Consider the following statements: (a) Average inventories turnover period is an example of investment ratio. (b) Interest cover ratio is an example of financial gearing ratio Select one: a. (a) True; (b) True b. (a) False; (b) False c. (a) True; (b) False d. (a) False; (b) True

Answers

Answer 1

The correct answer is: c. (a) True; (b) False Average inventories turnover period is an example of investment ratio.

It refers to the time taken by the company to sell its inventories, and this can help to evaluate the effectiveness of the company in selling its inventories. Interest cover ratio is an example of financial gearing ratio. This ratio helps the stakeholders to evaluate the financial performance of the company by dividing earnings before interest and taxes (EBIT) by interest expense.

This provides an idea of the company's ability to make interest payments. which is (a) True; (b) False. The first statement is true that Average inventories turnover period is an example of investment ratio, while the second statement is false that Interest cover ratio is an example of financial gearing ratio.

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Related Questions

Which type of logs on fortigate record information about traffic directly to and from the fortigate management ip addresses?

Answers

Local Traffic logs are the type of logs on FortiGate that record information about traffic directly to and from the FortiGate management IP addresses.

What is FortiAnalyzer?

FortiAnalyzer helps to collect logs from various managed servers such as FortiGate, FortiCarrier, FortiCache, FortiMail, FortiManager, FortiSandbox, FortiWeb, FortiClient, and Syslog servers.

There are many kinds of logs on FortiGate such as Traffic Logs, Security Logs, DNS Logs, and Event Logs.

The traffic logs record the traffic flowing through your FortiGate unit. Since this traffic from the management IP addresses, needs firewall policies to flow through FortiGate properly, this type of logging is also called firewall policy logging.

All traffic attempting to transit between FortiGate interfaces, zones, and VLAN sub-interfaces is governed by firewall policies.

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The regular expenses of doing business such as wages, rent, utilities, insurance, and advertising is also known as the

Answers

Answer:

Operating expense

You open a new bank account at Eastside Savings. You see FDIC stickers around the bank, and the teller specifically mentions that Eastside
Savings is "FDIC Insured". A few months later, you hear on the radio that Eastside Savings is struggling to stay in business. Your savings balance
Is $500. What would happen to that money if Eastside Savings failed?

A.You could lose $250 since FDIC Insurance only covers 50% of the money you have deposited.
B.You would lose all of your money.
C.You would receive $250,000 since FDIC Insurance provides each account at the bank with $250,000 regardless of how much they
have deposited
D.You would receive all the money you have deposited at Eastside Savings since FDIC insurance covers accounts up to $250,000.

Answers

Answer:

The correct option is D. You would receive all the money you have deposited at Eastside Savings since FDIC insurance covers accounts up to $250,000.

Explanation:

Based on the information given what would happen to that money in a situation where Eastside Savings failed is that such individual would receive all the money he/she have deposited at Eastside Savings reason been that FDIC which is fully known as FEDERAL DEPOSIT INSURANCE CORPORATE insurance covers accounts up to the amount of $250,000 and Secondly Eastside Savings is "FDIC Insured".

marie corporation's what are the net cash flows from investing activities that will be reported in the statement of cash flows? (enter net cash outflows with a minus sign.)

Answers

Your company's cash flow statement includes cash flow from investing operations, which is used to show investing activities and their effects on cash flow. For this activity, learn how to compute it.

Any transactions that have a direct impact on long-term assets are considered investments. This can involve buying a building, selling equipment, or purchasing stocks. an aa a an a's"" A company's cash flow from assets is reduced whenever a long-term asset is bought, whereas cash flow is increased when a long-term asset is sold. The following sections are present in all cash flow statements: Cash flow from operating operations . cash flow generated by investing. Flow of money from financial operations. The cash flow statement, in contrast to other financial statements, exclusively considers cash entering and leaving a corporation.

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Question # 1 Long Text (essay) Submit two news story summaries, noting the following: agency name(s), parties affected by the decision, status on period for comment, status on decision-making, and what decisions you would make in similar situations.

Answers

The answer is The public may not make technical decisions, but their opinions deserve consideration by those who are making those decisions.

What does making decisions mean?

The process of choosing a course of action involves recognizing a decision, acquiring data, and weighing potential answers.

What three ways can one make a decision?

Based on the level at which they occur, decision-making may also be divided into three types. The direction of an organization is decided upon strategically. Decisions regarding how something will be accomplished are considered tactical. Lastly, operational decisions are choices that staff members make every day to manage the company.

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Question 6 (2 points) 40 Listen Marginal Incorporated (MI) has determined that its before-tax cost of debt is 4.0% for the first $285 million in bonds it issues, and 8.0% for any bonds issued above $285 million. Its cost of preferred stock is 13.0%. Its cost of internal equity is 16.0%, and its cost of external equity is 20.0%. Currently, the firm's capital structure has $540 million of debt, $90 million of preferred stock, and $270 million of common equity. The firm's marginal tax rate is 25%. The firm's managers have determined that the firm should have $89 million available from retained earnings for investment purposes next period. What is the firm's marginal cost of capital at a total investment level of $386 million? 8.50% 10.90% 7.90% 9.70%

Answers

Marginal Incorporated (MI) has the following before-tax costs for each type of financing: 4.0% for the first $285 million in bonds, 8.0% for any bonds issued above $285 million, 13.0% for preferred stock, 16.0% for internal equity, and 20.0% for external equity.

The answer is option A, 8.50%.

Step 1: First, we'll calculate the marginal cost of debt.

The formula for the marginal cost of debt is:  marginal cost of debt = cost of debt x (1 - tax rate).

When the firm raises funds through the issuance of debt, it pays an interest rate to lenders that can be deducted from taxable income to determine taxable income.

As a result, the after-tax cost of debt is lower than the before-tax cost of debt.

For the first $285 million of debt, the cost of debt is 4.0%, and for any debt issued over $285 million, the cost of debt is 8.0%.

Given a tax rate of 25%, the marginal cost of debt is calculated as follows: For the first $285 million of debt, the cost of debt is 4.0% x (1 - 0.25) =

3.0%.

For any debt issued over $285 million, the cost of debt is 8.0% x (1 - 0.25) = 6.0%.

The weighted average cost of debt can be calculated using the following formula:

Weighted average cost of debt = (amount of debt / total capitalization) x marginal cost of debt.

For MI, the amount of debt is $540 million, and the total capitalization is $900 million ($540 million of debt + $90 million of preferred stock + $270 million of common equity).

Therefore, the weighted average cost of debt is calculated as follows:

Weighted average cost of debt = ($540 million / $900 million) x 3.0% + ($360 million / $900 million) x 6.0% = 4.2%.

Step 2: Next, we'll calculate the cost of preferred stock.

The cost of preferred stock is simply the dividend rate that the firm is paying on its preferred stock.

MI is paying a dividend rate of 13.0% on its preferred stock, so the cost of preferred stock is 13.0%.

Step 3: Now, we'll calculate the cost of internal equity. The formula for the cost of internal equity is the dividend growth model. The dividend growth model formula is:

cost of equity = (dividend / price) + growth rate of dividends.

We don't know the dividend or the growth rate of dividends, but we can calculate the price using the capital asset pricing model (CAPM).

The CAPM formula is:  cost of equity = risk-free rate + beta x (market rate of return - risk-free rate).

The risk-free rate is 3.0%, which is the yield on 20-year U.S. Treasury bonds.

The market rate of return is 12.0%, and the beta is 1.2, which are all given in the problem.

Therefore, the cost of equity is: cost of equity = 3.0% + 1.2 x (12.0% - 3.0%) = 12.6%.

Step 4: Finally, we'll calculate the cost of external equity. The formula for the cost of external equity is the capital asset pricing model (CAPM).

The CAPM formula is: cost of equity = risk-free rate + beta x (market rate of return - risk-free rate).

The risk-free rate is 3.0%, which is the yield on 20-year U.S. Treasury bonds.

The market rate of return is 12.0%, and the beta is 1.4, which are all given in the problem.

Therefore, the cost of equity is:

cost of equity = 3.0% + 1.4 x (12.0% - 3.0%) = 17.0%.

Step 5: Now that we have the costs of each type of financing, we can calculate the weighted average cost of capital (WACC) using the following formula:

WACC = (weight of debt x cost of debt) + (weight of preferred stock x cost of preferred stock) + (weight of internal equity x cost of internal equity) + (weight of external equity x cost of external equity).

The weights are as follows: Weight of debt = $540 million / $900 million = 60.0%.

Weight of preferred stock = $90 million / $900 million = 10.0%.

Weight of internal equity = $270 million / $900 million = 30.0%.

Weight of external equity = 0.0%.

Since MI isn't raising any new external equity, the weight of external equity is zero.

Therefore, the WACC is calculated as follows:

WACC = (0.60 x 4.2%) + (0.10 x 13.0%) + (0.30 x 12.6%)

= 8.50%.

Thus, the answer is option A, 8.50%.

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A corporation has 3000 shares, 10% preferred stock of $55.00 par preferred stock, and 6000 shares of common stock outstanding. The net income for the year is $300,000. Calculate earnings per share. (Round your answer to the nearest cent.)

Answers

Answer:

the earning per share is $47

Explanation:

The computation of the earning per share is shown below;

= (Net income - preference dividend) ÷ number of common stock outstanding

= ($300,000 - (3000 × $55 × 10%) ) ÷ 6,000 shares

= $47.25

= $47 per share

Hence the earning per share is $47

Jolene has always wanted to work in Physical Therapy. Which career would be the best choice if she wants to get into a job that has fast-growing availability?

A. Physical Therapist Assistant
B. Physical Therapist Aide
C. Physical Therapist
D. Physical Therapist Technician

help? D:

Answers

Answer:

A.) Physical Therapist Assistant

Explanation:

Just did on Edge 2020. Hope this helps you and others out.

The best career choice that would have taken by Jolene in order to work in the field of Physical therapy is to become a Physical Therapist Assistant.

Option A is the correct answer.

What is meant by physical therapy?

Physical Therapy is a kind of treatment done by professionals to relieve a person from pain.

Physical therapist Assistants are professionals who are qualified with an accredited degree in the course of Physical Therapy Education. They are worked under the guidance of Physical Therapists. They also helped the physical therapists with the healthcare problems of the infants to the individual who died.

Therefore, the Physical therapist assistant would be the career chosen by Jolene in order to work in the desired field.

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which of the following is a source of outflow in the current staffing level?

Answers

The source of outflow in the current staffing level can be due to several factors. It could be because of resignations, retirements, terminations, or even the death of employees.

Resignations could occur due to personal reasons, better career opportunities, or dissatisfaction with the current job. Retirement could happen when an employee reaches retirement age or decides to retire early.

Termination could result from poor performance, misconduct, or violation of company policies. Death, unfortunately, is also a possible source of outflow.

In summary, the outflow of staff in the current staffing level can come from various reasons as mentioned above.

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what is motivation in business

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Answer:

La motivación emprendedora es un factor importante para contribuir con el desarrollo de una sociedad. También es importante el proveer instrumentos para canalizar las acciones de los emprendedores/as potenciales para obtener el exito.

[ Entrepreneurial motivation is an important factor in contributing to the development of a society. It is also important to provide instruments to channel the actions of potential entrepreneurs to achieve success..]

Explanation:

Sorry my English is not very good but I hope you understand and help you with something.

Emilio is photographing a series of hills on his uncle's farm. He remembers that he needs to try to add a foreground to his image to make it appear three dimensional. How is he MOST LIKELY to add this foreground? A. B. C. D. He might change his position to include some foreground items such as rocks or grasses. He might tilt his camera up to better capture the tops of the hills. He might add some framing trees in the middleground of his image. He might circle around to the side of the hills to capture the cows standing on top. PLS HELP!!​

Answers

Emilio is photographing a series of hills on his uncle's farm. He remembers that he needs to try to add a foreground to his image to make it appear three-dimensional. He is most likely to add this foreground Option A. He might change his position to include some foreground items such as rocks or grasses.

The foreground of an image is usually the element that is closest to the viewer. The foreground is often used to add depth to an image. If a photographer wants to create a 3D appearance in his image, he must ensure that the image has a foreground, mid-ground, and background. It is possible to include a foreground in a photo by modifying the angle of the shot and including elements in the foreground.

Emilio might change his position to include some foreground items such as rocks or grasses. By doing so, he will be adding depth to his image. Another way to add foreground to an image is to use framing trees in the middle ground of the image, but this may not provide the depth required. Tilt his camera up to better capture the tops of the hills or circling around to the side of the hills to capture the cows standing on top are not recommended, as the question seeks to add a foreground.

Therefore, Emilio is most likely to add the foreground by changing his position to include some foreground items such as rocks or grasses. Therefore, the correct option is A.

The question was incomplete, Find the full content below:

Emilio is photographing a series of hills on his uncle's farm. He remembers that he needs to try to add a foreground to his image to make it appear three-dimensional. How is he MOST LIKELY to add this foreground?

A. He might change his position to include some foreground items such as rocks or grasses.

B. He might tilt his camera up to better capture the tops of the hills.

C. He might add some framing trees in the middle ground of his image.

D. He might circle around to the side of the hills to capture the cows standing on top.

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What does the word cost mean in the context, "understanding their costs and
income, budgeting to ensure all their expenses are covered is a financially
tsresponsible behavior"?

Answers

In the context of the statement, "costs" refers to the expenses incurred by an individual or organization.

What is meaning of cost as used?

Cost as used can include fixed expenses, such as rent or mortgage payments, and variable expenses, such as food or transportation costs.

When the statement says "understanding their costs and income," it means understanding all of the expenses that need to be paid, as well as the amount of money coming in, such as from a salary or business profits.

The idea is that budgeting to ensure all costs are covered is a financially responsible behavior, because it helps ensure that all bills are paid and debts are managed, without overspending or accruing unnecessary debt.

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The share in the company's profit is called_________.​

Answers

Answer:

profit sharing

Explanation:

From Investopia they define profit sharing as

"A plan gives employees a share in their company's profits based on its quarterly or annual earnings."

What are the accounting differences between cash and receivables from the perspective of a buyer? A seller? How are these differences changed by the accounting basis (cash vs. Accrual) an organization chooses?

Answers

Answer:

From a buyer's perspective, a sale made on credit represents a liability. While a sale made on cash represents a decrease of current assets.

From a seller's perspective, a sale made on credit or cash increases current assets, but the possibility of a bad debt always exist, therefore, accounts receivables must be periodically adjusted due to bad debts.

If the seller or buyer uses accrual accounting system, the previous description holds, but if they use cash basis accounting, things change a lot. When use cash basis, transactions are recorded only when cash is exchanged, so accounts receivables do not actually increase assets (seller's perspective), and accounts payables do not increase liabilities (buyer's perspective).

A market ____ analyst studies prevailing market trends and forecasts potential sales for a product.?

Answers

Explanation:

A market ____ analyst studies prevailing market trends and forecasts potential sales for a product.?

In which item category would the sourcing strategies of ensuring availability of supply, focusing on relationship building, encouraging process integration and innovation, frequent communications, and establishing mutually agreeable supplier performance criteria, be appropriate

Answers

The answer is………………………………

what type of federal funding is free money but is based on financial need only?

Answers

Answer:

Explanation:

Answer:

parks and recreation? brainliest?

Explanation:

Making a complaint to the FTC about a business is a long, complex process.
A.
True
B.
False

Answers

Answer:

B false

Explanation:

Answer:

b. false

explantation

the deadweight loss from a $3 tax will be largest in a market with?- inelastic supply and elastic demand.- inelastic supply and inelastic demand.- elastic supply and inelastic demand.- elastic supply and elastic demand.

Answers

As a result of discouraging consumers from buying things that are more expensive after the tax than they would have been without it, taxes generate deadweight loss.

In the scenario when supply is more inelastic, is the deadweight loss greater or smaller?

The consumer will be more responsible for paying the tax and there will be less deadweight loss the more inelastic the demand is in relation to supply. The provider bears the tax burden more heavily and the deadweight loss is reduced the more inelastic the supply is compared to the demand.

Which group, elastic or inelastic, is subject to taxes more severely?

Buyers bear the majority of the tax burden since supply is more elastic than demand. When demand is more elastic than supply, the producers bear the bulk of the tax burden. More strictly elastic factors like supply and demand are less elastic than revenue receipts.

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Investing activities are affected by changes in current liabilities. O changes in long-term assets. O changes in current assets. O changes in equity accounts.

Answers

Investing activities are not affected by changes in current liabilities. Instead, they are affected by changes in long-term assets. Investing activities is a section of the statement of cash flows that shows the cash inflows and outflows from purchasing and selling long-term assets like property, plant, and equipment. What are investing activities?

Investing activities involve the purchase and sale of long-term assets such as property, plant, and equipment. Investing activities also include buying and selling long-term investments, such as stocks and bonds, as well as lending money and collecting on the loans.

Investing activities are part of the statement of cash flows, which is one of the three main financial statements of a company.

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what is one major disadvantage of corporations compared to other types of business organizations? A. Corporations have more legal liability for owners than other businesses B. Corporations are less likely to have specialized workers than other businesses C. corporations are more complex to start than other businesses D. corporations have a less stable life span than other businesses

Answers

Answer:

C. Corporations are more complex to start than other businesses

Explanation:

APE X got this right

One major disadvantage of corporations compared to other types of business organizations, corporations are more complex to start than other businesses. The correct option is C.

What is a corporation?

A corporation is a legal body that exists independently of its owners. Corporations have many of the same legal rights and obligations as individuals. They have the ability to enter into contracts, lend and borrow money, sue and be sued, hire personnel, own assets, and pay taxes.

Corporations are subject to double taxation and must go through several formalities in order to be formed. A corporation is required to submit a corporate tax return and pay taxes on its profits at the corporate tax rate. Dividends to shareholders are taxed at the shareholder's individual tax rate.

Therefore, corporations are more complex to start than other businesses.

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Concord Industries collected $90,300 from customers in 2022 Of the amount collected, $21,500 was for services performed in 2021 . In addition, Concord performed services worth $34,400 in 2022 , which will not be collected until 2023. Concord Industries also paid $61,920 for expenses in 2022 . Of the amount paid, $25,800 was for expenses incurred on account in 2021. In addition, Concord incurred $36,120 of expenses in 2022, which will not be paid until 2023. (a) Compute 2022 cash-basis net income. Cash-basis net income (b) Compute 2022 accrual basis net income. Accrual-basis netincome

Answers

The 2022 accrual basis net income is $860.

(a) The 2022 cash-basis net income is computed below:

Total revenue for 2022 ($90,300) minus Total expenses for 2022 ($61,920) = $28,380

Cash basis net income is $28,380.

(b) The 2022 accrual basis net income is computed as follows:

First, we compute 2022 accrual revenue, which equals $90,300 collected from customers in 2022 plus $34,400 in services performed in 2022 that will be collected in 2023, for a total of $124,700.

Second, we compute 2022 accrual expenses, which equals $61,920 paid in 2022 for expenses incurred in 2022 plus $36,120 of expenses incurred in 2022 that will be paid in 2023 plus $25,800 of expenses paid in 2022 for expenses incurred in 2021 for a total of $123,840.

Finally, we subtract total expenses of $123,840 from total revenue of $124,700 to get an accrual-basis net income of $860.

Therefore, the 2022 accrual basis net income is $860.

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11. What are assets?

11. What are assets?

Answers

financial accounting, an asset is any resource owned by a business or an economic entity. It is anything that can be owned or controlled to produce value and that is held by an economic entity and that could produce positive economic value.
I hope this helps

Answer:

I believe it's the last option.

Explanation:

An asset is a resource with economic value that an individual, corporation, or country owns or controls with the expectation that it will provide a future benefit. Assets are reported on a company's balance sheet and are bought or created to increase a firm's value or benefit the firm's operations.

One of the major trends in the lodging sector is that organizations are becoming more international.
O False
O True
Mark this and return
Save and Exit
Nex
Subm

One of the major trends in the lodging sector is that organizations are becoming more international.O

Answers

The answer would be true

Need help ASAP please answer this

Need help ASAP please answer this

Answers

The sum of the bank's total amount of liabilities and net worth is $5002 million.

How to calculate the values?

The sum of the bank's total amount of liabilities and net worth will be:

= Total reserves + Loans + Securities + Other assets.

= 268 + 3653 + 949 + 132

= $5002 million

The additional amount of loans that the bank can make to household and firm is $8 million. This is simply the value of the excess reserve.

The current quantity of transaction deposits at the bank will be:

(Total reserve - Excess reserve) = Transactions deposit × Reserved ratio

(268 - 8) = Transaction deposit × 10%

260 = Transaction deposit × 10%

Transactions deposit = 260/10%

Transaction deposit = $2600 million = $2.6 billion

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In terms of SUPPLY, what factors have contributed to the fall in oil prices?

Answers

Current supply and output. Until recent years, Organization of Petroleum Exporting Countries (OPEC) often set supply through a quota system.


Select the scenario that best demonstrates the entrepreneurial mindset of taking initiative and
being self-reliant

A. Jon starts a café in his town. He observes that due to a drop in the economy, his café is not doing as well as expected. He hopes his business will pick up again once the economy is strong again.
B. Linda is developing a music app. However, she gets stuck many times while
writing the code. She considers giving up on her app and working under an
experienced person to develop apps.
C. Samantha works as a nail artist. To keep up with the competition and customer
demands, she expands her skill set with new techniques and designs in the market.
D. Steve works as a pizza delivery boy, but wants to start his own pizza parlor. It
will be difficult to make time to implement his business plan, so he is going to wait
for a better time to start his business.

Answers

Answer:

c.Samantha works as a nail artist. To keep up with the competition and customer

demands, she expands her skill set with new techniques and designs in the market.

Explanation:

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What are 3 reasons for having a checking account?

Answers

The major reason for having the checking account are financial safety, easy access to your funds, savings from check-cashing fees, and overall financial peace of mind.

Checking account:

In accounting, checking account is the  type of bank account that allows you to easily deposit and withdraw money for daily transactions.

Given,

Here we need to find the 3 reasons for having a checking account.

Based on the given definition we know that the checking account is the that is perfectly suitable for the daily transactions actions.

Therefore, the reason behind the usage of checking account is listed as,

=> helps you manage your day-to-day finances, such as paying your bills,

=> receiving direct deposit of your paycheck, and

=> withdrawing cash from an ATM.

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article 9 of the code of ethics about written agreements requires realtors® to

Answers

Article 9 of the Code of Ethics about written agreements requires Realtors to make reasonable efforts to reduce their verbal agreements to written agreements.

The National Association of Realtors has a code of ethics that each member must follow. The code of ethics serves as a guideline to ensure that members act professionally and ethically in their dealings with clients. One of the most important provisions in the Code of Ethics is Article 9, which relates to written agreements. Article 9 requires Realtors to make a reasonable effort to reduce their verbal agreements to writing.

This requirement is essential because it helps prevent misunderstandings between Realtors and their clients. By putting their agreements in writing, the parties can avoid confusion over what was agreed upon and have a clear record of their understanding if any disputes arise in the future. Realtors can create written agreements using standard forms approved by their local or state Realtor association or legal counsel. Therefore, Article 9 of the Code of Ethics requires Realtors to make reasonable efforts to reduce their verbal agreements to written agreements.

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Eaton Products seeks to select the minimum total cost vendor for a product for any order quantity. Each of the four product vendors has an associated fixed order cost along with a per unit product cost. Data are provided in the workbook accompanying this quiz. A possible formula for the total cost for vendor AAA in cell D4 would be:
=B4*B9+C4
=B4+C4*B9
=B4+C4*C9
=B4+C4*$B$9
None of these answers are correct.
Exactly two of the above answers are correct.

Answers

A possible formula for the total cost for vendor AAA in cell D4 would be:

=B4 + C4 * $B$9

This formula calculates the total cost by multiplying the per unit product cost (C4) with the fixed order cost ($B$9) and adding it to the product cost (B4). The fixed order cost represents the cost incurred for each order, regardless of the quantity ordered. The per-unit product cost represents the cost of each individual unit.

By multiplying the per unit product cost with the fixed order cost and adding it to the product cost, we obtain the total cost for vendor AAA. This formula considers both the fixed order cost and the per unit product cost in determining the total cost, which allows for a comprehensive evaluation of the minimum total cost vendor for any order quantity.

The other answer choices do not accurately reflect the calculation of the total cost, either by omitting one of the cost components or using incorrect references. Therefore, the correct formula is =B4 + C4 * $B$9.

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Lexi said that two linescan both intersect a third line and beperpendicular to each other. Draw apicture to explain what she means. Find in each case whether the lines are parallel to each other, perpendicular to each other, or neither. a) y = 1- x b) x - 2y = 4 y = x + 4 = 3x 1 c) 3y=9x + 1 d) 4y = 8x + 1 x + 3y = 4 2y = 3 - 4x Brainliest to correct answer!!What is the equation of this graphed line?Enter your answer in slope-intercept form in the box. this sentence has two errors! T cantas, leas, escribas, y compartes tu almuerzo. Evaluate the Piecewise Function. Please Hurry a person pushes a 10 kg box from rest and accelerates it to a speed of 2.3 m/s with a constant force. if the box is pushed for a time of 4.8 s, what is the force exerted by the person? 1001111 binary division Read the poem below and then respond to the questions listed:My Papa's WaltzThe whiskey on your breathcould make a small boy dizzy,But I hung on like deathSuch waltzing was not easy.We romped until the pansslid from the kitchen shelf,My mother's countenancecould not unfrown itself.The hand that held my wristwas battered on one knuckle;At every step you missedMy right ear scraped a huckle,You beat on my headwith a palm caked hard by dirt,Then waltzed me off the bedStill clinging to your shirt.Theodore Roethke (1932, p. 45)Roethke, T. (1932). The collected poems of Theodore Roethke, New York, Doubleday1. What feelings, thoughts or pictures come to mind as you read the poem?2. After reading the poem, what stands out most in your mind?3. Was there anything in the poem that bothered you or surprised you?4.Does the poem remind you of anything that has ever happened to you or to someone you know or something you read/heard about? 5. Would you call these responses( 1-4 above) aesthetic or efferent? What is the slope of the line through the points (3,7) and (5,15) Select the structure that corresponds to the name propanamide How are Chinese government tackling the housing crisis? (300-500 words)..please address China's condition.do not copy. precise answer required for CHINA. downvote will receive if just copy and paste online. dont want answer for other countries or globally What is the tone of the passage?fromOn Going a Journey Because the Revolutionary War was costly, both Washingtons new government and the state governments were in Required information NOTE: This is a multi-part question. Once an answer is submitted, you will be unable to return to this part. A force F of magnitude 295 lb acts at the origin of a coordinate system. Knowing that 8x = 65, y=40, and F> 0, determine the angle . The angle z is simplify the expression, 11.9b - 10 + 3.3b - 7 - 11.6d. pls i need help. 2) What is your favorite Dr. Seuss book andwhy? Make sure to write a paragraph (atleast 5 sentences). Write the Fractions as a sum of unit fractions 6/12 PLZ NEED HELP ASAP. Find the missing values for the table. Was it reasonable for public health officials to use the concentric ring construct in planning for an influenza outbreak in 2009 Gretta slept for 180 hours and 23 minutes. Nat slept for 10,524 minutes. Who slept longer and by how much Gretta slept 4 hours and 59 minutes longer than Nat. Nat slept 4 hours and 59 minutes longer than Gretta. Gretta slept 22 hours and 36 minutes longer than Nat. Nat slept 22 hours and 36 minutes longer than Gretta.