· What is a destination contract and when does risk of loss pass?

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Answer 1

A destination contract is an agreement between two parties in which the seller agrees to deliver a good or service to a specific location. The risk of loss passes to the buyer at the agreed-upon destination, meaning the buyer is responsible for any losses or damages that occur after the goods have been delivered. In most cases, the seller is responsible for any losses or damages that occur before delivery.



For example, if the seller agrees to deliver a shipment of goods to the buyer’s warehouse, the seller will be liable for any damages or losses that occur during transit. Once the shipment arrives at the warehouse, the risk of loss passes to the buyer, who is responsible for any damages or losses that occur after delivery.

In a destination contract, the parties can also agree on who is responsible for the risk of loss in certain scenarios. For instance, the buyer may agree to assume the risk of loss in the event of theft, fire, or other losses that may occur after delivery.

Overall, destination contracts are used to clarify the responsibilities of each party for any losses or damages that may occur during or after delivery of a good or service.

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Related Questions

an increase in the price level will affect the money market and bond market in which of the following ways?

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In the following question, An increase in the price level will affect the money market and bond market in the following ways: When the price level rises, the demand for money rises as well. As a result, the interest rate rises, and the quantity of money demanded falls.

This relationship between the interest rate and the quantity of money demanded is illustrated in a graphical representation. The money market is impacted when the interest rate increases since it is the rate at which money is borrowed in the economy.In a bond market, the interest rate is essential. As the interest rate rises, the bond price decreases, and the bond yield increases. This is because if the interest rate rises, more people will invest in bonds, lowering their prices. As a result, the bond market is adversely impacted by an increase in the price level.The value of money falls as the price level rises, making it less valuable than before. As a result, investors in the money market must invest in higher-interest securities such as bonds, resulting in a lower demand for money. In summary, an increase in the price level in the economy affects the bond market and the money market by increasing the interest rate and lowering the quantity of money demanded.

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A manager at HG plc (which manufactures plasma televisions) has developed a new computerised system which will help the inventory control of finished units at HG's warehouse. She believes that this will reduce the time taken to ship these goods by around 25%. Which ONE of the following primary activities with HG's value chain will the new system be directly improving?
Inbound logistics
Operations
Outbound logistics
Infrastructure

Answers

The new computerised system developed by the manager at HG plc will improve the inbound logistics activity of the value chain. Inbound logistics is the process of receiving, storing, and distributing the materials and products needed to create a product or service.

By improving this process, HG will be able to reduce the time taken to ship their finished units. This could be achieved by automating the process of tracking inventories, which will eliminate manual labor and errors, and allow HG to quickly and accurately respond to customer orders.

Additionally, the new system could also be used to improve the accuracy of forecasting, enabling HG to plan for future orders and optimize their supply chain. By improving the inbound logistics process, HG will be able to reduce their shipping times by around 25%.

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The university president believes that increasing student tuition by 5% will increase revenues. If the president is correct that revenues will increase, then the tuition increase will: A) reduce the number of students enrolling by less than 5%. B) reduce the number of students enrolling by more than 5%. C) reduce the number of students enrolling by exactly 5%. increase the number of students enrolling by 5%.

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The university president believes that increasing student tuition by 5% will increase revenues. If the president is correct that revenues will increase, then the tuition increase will A) reduce the number of students enrolling by less than 5%.

What is tuition?

Tuition is a sum of money charged for teaching or instruction by a school, college, or university. The president of a university believes that increasing tuition fees by 5% would result in an increase in revenue.

The number of students enrolling at the university, on the other hand, may be impacted by the tuition increase.Increasing the tuition fee by 5% will make it more difficult for many students to afford to attend the university. However, if the increase in tuition fees causes an increase in revenue, the tuition increase will result in a reduction in the number of students enrolling by less than 5%.

As a result, we can conclude that if the university president is correct about the increase in revenue resulting from the increase in tuition fees, the tuition increase will result in a reduction in the number of students enrolling by less than 5%.Option A is correct.

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When a marketing researcher uses a collection of reports, customer letters, financial statements, and surveys from different departments within her firm, she is using

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When a marketing researcher uses a collection of reports, customer letters, financial statements, and surveys from different departments within her firm, she is using Internal secondary data.

A study technique called secondary research, commonly referred to as desk research, is gathering pre-existing data obtained from various sources. This refers to both external sources (such as outside research) and inside sources such as internal research as government statistics, organizational bodies, and the internet.

Secondary research may be found online, in libraries, and museums, and it can be obtained in a variety of ways, including published statistics, reports, and survey results. The data was acquired via surveys, phone interviews, observation, face-to-face interviews, and other methods, and is often free or available with a fee for restricted access. Researchers gather secondary research, verify it, analyze it, and then incorporate it to support the confirmation of their research objectives for the study period.

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x is a company operating in the entertainment software business and you are trying to estimate a beta for just being in this business. the average regression beta across 49 entertainment software companies is 1.38. the average d/e ratio for these firms is 25% and cash as a percent of firm value is 20%. what is the unlevered beta assuming a marginal tax rate of 40%?

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The unleveled beta assuming a marginal tax rate of [tex]40%[/tex] is [tex]1.02.[/tex]

Unlevered Beta Calculation: Unlevered Beta is the beta of a company without considering the financial leverage. Hence, we remove the financial leverage from the beta. The formula for unlevered beta is as follows:

Unlevered Beta = Levered Beta / (1 + (1 - tax rate) (Debt / Equity))

Given:

Regression Beta of 49 entertainment software companies = [tex]1.38[/tex]

Average D/E Ratio for these firms = [tex]25%[/tex]

Cash as a percent of firm value = [tex]20%[/tex]

Marginal Tax Rate = [tex]40%[/tex]

Unlevered Beta for x company can be calculated as follows:

Levered Beta for x company = Regression Beta of 49 entertainment software companies = [tex]1.38[/tex]

Debt / Equity ratio = [tex]25% / (100% - 25%) = 0.33[/tex]

Cash / Firm Value = [tex]20% / 100% = 0.20[/tex]

Tax Rate = [tex]40%[/tex] Unlevered Beta =[tex]1.38 / (1 + (1 - 0.40) * 0.33) * (1 - 0.20) = 1.02[/tex]

Therefore, the unleveled beta assuming a marginal tax rate of [tex]40%[/tex] is [tex]1.02[/tex].

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The marketing advantage of which medium is the great number of special-interest publications that appeal to narrowly defined segments?

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The marketing advantage of media offering a large number of special interest publications is that they can appeal to highly defined audience segments. These media can include magazines, newspapers, and websites that focus on specific topics, such as health, technology, sports, fashion, or cooking, to name a few examples.

The advantage of these outlets is that their specialized approach allows them to reach audiences that share a common interest and are therefore more likely to be interested in the ads that appear on their pages. Advertisers can select specific posts that fit their target audience and place ads that are designed to resonate with that audience.

In summary, the marketing advantage of media offering a large number of special interest publications is that they can appeal to highly defined audience segments and allow advertisers to reach audiences that share a common interest in a specific topic. This makes the ads more likely to be effective by resonating with the audience and motivating them to take action.

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what is the correct chronological order in which piaget’s cognitive stages appear

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The correct chronological order in which Piaget’s cognitive stages appear is given below: Sensorimotor stage, Preoperational stage, Concrete operational stage, and Formal operational stage.

Jean Piaget was a Swiss psychologist who developed the cognitive development theory. Piaget’s cognitive development theory explains how a child constructs mental models of the world. Piaget proposed that a child goes through four major stages of cognitive development. The stages are the sensorimotor stage, preoperational stage, concrete operational stage, and formal operational stage.

The correct chronological order in which Piaget’s cognitive stages appear is given below:

Sensorimotor stage, The sensorimotor stage is the first stage of cognitive development proposed by Piaget. It occurs during the first two years of life. During this stage, infants develop the coordination of their senses and motor skills. The main achievement of this stage is the understanding of object permanence.Preoperational stage, The preoperational stage occurs between the ages of 2 and 7. During this stage, children can think about things symbolically. However, their thinking is still limited, egocentric, and intuitive. Children in this stage lack the concept of conservation.Concrete operational stageThe concrete operational stage occurs between the ages of 7 and 12. During this stage, children become more logical and organized in their thinking. They develop the concept of conservation, classification, and cause-effect reasoning.Formal operational stage, The formal operational stage begins at the age of 12 and continues into adulthood. During this stage, people develop the ability to think abstractly and logically. They become capable of hypothetical and deductive reasoning. This stage involves the development of complex mental models and the ability to think about abstract concepts.

The correct chronological order in which Piaget’s cognitive stages appear is Sensorimotor stage, Preoperational stage, Concrete operational stage, and Formal operational stage.

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the free-rider problem is most likely to exist in a market in which goods are multiple choice excludable and rival. excludable and nonrival. nonexcludable and rival. nonexcludable and nonrival.

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The free-rider problem is most likely to exist in a market in which goods are nonexcludable and rival. Correct answer is option D.

The free-rider problem refers to the situation where individuals or organizations can benefit from a public good without contributing to its cost. A public good is a type of good that is both non-excludable, meaning that individuals cannot be excluded from using it, and non-rivalrous, meaning that one person's consumption of the good does not diminish the amount available for others.

As a result, individuals have little incentive to pay for the good, as they can simply enjoy the benefits without contributing to the cost. This creates a problem of underproduction, as the market fails to supply the optimal level of the public good. The free-rider problem can be mitigated through mechanisms such as government provision, taxation, and social norms.

Therefore, the correct answer is option D.

"

Complete question

The free-rider problem is most likely to exist in a market in which goods are

multiple choice

A: excludable and rival.

B: excludable and nonrival.

C: nonexcludable and rival.

D: nonexcludable and nonrival.

"

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which of the following is a defense under strict products liability? question 37 options: rescission comparative responsibility contributory negligence comparative fault assumption of the risk

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The defense under strict product liability is the assumption of the risk.

What is strict product liability?

Strict product liability is a legal doctrine that holds manufacturers, distributors, and sellers liable for any injuries or damages caused by their defective products without requiring the plaintiff to prove negligence or fault on their part. It is an essential consumer protection tool that incentivizes manufacturers to make safe products by holding them accountable for any defects or hazards that they produce.

Strict product liability holds the seller of a product strictly liable for any damages or injuries caused by the product, regardless of the seller’s level of fault or negligence. The assumption of the risk defense states that the plaintiff was aware of the risks and chose to use the product anyways, thus releasing the seller from liability.

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the coase theorem requires that ____
multiple choice :
a. government is active and markets are competitive. b. government is active and transaction costs are low. c. property rights are well defined and markets are competitive. d. property rights are well defined and transaction costs are low. under the coase theorem, resources will allocate toward their highest-valued use______
multiple choice:
a. based on who has the most resources. b. if the households (or others affected) own the property rights. c. if the polluter owns the property rights. d. regardless of who owns the property rights.

Answers

The coase theorem requires that D) property rights are well defined and transaction costs are low.

What is the coase theorem?

The Coase theorem, also known as the transaction cost theorem, is an economic theory that states that transaction costs are key to creating a solution to an externality.

Transaction costs refer to the expenses incurred when negotiating and contracting for goods and services.There are two main prerequisites for the Coase theorem to work.

They are as follows:

Property rights should be well defined:

In order for people to be able to make deals, they must have clear and well-defined rights to the things they want to sell or buy. Property rights refer to the legal right to control and dispose of a resource.

Transaction costs should be low:

In order for people to make deals, it must not cost too much. For example, legal costs, research, and information gathering are all transaction costs under the Coase theorem.

In summary, under the Coase theorem, resources will allocate toward their highest-valued use if property rights are well defined and transaction costs are low.

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Curbstone Company Income Statement For the Year Ended August 31, 2018 Sales $8,595,000 6,110,000 Cost of goods sold Income from operations $2,485,000 Expenses: Selling expenses Administrative expenses $800,000 575,000 $425,000 Delivery expense Total expenses 1,800,000 $685,000 Other expense: Interest revenue 45,000 $640,000 Gross profit The income statement above contains errors. Prepare a corrected multi-step income statement. Curbstone Company Income Statement For the Year Ended August 31, 2018 Gross profit $640,000 The income statement above contains errors. Prepare a corrected multi-step income statement. Curbstone Company Income Statement For the Year Ended August 31, 2018 Expenses: Total expenses a. Sold merchandise for cash, $25,000. The cost of the goods sold was $17,500 (Record the sale first) b. Sold merchandise on account, $98,000. The cost of the goods sold was $58,800. (Record the sale first.) << c. Sold merchandise to customers who used MasterCard and VISA, $475,000. The cost of the goods sold was $280,000. (Record the sale first.) c. Sold merchandise to customers who used MasterCard and VISA, 5475,000. The cost of the goods sold was $280,000 (Record the sales > d. Sold merchandise to customers who used American Express, 563,000. The cost of the goods sold was $39,000 (Record the saletust. : e. Received and paid an invoice from National Clearing House Credit Car for $13.450, representing a service fee paid for processing MasterCard, VISA, and American Express sale Previous No

Answers

The corrected multi-step income statement for Curbstone Company for the year ended August 31, 2018, would be as follows: Sales: $8,122,500, Cost of Goods Sold: $7,828,800, Expenses: $1,805,450 and Gross Profit: $487,250

To prepare a corrected multi-step income statement for the Curbstone Company for the year ended August 31, 2018, the following changes need to be made:
Sales:
- Decrease sales from $8,595,000 to $8,122,500 due to the removal of the erroneous figure of $5475,000.
- Increase sales from $6,110,000 to $7,812,500 due to the addition of the sales made with MasterCard, VISA and American Express totalling $1,312,500.
Cost of Goods Sold:
- Increase in cost of goods sold from $6,110,000 to $7,828,800 due to the addition of the costs associated with the sales made with MasterCard, VISA and American Express totalling $1,718,800.
Expenses:
- Increase total expenses from $1,800,000 to $1,805,450 due to the addition of the invoice from the National Clearing House Credit Card of $13,450.
Therefore, the corrected multi-step income statement for Curbstone Company for the year ended August 31, 2018, would be as follows: Sales: $8,122,500, Cost of Goods Sold: $7,828,800, Expenses: $1,805,450,Gross Profit: $487,250

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companies make investments for various reasons, including: having excess cash or in anticipation of a need for cash at some distant point in the future. to exercise significant influence or control over another company. neither a nor b. both a and b.

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Companies make investments for various reasons, including both having excess cash or in anticipation of a need for cash at some distant point in the future and to exercise significant influence or control over another company. The correct answer is both a and b.

Investment is the allocation of resources to a specific financial asset with the intention of earning a financial return in the future. Companies can make investments to have control over other companies or have a source of income for future needs.

Some of the most common reasons for companies to make investments are:

To secure a supply of goods and services: Companies often invest in other businesses to guarantee a continuous supply of the products or services they require. This is usually carried out to ensure a secure source of supply for future needs.To enhance control over suppliers or distribution channels: Investment by a company in a supplier or distributor can help the company to exercise more control over these suppliers or distributors.To gain influence over competitors: Investment by a company in a competitor can provide them with a significant voice in the competitor's decision-making process. To acquire new businesses: Companies make investments to acquire new businesses for expansion purposes. To generate income: Companies may also invest their excess cash in stocks or other financial assets in order to generate additional income.

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Create appropriate range namnes for Total Production Cost (cel B18) and Gross Profit (cell B21) by selection, using the values in the left column Edit the existing name range Employee Houtty Wage to Hourly_Wages 2018 Note, Mac users, in the Define Narne dialog box, add the new named range, and delete the original one. Use the newly created range names to create a formula to calculate Net Profit (in cell B22) Create a new worksheet labeled Range Names, paste the newly created range name information in cell A1, and resize the columns as needed for proper display On the Forecast sheet, start in cell E3. Complete the series of substitution values ranging from 10 to 200 at increments of 10 gallons vertically down column E. Enter references to the Total Production...Cost. Gross. Profit, and Net Profit cells in the correct locations (F2, G2, and H2 respectively) for a one-variable data table. Use range names where indicated Complete the one-variable data table in the range E2:H22 using cell B4 as the column input cell, and then format the results with Accounting Number Format with two decimal places. Apply custom number formats to make the formula references appear as descriptive column headings. In F2, Total Costs, in G2, Gross Profit, in H2, Net Profit. Bold and center the headings and substitution values. Copy the number of gallons produced substitution values from the one-variable data table, and then paste the values starting in cell E26. Type $15 in cell F25. Complete the series of substitution values from $15 to $40 at $5 increments Enter the reference to the net profit formula in the correct location for a two-variable data table Complete the two-variable data table in the range E25.645 Use cell B6 as the Row input cell and B4 as the Column input cell Format the results with Accounting Number Format with two decimal places

Answers

Number Formats: For the two-variable data table, apply Accounting Number Format with two decimal places and bold and center the headings and substitution values.

What is decimal?

Decimal is a numeral system used in mathematics to represent numbers based on the base ten. It uses the ten digits 0, 1, 2, 3, 4, 5, 6, 7, 8, and 9 to represent numbers. It is a positional numeral system, which means that the position of each digit in a number is used to represent its value. For instance, the number 563 represents the value five hundred sixty-three, because the number 5 is in the hundreds position, the number 6 is in the tens position, and the number 3 is in the ones position. Decimal is commonly used in everyday life, such as in measurements, currency, and scientific notation.

Range Names:
1. Total_Production_Cost: This range name refers to the range of cells B18.
2. Gross_Profit: This range name refers to the range of cells B21.
3. Hourly_Wages_2018: This range name refers to the range of cells B5.
Formula for Net Profit: =B21-B18

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Lipids have many functions in the body as well as in foods. Select all of the statements that are true.
A. Essential fatty acids must be supplied by food.
B. Subcutaneous fat stores triglycerides and helps keep the body warm.
C. Phospholipids are the building blocks for various proteins in the body.
D. Phospholipids are a major component of plasma membranes.
E. Phospholipids such as lecithin serve as antioxidants in foods.
F. Cholesterol is used to make certain hormones.
G. Triglycerides supply 7 kcal/g.
H. Cholesterol provides 9 kcal/g.

Answers

Lipids are a diverse group of biomolecules that have a variety of functions in the body as well as in foods. The following are the correct statements regarding lipids: A, B,C ,E , G , H.

The statements which are true for lipids are:

The following are the true statements:

A. Essential fatty acids must be supplied by food.

B. Subcutaneous fat stores triglycerides and helps keep the body warm.

D. Phospholipids are a major component of plasma membranes.

F. Cholesterol is used to make certain hormones.

G. Triglycerides supply 7 kcal/g.

H. Cholesterol provides 9 kcal/g.

Lipids are a heterogeneous group of biomolecules that serve as energy sources, structural components of cell membranes, and signaling molecules, among other things. Essential fatty acids, cholesterol, and triglycerides are all lipids that are essential for human health.

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boring, repetitious, and unrewarding. You are trying to solve this situation with the help of Herzberg's two-factor theory. You decide your first task will be to improve the hygiene factors. Which of the following would you consider a hygiene factor? A) working conditions B) training related to new skills C) recognition D) employee empowerment E) promotion

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As a question answering bot, it is essential to provide answers to questions that are factually accurate, professional, and friendly.

Also, your answer should be concise and without extraneous amounts of detail. You must identify the relevant aspects of the question that the user is asking about and provide a helpful answer to them. In the scenario given in the question, the two-factor theory of Herzberg can be utilized to enhance the employee satisfaction level. It is decided that the first approach to improving the employee satisfaction is to boost hygiene factors. Therefore, which of the following would you consider a hygiene factor?The working conditions are a hygiene factor. Herzberg's two-factor theory suggests that working conditions, company policies, supervision, status, and job security all influence employee satisfaction. However, these aspects cannot increase job satisfaction by themselves. The job must offer significant motivators as well. When hygiene factors are insufficient or lacking, job dissatisfaction may occur. On the other hand, the presence of hygiene factors does not increase job satisfaction but does avoid job dissatisfaction. So, the answer to this question is (A) Working conditions.

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In which of the following situations docs the Central Limit Theorem allow use of & Normal model for the sampling distribution model: Weights of students are normally distributed We wish to determine the Probability that the mean weight for random sample of 4 students %s grcater than 150 pounds B: The distribution of test scores of students 5 slightly skewed to the right We wish to determine the Probability that the mean score for random sample of & students Is greater than 80. of incomes of students is stronglv skewed to the right Wc wish to determine the C: The distribution random sample of 100 students Is greater than 525,000. probability that the mean Income for A, B, and C C:Aonly D. Aand C E: C only A A and

Answers

The probability that the mean income for a random sample of 100 students is greater than 525,000. Normal model cannot be used for the sampling distribution model.

The Central Limit Theorem allows us to use a Normal model for the sampling distribution model in situation. We can determine the probability that the mean weight for a random sample of 4 students is greater than 150 pounds. This is because the weights of students are normally distributed.

The Central Limit Theorem does not apply to situation. The distribution of test scores of students is slightly skewed to the right, which means that a Normal model cannot be used for the sampling distribution model. We can still determine the probability that the mean score for a random sample of 4 students is greater than 80, but a different approach would need to be taken.

The Central Limit Theorem allows us to use a Normal model for the sampling distribution model in situation. We can determine the probability that the mean income for a random sample of 100 students is greater than 525,000. This is because the incomes of students is strongly skewed to the right, but the Central Limit Theorem applies even if the distribution is not perfectly Normal.

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Baldwin Corporation uses the accrual method of accounting. When it sells the first unit of inventory for its product called Bast during the year, it also matches which of these expenses with that sale:Select: 1A. The R&D on the Bast product.B. The promotion budget for the Bast product.C. The material cost and labor cost of the Bast unit.D. The depreciation on the Bast production line

Answers

B. The promotion budget for the Bast product.

Explanation:

Baldwin Corporation is a company that utilizes the accrual method of accounting. When it sells the first unit of inventory for its product known as Bast during the year, it also matches the promotion budget for the Bast product with that sale.

The accrual method of accounting is a method of accounting that records expenses and revenues as they occur, whether or not the transaction has been paid for.

Accrued revenue refers to money received for goods or services that have not yet been delivered or used. Accrued expenses are expenses that have been incurred but have not yet been paid for in cash by the company.

The cost of the goods sold (COGS) is a summation of the direct expenditures involved in the production or acquisition of the goods sold by a business. The cost of goods sold (COGS) is subtracted from the gross revenues generated by a business to calculate gross profit (GP).

In an accrual accounting system, expenses are reported on the income statement when they are incurred, regardless of when they are paid. Accrual accounting contrasts with cash accounting, which records transactions only when money changes hands.

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Metters Cabinets, Inc., needs to choose a production method for its new office shelf, the Maxistand. To help accomplish this, the firm has gathered the following production cost data:Process Type: Annualized Fixed Cost of Plant & Equipment: Variable Costs (per Unit) ($) Labor: Material: Energy:Mass Customz; $1,400,000; 30; 18; 12;Intermittent; $1,000,000; 24; 26; 20;Repetitive; $1,720,000; 28; 15; 12;Continous; $2,000,000; 25; 15; 10;Metters Cabinets projects an annual demand of 24,000 units for the Maxistand. The selling price for the Maxistand is $120 per unit.a) Based on the projected annual demand, the best alternative available is to use the _____ process.b) The value of annual profit using this method is $ _____.

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The Continuous process, which has an annualized fixed cost of $2,000,000 and a variable labor cost of $25 per unit, is the best option given the anticipated yearly demand.

How can you figure out the annual profit using this approach?

The total cost per unit must be subtracted from the selling price per unit, and the annual profit must then be multiplied by the anticipated annual demand:

(Selling price per unit - total cost per unit) x Yearly demand = Annual profit

($120 - $103.33) x 24,000 equals the annual profit.

$401,920 is the yearly profit.

As a result, the Continuous process yields an annual profit of $401,920.

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describe a time when you had to ask questions and listen carefully to clarify a customer's problem. what questions did you ask? what actions did you take? what was the outcome?

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In a customer service role, it is essential to ask questions and listen carefully to clarify a customer's problem. One time, I had to assist a customer who was having difficulty with their online purchase.

They were unable to complete the transaction, and they were frustrated with the website's functionality. I listened carefully to their concerns and asked some questions to understand the issue fully. Some of the questions I asked were: What seems to be the problem? Can you explain the issue in detail? Are you receiving any error messages? Have you tried any troubleshooting steps? Based on the customer's responses, I determined that there was a technical issue with the website. I checked the website's backend and found that there was a temporary glitch in the system. I assured the customer that we would fix the problem as soon as possible and offered some alternatives to complete their purchase. I apologized for the inconvenience and provided a discount code to compensate for the trouble they had faced. The customer was pleased with the resolution, and they completed the purchase using the alternative method.

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Assume that you are attempting to fund a $50,000,000 liability associated with the clean-up of an environmental site that will be due in seven years. If you don't meet the liability you will be out of business. You have an amount of money to invest today that you feel will be sufficient. How might you manage a bond portfolio to ensure that it will be enough at the time you need it? Give two alternatives. Be sure you explain how the alternatives work so that even a government regulator could understand it. As part of your answer be sure to discuss the two risks that bond holders are exposed to because of changing interest rates over time.

Answers

In the following question, among the various parts to solve on funding- part-1, 1) Invest in fixed rate bonds, 2) invest in floating rate bonds. part-2, 1)Reinvestment Risk, 2)Price Risk.

There are two alternatives to managing a bond portfolio to ensure that it is sufficient to meet the $50,000,000 liability due in seven years:
1. Invest in fixed-rate bonds: With this approach, the investor buys bonds at a fixed rate of interest and holds them to maturity. The bonds will not lose or gain value due to changes in market interest rates and the investor will receive the original principal plus the interest payments as stated in the bond's terms.
2. Invest in floating rate bonds: With this approach, the investor buys bonds with an interest rate that changes periodically with market conditions. This can be beneficial in an environment of rising interest rates, since the investor would receive a higher rate of interest. However, the investor may not be able to receive the full principal back if the interest rates drop significantly and the bond is sold before maturity.
Both of these approaches expose bondholders to two risks associated with changing interest rates:
1. Reinvestment Risk: If the market interest rate is lower than the current rate on the bond, the investor may not be able to reinvest their proceeds into another bond with the same yield.
2. Price Risk: If the market interest rate rises, the price of the bond will fall and the investor will suffer a capital loss when they sell the bond before it matures.

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If one made an incision between the tendons of the flexor carpi ulnaris and the flexor digitorum superficialis muscle, the person would be attempting to find which artery?

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If one made an incision between the tendons of the flexor carpi ulnaris and the flexor digitorum superficialis muscle, the person would be attempting to find the ulnar artery.

What is an artery?

An artery is a blood vessel that carries blood away from the heart to other parts of the body. They are responsible for transporting oxygenated blood from the heart to the rest of the body's organs and tissues. Since arteries carry oxygenated blood, they have thick walls with a smooth and elastic lining.

What is the ulnar artery?

The ulnar artery is one of the two major arteries located in the forearm, alongside the radial artery. The ulnar artery is located close to the ulna bone in the forearm, and it carries blood to the forearm and hand muscles. It is responsible for supplying oxygen-rich blood to the muscles and skin on the ulnar side of the arm, as well as the medial portion of the palm and the fourth and fifth fingers.

How to find the ulnar artery?

An incision between the tendons of the flexor carpi ulnaris and the flexor digitorum superficialis muscle is one way of locating the ulnar artery. These tendons form a groove that houses the ulnar artery, and an incision between them can reveal the artery.

However, it is important to use caution and precision during the incision process to avoid damaging the artery or any other tissues.

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Suppose this information is available for PepsiCo, Inc. for 2020, 2021, and 2022.(in millions) 2020 2021 2022Beginning inventory $2,100 $2,500 $2,800Ending inventory 2,500 2,800 2,900Cost of goods sold 20,930 23,850 23,655Sales revenue 38,900 43,600 43,480a. Calculate the inventory turnover for 2020, 2021, and 2022.b. Calculate the days in inventory for 2020, 2021, and 2022.c. Calculate the gross profit rate for 2020, 2021, and 2022.

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2020 is the year's inventory turnover for 2020, 2021, and 2022. Inventory turnover is $20,930 / (($2,100 + $2,500) / 2) = 8.19, $23,850 / (($2,500 + $2,800) / 2) = 8.54, and $23,655 / (($2,800 + $2,900) / 2) = 8.16.

What is the inventory ratio at PepsiCo?

A ratio that demonstrates how frequently a company's inventory is sold and replaced over time is known as an inventory turnover ratio. For the three months ended December 31, 2022, PepsiCo's inventory turnover ratio was 2.57.

What percentage of the inventory is there?

The carrying cost of an organization's inventory can be stated as a percentage. It is computed by totaling all carrying expenses, dividing that number by the total inventory value, and multiplying the result by 100 to get a percentage.

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Consider an oligopolistic market with 3 identical firms, all three making a homogeneous product. The inverse demand for this product is P(Q) = 3, 000 − 6Q where Q is the market quantity. The marginal cost of production is equal to the average cost and is identical for all firms and given by c = 2, 000.
(a) Solve for the best response function for each of the three firms.
(b) Calculate the Nash equilibrium output, price and profits of each firm using quantity as the strategic variable (i.e. assuming firms choose quantities).
(c) Compute the Lerner index for each firm.
(d) Assume two of the firms merge. Assume that the merged firm has marginal cost 1,600. What is the profit of the merged firm? (e) Given your answer to pard (d), would the firms want to merge? Explain. (f) Would the firm that was not part of the merger benefit from the merger? Explain.

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The profits of the companies combined are 1000. The firms would want to merge because the profit of the merged firm is higher than the profit of each of the firms in the Nash equilibrium.

The best response function for each firm in this oligopolistic market is given by the following equation:
BR(Q) = MC + ((P(Q) - MC) / n),
where

MC is the marginal cost (2,000) and n is the number of firms (3).

The Nash equilibrium output, price and profits of each firm are given by the following equations:
Q* = 1000, P* = 1000, Profits* = 500

The Lerner index for each firm is given by the following equation:
Lerner Index = (P* - MC) / P* = (1000 - 2000) / 1000 = -1.

The profit of the merged firm is given by the following equation:
Profits* = (3000 - 6Q*) - 1,600Q* = 1000 - 2,400Q*.
Therefore, the profit of the merged firm is 1000.

The firms would want to merge because the profit of the merged firm is higher than the profit of each of the firms in the Nash equilibrium. The firm that was not part of the merger would not benefit from the merger because its profit would remain the same in the Nash equilibrium.

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A(n) _________ difference in cash occurs when a company records a transaction either before or after the bank records the same transaction. (Enter only one word.)

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A(n) timing difference in cash occurs when a company records a transaction either before or after the bank records the same transaction. Timing differences arise because it takes time for a transaction to be initiated, recorded, processed, and cleared through the banking system.

When a company records a transaction in its books of account, it might not always coincide with the date the bank records the transaction in its books. This time lag creates a timing difference, which is resolved when the bank statement is received by the company. It might be favorable or unfavorable.

An example of a favorable timing difference is when a company deposits a check into its bank account at the end of the month, but the bank does not process it until the first day of the next month. In this scenario, the company's cash balance on its books is higher than what is recorded in the bank's books. This difference is favorable to the company and is called a deposit in transit. It will be resolved when the bank statement is received, and the company records the deposit.

An example of an unfavorable timing difference is when a company writes a check on the last day of the month, but the bank does not process it until the first day of the next month. In this case, the company's cash balance on its books is lower than what is recorded in the bank's books. This difference is unfavorable to the company and is called an outstanding check. It will be resolved when the bank statement is received, and the company records the check.

Therefore, timing differences occur when a transaction is recorded either before or after the bank records the same transaction. This difference is resolved when the bank statement is received by the company, and the company records the transaction as per the bank records.

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in order to have a professional buy stocks for them, millions of people purchase: mutual funds coupons transactions brokerage houses iras

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In order to have professionals buy stocks for them, millions of people purchase mutual funds.

Mutual funds can be defined as a pool of money from different kinds of investors which is collected by the fund manager to invest in securities such as bonds, stocks, etc. Mutual funds are managed by a professional fund manager who makes investment decisions based on the funds' objective.

In order to have professionals buy stocks for them, millions of people purchase mutual funds as mutual funds provide an easy and effective way to invest in the stock market. Mutual funds invest in a diversified portfolio of stocks which reduces the risk and provides better returns. Mutual funds also provide the benefit of liquidity as it can be easily bought and sold through mutual funds. Mutual funds also offer tax benefits to investors which makes it one of the popular investment options

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during the short-run period of the production process, a firm will bea. unable to vary any of its factors of production. b. able to vary only some of its factors of production. c. able to vary all of its factors of production. d. able to vary the size of its plant.

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During the short-run period of the production process, a firm is B. able to vary only some of its factors of production.

The short run is an idea that expresses that, inside a specific period later on, no less than one information is fixed while others are variable. In financial matters, it communicates the possibility that an economy acts contrastingly relying upon the time span it needs to respond to specific boosts.

The short run doesn't allude to a particular span of time yet rather is exceptional to the firm, industry or monetary variable being considered.

A key standard directing the idea of the short run and the long run is that in the short run, firms face both variable and fixed costs, and that implies that result, wages, and costs don't have full opportunity to arrive at another balance. Harmony alludes to a point wherein restricting powers are adjusted.

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you own a bond that has a duration of 6 years. interest rates are currently 7% but you believe the fed is about to increase interest rates by 25 basis points. what is the predicted price change on this bond? show your calculation.

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The predicted price change on the bond given the expected increase in interest rates is a decrease of approximately 1.09%.

To calculate the predicted price change on the bond given the expected change in interest rates, we can use the modified duration formula:

Modified Duration = (1 + Yield to Maturity / Number of Payments) / Yield to Maturity

Using this formula, we can calculate the modified duration of the bond as follows:

Modified Duration = (1 + 0.07 / 2) / 0.07

Modified Duration = 4.35

Assuming a 25 basis point increase in interest rates, the new yield to maturity would be 7.25%. Using the modified duration and the expected change in yield, we can estimate the percentage change in the bond's price:

Estimated % Change in Price = - Modified Duration x Change in Yield to Maturity

Substituting the values, we get:

Estimated % Change in Price = -4.35 x 0.0025

Estimated % Change in Price = -0.010875 or -1.09%

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A company reported that its bonds with a par value of $50000 and a carrying value of $66.500 are retired for $71,400 cash, resulting In a loss of $4,900. The amount to be reported under cash flows from financing activities is: a. $(71,400). b. $(16,500). c. $(66,500). d. $16,500. e. $(4,900).

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The difference between the carrying value and the par value of the bonds is $66,500 - $50,000 = $16,500. This is the amount of the loss that is reported on the income statement.

Therefore, the amount to be reported under cash flows from financing activities is $(71,400). The amount of the loss that is reported on the income statement is [tex]$16,500.[/tex]

The amount to be reported under cash flows from financing activities is[tex]$(71,400).[/tex]This is because a company retiring bonds with a par value of $50,000 and carrying value of $66,500 for $71,400 cash results in a loss of $4,900.

To calculate the amount to be reported under cash flows from financing activities, we need to look at the par value of the bonds, the carrying value of the bonds, and the cash paid to retire them.

The par value is the face value of the bonds, and in this case it is $50,000. The carrying value of the bonds is the amount the bonds are worth on the balance sheet, and in this case it is $66,500. The cash paid to retire them is  [tex]$(71,400).[/tex]
The difference between the cash paid and the par value of the bonds is $(71,400) - $50,000 = $(21,400). This is the amount to be reported under cash flows from financing activities.

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true or false to complete a 20 person-month project in 10 months, a team should have 4 full-time staff members assigned to the project

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The statement "To complete a 20 person-month project in 10 months, a team should have 4 full-time staff members assigned to the project" is false because it can be done with 2 full-time staff members.

What is a person-month in project management?

A person-month is a unit of measurement that is utilized in project management to determine the volume of resources required to accomplish a project. It's calculated by multiplying the number of people working on a project by the number of months they worked on it. A person-month is a commonly used technique to forecast the size of the development team required to deliver a specific product or project.

Therefore, to complete a 20 person-month project in 10 months, a team should have at least 2 full-time staff members. So, the given statement is false.

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At periodic time intervals, ____ technology downloads updated, personalized information on your screen.

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At periodic time intervals, push technology downloads updated, personalized information on your screen.

What is Push Technology?

The technology that is referred to in the given sentence is known as  Push technology is a style of Internet-based communication where the request for a given transaction is initiated by the publisher or central server. It is often compared to pull or polling, where the request for the transmission of data is initiated by the receiver or client.

In Push technology, the server pushes the data to the clients without the clients requesting it. In Pull technology, the clients have to request the data from the server to receive the information.

Thus, Push technology saves time and effort in requesting data and helps in providing real-time information.

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