressive taxes destroy the incentive to produce more.truefalse

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False. The statement that progressive taxes destroy the incentive to produce more is not universally true.

Progressive taxes are a type of taxation system in which tax rates increase as income levels rise. While it is true that progressive taxes result in higher tax rates for individuals with higher incomes, the assertion that they destroy the incentive to produce more is an oversimplification.

In reality, the impact of progressive taxes on incentives to produce more varies among individuals and can be influenced by a range of factors. Some argue that progressive taxes can create disincentives for individuals with higher incomes because they face a higher tax burden on their additional earnings. This perspective suggests that individuals may be less motivated to work harder or earn more when they know a significant portion of their additional income will be subject to higher tax rates.

However, it is important to consider the counterarguments as well. Proponents of progressive taxes argue that they promote fairness and social equity by ensuring that individuals with higher incomes contribute proportionately more to society. They also argue that progressive taxes can help reduce income inequality and provide resources for social programs and public goods, which can benefit society as a whole.

Moreover, the incentive to produce more is influenced by various factors beyond taxation, such as personal ambition, career progression, market demand, and individual preferences. Taxation is just one element among many that affect individual decisions regarding work effort, investment, and entrepreneurial activities.

Overall, the impact of progressive taxes on incentives to produce more is a complex and debated topic, and it is not accurate to make a blanket statement that they universally destroy the incentive to produce more.

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During the great depression, economists developed new ways of thinking about markets, prices, and the economy as a whole because:

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During the Great Depression, economists developed new ways of thinking about markets, prices, and the economy as a whole in response to unprecedented economic challenges.

The Great Depression was a severe worldwide economic downturn that lasted from the late 1920s to the early 1940s. It caused massive unemployment, bank failures, and a collapse in industrial production. In the face of these unprecedented challenges, economists realized that existing economic theories and policies were inadequate to explain and address the situation. As a result, they began developing new ways of thinking about markets, prices, and the economy as a whole.

During this period, economists such as John Maynard Keynes emerged with new theories that emphasized the role of aggregate demand and the importance of government intervention in stabilizing the economy. Keynesian economics, as it came to be known, advocated for government spending and monetary policies to stimulate economic growth and reduce unemployment. This marked a shift from the previously dominant laissez-faire approach.

Furthermore, the Great Depression prompted economists to reevaluate traditional economic theories' assumptions, such as the belief in market efficiency and self-regulation. New schools of thought, such as institutional economics, emerged, which focused on the role of institutions, social factors, and market imperfections in shaping economic outcomes.

Overall, the Great Depression served as a catalyst for economists to reexamine and reformulate their understanding of markets, prices, and the functioning of the economy. The lessons learned during this period shaped the development of new economic theories and policies to prevent and mitigate future economic crises.

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Lamike owns 1,000 shares of DAS. Inc.'s common stock. The stock has a par value of $1 per share and is currently selling for $80 per share. DAS declares a 20% stock dividend. In a perfect capital market, after the dividend Sam will have A) 1,200 shares selling for $66.67 each. B) 1,020 shares selling for $80.80 each. C) 1,200 shares selling for $96.00 each. D) 1,020 shares selling for $64.00 each.

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In a perfect capital market, based on the provided information, after the dividend Sam will have 1,200 shares selling for $66.67 each. Therefore, the correct option is A.

A stock dividend of 20% means that Lamike will receive 20% more shares of DAS Inc.'s common stock. Therefore, Lamike will receive 20% of 1,000 shares, which is 200 shares. After the stock dividend, Lamike will have a total of 1,200 shares (1,000 + 200). However, the par value of the stock remains the same at $1 per share.

To calculate the new price per share, we need to divide the market value of the stock by the total number of shares. The market value of the stock after the dividend will be 1,200 shares x $80 per share = $96,000.

Dividing this by the new total number of shares (1,200) gives us a price of $80 per share.

However, since the question asks for the price per share in a perfect capital market, we need to take into account that the stock dividend will not affect the total value of the company. Therefore, the market value of the company will remain the same at $80,000 (1,000 shares x $80 per share).

To adjust for this, we can divide the market value of the company by the total number of shares after the dividend (1,200). This gives us a price per share of $66.67.

Therefore, the correct answer is A) 1,200 shares selling for $66.67 each.

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