The controllable margin for the rustic division is $570,000. It is the amount of profit the company can control through its actions and decisions. To calculate this margin, we need to subtract the controllable fixed costs and variable costs for the rustic division from its sales.
In this case, the controllable fixed costs for the rustic division is $210,000 and the variable costs for the rustic division is $820,000. Therefore, the controllable margin for the rustic division is $1,600,000 (sales) - $210,000 (controllable fixed costs) - $820,000 (variable costs) = $570,000. This includes decisions such as setting prices, choosing products to sell, selecting suppliers, and determining marketing strategies. By analyzing the controllable margin of the rustic division, the company can make decisions to improve its profitability.
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3. ______ are defined as goods or services that are required for health and safety.
Occupational Health and Safety are defined as goods or services that are required for health and safety. Information standards are guidelines governing the information that must be provided to consumers when they purchase specific goods.
What is the safety of goods?A safe product is one that delivers either no risk or a minimum tolerable level of risk, taking into account the product's typical or reasonably foreseeable use and the need to maintain a high level of consumer protection.
Occupational health and safety is a multidisciplinary discipline that deals with all elements of workplace health and safety, with a heavy emphasis on preventing workplace dangers.
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Richard has recently finished college and is about to prepare for his exam to become a certified public accountant. He wants to talk to other accountants to learn how best to prepare for this exam. Which professional organization would be most helpful for him to join?
Answer:
The accountant federation
How does the price of oil impact the price of food?
Answer:
The price of Oil effect the price of food because it all works together in the economy/system
Explanation:
Esthelt, an automobile manufacturing company, has a shortage of engineers who are capable of operating computer-controlled machinery used for the production of various critical car parts. Although Esthelt has created job vacancies for this position, production has slowed down drastically due to the shortage of engineers. Due to the urgent requirement for production to gain pace, the company is looking for somebody with the necessary _____ so that he or she would not require training on Computer Numerical Control.
Answer:
Technical skills
Explanation:
Technical skills are the hands-on knowledge and skill that is possessed by an individual in performing a specific task. It involves practical ability in areas such as information technology, scientific tasks, and use of mechanical equipment.
In the given scenario Esthelt is looking for engineers who are skilled in operating computer-controlled machinery used for the production of various critical car parts.
This requires technical skills and there is a shortage of such engineers that posses the skill
If a broker brings the seller an offer meeting all the terms specified in the listing, the seller does not have to sell. T/F?
The statement "If a broker brings the seller an offer meeting all the terms specified in the listing, the seller does not have to sell" is true.
When the seller receives an offer that meets the conditions set out in the listing, they have the option to refuse the offer. A listing agreement is a legal contract between a seller and a real estate broker that outlines the terms and conditions of the sale of a property.
A listing agreement specifies the asking price, the length of time the property will be on the market, the amount of the broker's commission, and any other provisions agreed upon by the seller and the broker. If a buyer makes an offer that meets all of the conditions set out in the listing agreement, the seller is not obligated to accept it.
A listing agreement provides the seller with the ability to choose whether or not to sell their property based on the conditions outlined in the agreement.
The broker who brought the offer is only entitled to a commission if the seller accepts the offer and the sale is completed.
Therefore, the seller has the final decision to accept or reject the offer and the broker has no power to force the seller to accept the offer.
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What responsibilities does a staff in school have?
Answer:
Depends if there a janitor or principle or teacher
Explanation:
when you are reading and come to an unknown word what should you do first? a.look for clues in the text b. skip it and keep reading c.look it up in a dictnoiry d.ask the teacher what it means. make sure to have an explanation
Answer:
I sound it out
Explanation:
and the word is conjunction
what does these symbols mean on a measuring tape' &"
Entrepreneurial mind frame permits the entrepreneur to see things in a very positive and optimistic light.True or false?
When an entrepreneur has a very positive and optimistic vision, he adjusts to the entrepreneurial mental framework (True)
The entrepreneurial mind frame is a term that refers to the human way of thinking that takes any situation in a very positive and optimistic way.
This mentality is characterized by seeing the positive factors in difficult situations or crises. On the other hand, it is a mind frame that allows the individual to take advantage of negative situations to devise innovative solutions.
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n the solow model, in the absence of any shock, the capital stock remains at some level forever. this rest point is called the: a. saving rate d. rate of capital accumulation b. short-run equilibrium e. dynamic system c. steady state
The option (c) i.e., steady state is the correct answer. In the Solow model, the capital stock remains at a certain level forever in the absence of any shock. This rest point is called the steady state.
The steady state occurs when the rate of capital accumulation, which represents the amount of new capital being added to the economy, equals the rate of depreciation, which represents the amount of capital being lost due to wear and tear.
The saving rate, which refers to the portion of income saved and invested, is a determinant of the steady state. A higher saving rate leads to a higher steady state capital stock, while a lower saving rate leads to a lower steady state capital stock.
The short-run equilibrium, on the other hand, refers to a temporary state where the economy adjusts to a shock or change. It is different from the steady state, which is a long-term equilibrium where the capital stock remains constant.
The Solow model is a dynamic system, as it analyzes the long-term growth and accumulation of capital in an economy over time. It considers factors such as saving rates, population growth, and technological progress to understand how an economy reaches and maintains its steady state.
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The option (c) i.e., steady state is the correct answer. In the Solow model, the capital stock remains at a certain level forever in the absence of any shock. This rest point is called the steady state.
The steady state occurs when the rate of capital accumulation, which represents the amount of new capital being added to the economy, equals the rate of depreciation, which represents the amount of capital being lost due to wear and tear.
The saving rate, which refers to the portion of income saved and invested, is a determinant of the steady state. A higher saving rate leads to a higher steady state capital stock, while a lower saving rate leads to a lower steady state capital stock.
The short-run equilibrium, on the other hand, refers to a temporary state where the economy adjusts to a shock or change. It is different from the steady state, which is a long-term equilibrium where the capital stock remains constant.
The Solow model is a dynamic system, as it analyzes the long-term growth and accumulation of capital in an economy over time. It considers factors such as saving rates, population growth, and technological progress to understand how an economy reaches and maintains its steady state.
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What do most businesses use to store information for future use?
Answer:
Flash Memory Thumb Drives.
Explanation:
For storing information in the future, most businesses make use of Flash Memory Thumb Drives. With Flash Memory Thumb Drives, you can connect to a PC USB port in an attempt to back up your files on the go.
Other things remaining the same, if the cost of goods sold decreases, then:_______.
a. Inventory turnover ratio and weeks of supply will both go up.
b. Inventory turnover ratio and weeks of supply will both go down.
c. Inventory turnover ratio will go down, but the weeks of supply will go up.
d. Inventory turnover ratio will go up, but weeks of supply will go down.
e. Inventory turnover ratio will stay the same, but weeks of supply will go down
Other things remaining the same, if the cost of goods sold decreases, then the correct answer is: d. Inventory turnover ratio will go up, but weeks of supply will go down.
Here's the step-by-step explanation:
1. The cost of goods sold (COGS) is the total cost of producing or acquiring goods sold during a specific period. It includes the cost of materials, labor, and overhead expenses.
2. The inventory turnover ratio measures how efficiently a company manages its inventory by dividing the cost of goods sold by the average inventory. It indicates how quickly a company sells its inventory and replenishes it.
3. When the cost of goods sold decreases, it means that the company is selling goods at a lower cost or reducing the quantity sold.
4. As a result, the inventory turnover ratio will increase. This is because the cost of goods sold is in the numerator, and a decrease in COGS will lead to a higher ratio.
5. On the other hand, the weeks of supply measure how long a company's inventory will last based on the current rate of sales. It is calculated by dividing the average inventory by the cost of goods sold per week.
6. When the cost of goods sold decreases, the denominator in the weeks of supply calculation decreases. As a result, the weeks of supply will go down.
In conclusion, when the cost of goods sold decreases, the inventory turnover ratio will go up because the company is selling goods more efficiently. However, the weeks of supply will go down because the inventory is being depleted at a faster rate.
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Brad, a manager at a new investment firm, is performing job evaluation. He selects 12 benchmark jobs in the firm and then ranks each of these jobs against compensable job factors such as physical effort, responsibility, skill, and nature of the working conditions. This ranking is based on job descriptions created during job analysis. Later, the management meets as a group and develops a consensus on the assigned values for each job. In the given scenario, which of the following systems or methods is Brad most likely using for job evaluation?
A) The point system
B) The classification system
C) The factor-comparison method
D) The market-basket analysis method
Answer:
C) The factor-comparison method
Explanation:
It is correct to say that the method for evaluating jobs that Brad is using in this scenario is the method of comparing factors, which consists of evaluating various factors of the job and not just the job itself. This method is advantageous due to the ease of application and classification of factors, such as those classified as compensable work factors such as physical effort, responsibility, skill and the nature of working conditions.
The objective of the factor comparison method is then to promote a remuneration corresponding to each value attributed to the job's working factors and thus to promote a fairer remuneration according to the position.
Which statement best identifies the conflict in this excerpt?
Tessie Hutchinson is in conflict with society.
Bill Hutchinson is in conflict with his feelings.
Mrs. Delacroix is in conflict with Tessie.
Mr. Summers is in conflict with society.
Answer:
B
Explanation:
If a stock you buy is $50 per share and pays $2 per year in total dividends;
what is the dividend yield of the stock?*
Answer:
4%
Explanation:
Dividend yield shows the dividends paid out annually as a percentage of the share market price.
The formula for calculating dividend yield is the annual dividend per share/market value per share.
Dividend yield = dividend/ market share price x 100
Dividend yield = 2/50 x 100
Dividend yield = 0.04 x 100
Dividend yield = 4%
Paying yourself first, sticking to a budget, placing yourself, living within your means, and knowing where your cash goes are all ___
Paying yourself first, sticking to a budget, placing yourself, living within your means, and knowing where your cash goes are all Reverse budgeting.
What is Reverse budgeting?Reverse budgeting is a type of budget system where the business owner sees himself as a staff and pays himself first.
The money left is can then be divides to manage other business operations and saving.
Therefore, Paying yourself first, sticking to a budget, placing yourself, living within your means, and knowing where your cash goes are all Reverse budgeting.
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1. What is a business plan?
Answer:
It's simple, what you want to do with your business. Or what your planning to do with it.
The ability to capture and analyze all customer interactions, generate appropriate responses, and gather data to create and build effective and efficient marketing campaigns is known as contact management. Group of answer choices True False
TRUE, The ability to capture and analyze all customer interactions, generate appropriate responses, and gather data to create and build effective and efficient marketing campaigns is known as contact management.
A contact manager is a software program that allows users to easily store and retrieve contact information such as names, addresses, and phone numbers. These are contact-centric databases that provide a fully integrated approach to tracking all contact-related information and communication activity.
Contact management is the process of storing and tracking data about customers and leads. In addition to providing quick access to customer data, investing in contact management can help grow and diversify your customer base.
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how has the market for personal computers changed
Answer:
they nwes a commuters for kids who want a game
I need a small paragraphs with advantages and disadvantages for each
Will mark brainliest need quickly
I'll recommend retained earnings to him. Retained earnings from operations are used by businesses to grow.
Which method—retained earnings, venture capital, or crowd fundraising—is the most effective for obtaining funding for expansion?Retained Profit- Maintaining firm earnings boosts your balance sheet, which has an impact on shareholder equity and the value of the associated shares. With more money in your accounts due to retained earnings, your company appears stronger on paper, which in turn attracts more investment.Venture capital- VCs are equipped with several instruments to increase the value of the firms in their portfolio. They can provide the variety of internal resources that the majority of companies lack, along with capital, brand value, intra-industry networking, fundraising networking, and other benefits. The advantages of collaborating with venture capitalists are numerous.Crowdfunding- It can be challenging for companies to raise money for expansion, particularly for tiny startups. Obtaining funds can be challenging, and persuading investors to back your wonderful concept is time-consuming and not always successful. Herein lies the role of crowdsourcing. You may reach a large number of potential supporters globally with a single campaign, increasing your chances of getting your company in front of people who will invest and believe in it. There are many advantages to employing public fundraising campaigns for business growth.Choosing self-financing versus external investment or credit is always a matter of using your best judgment, therefore do so.
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Farmer Owens has an apple orchard that must be pollinated by bees in order to bear fruit. Farmer Owens's neighbor, Maude, owns beehives with bees that can pollinate the apple trees. Suppose the benefit of the bees to Farmer Owens is $5,000 per year. Suppose the bees provide no benefit to Maude but she must pay $3,000 per year to maintain the hives. If Farmer Owens and Maude engage in Coasebargaining, what would likely result?
A. Farmer Owens would pay Maude between $3,000 and $5,000 to maintain the hives.
B. Maude would pay Farmer Owens between $3,000 and $5,000 to maintain the hives.
C. Farmer Owens would pay Maude between $0 and $5,000 to maintain the hives.
D. Farmer Owens would pay Maude at least $5,000 to maintain the hives.
E. Farmer Owens would not be willing to pay Maude an amount such that she would maintain the hives.
Answer:
E. Farmer Owens would not be willing to pay Maude an amount such that she would maintain the hives.
Explanation:
Remember, coerce bargaining implies that one party to a bargain uses their ability or privilege or advantage to force or pressure the other party to accept the bargain.
Hence, Farmer Owens, who seems to have a better advantage over Maude would likely coerce her into accepting his offer by not been willing to pay Maude an amount such that she would maintain the hives.
is apex clearing an investment or entity that invests, at least partially, in u.s. government, state, or municipal securities which would be exempt from federal and/or state tax?
Apex Clearing is a financial services company that specializes in providing clearing and execution solutions to broker-dealers and financial professionals.
It is not a direct investment or entity that invests specifically in U.S. government, state, or municipal securities. However, Apex Clearing may act as a custodian or clearing agent for investment accounts that hold these tax-exempt securities.
Clients using Apex Clearing's services, such as broker-dealers and robo-advisors, may choose to invest in U.S. government, state, or municipal securities that are exempt from federal and/or state tax. These tax-exempt securities can provide income and diversification benefits for investors, and they are often considered less risky compared to other types of investments.
In summary, Apex Clearing is not an investment or entity that directly invests in tax-exempt securities, but it does facilitate and support the trading and management of these securities through its clearing and execution services for its clients. It is up to the individual clients and investors to decide whether to include these tax-exempt securities in their portfolios.
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_______ is/are often a political necessity because of nationalism and government restrictions on foreign ownership.
Joint venture is often a political necessity because of nationalism and government restrictions on foreign ownership.
The ownership of a portion of a country's assets (businesses, natural resources, property, bonds, equity, etc.) by individuals who are not citizens of that country.
By companies whose headquarters are not in that country is referred to as foreign ownership. Foreign Control Limitations refer to the maximum amount a foreign firm or individual can invest in a business in another country by purchasing shares. The "free float" is calculated using this information by index providers. As investors establish new businesses in foreign countries, FDI creates new jobs and opportunities.
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Who makes the decisions in a command economy?
Major areas of economic production are controlled and guided by the government (or another central authority) in a command economy.
In command economies, "government officials" are the ones who ultimately decide whether to build affordable automobiles for the working class or luxurious cars for the wealthy and powerful.
It has been observed that communist regimes are more likely to have command economy. I hope the response was helpful.
In a command economy, sometimes referred to as a planned economy, all economic operations are planned, coordinated, and under the direct supervision of the central government in order to maximize societal welfare.
As contrast to free-market economies, command economies do not let market forces like supply and demand control production or prices.
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During 2021, a building with a book value of $70,000 and an original cost of $300,000 was sold at a gain of $60,000. 1. How much cash did anders receive from the sale of the building? 2. How much depreciation expense was recorded on buildings during 2021? 3. What was the cost of buildings purchased by anders during 2021?
1. The cash that Anders received from the sale of the building was $130,000.
2. The depreciation expense recorded on buildings during 2021 was $45,000.
3. The purchase cost of buildings by Anders in 2021 was $280,000.
How were the numbers determined?The cash received from the sale of the building was an addition to the book value and the gain from the sale.
The depreciation expense is worked out by preparing the T-account for Accumulated Depreciation using the data on buildings.
Similarly, the cost of the buildings purchased during 2021 is a product of the T-account for Buildings.
Book value of building during 2021 = $70,000
Original cost of building = $300,000
Gain from the sale of the building = $60,000
Cash received from the sale of the building = $130,000 ($70,000 + $60,000)
T-accounts:Building
Account Titles Debit Credit
Beginning balance $400,000
Sale of a building $300,000
Purchase of building 280,000
Ending balance $380,000
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Accumulated Depreciation - Buildings
Account Titles Debit Credit
Beginning balance $285,000
Sale of a building $230,000
Depreciation Expense 45,000
Ending balance $100,000
Question Completion:2021 2020
Buildings $ 380,000 $ 400,000
Accumulated depreciation-Buildings (100,000) (285,000)
Buildings, net $ 280,000 $ 115,000
consists of concepts, strategies, and principles that guide an organization’s technology choices and the manner in which the organization integrates and manages these choices. group of answer choices it infrastructure it integration it architecture it platforms
Infrastructure is the organization integrates and manages these choices. The importance of infrastructure systems to a nation's economic growth and prosperity is emphasized. The electromagnetic telegraph, principal roadways, canals, har-bors, and do-cks, as well as drainage systems, d-ikes, and land reclamation, are examples of basic infrastructure.
It consists principal of the more well-known and typical infrastructure elements that we encounter on a regular basis. Our parks and waste facilities are only a few examples of the infrastructure that makes up our roadways, transit systems, water pipes, and water treatment facilities. The majority of people rarely consider organization infrastructure unless, of course, it is broken.
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Which of the following would most likely negatively affect a person's net worth?
A. A $25,000 salary
B. A $500 savings bond
C. A $500,000 mortgage
D. A $5,000 money market account
Answer: c
Explanation:
$500,000 mortgage would most likely negatively affect a person's net worth. Thus, option (c) a $500,000 mortgage is correct.
What is net worth?
Totally unrelated to income is what is meant by the phrase "net worth." Liabilities are subtracted from assets to arrive at the person's own net worth. The wealthy possess possessions including real estate, investments, jewels, memorabilia, cars, and so on. A period of emergencies is covered by the net worth.
A person's personal net worth is significantly impacted by a $500,000 mortgage. The amount of money saved by the individual who wants to spend it is their net worth. The net worth mostly consists of investments and personal savings. Money accumulates to form the net worth.
The mortgages are highly impact on net worth. The net worth are personal liabilities minus to personal asset.
Therefore, option (c) a $500,000 mortgage is correct.
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A Canadian investor is considering investing in bank deposits in Canada and France. The spot exchange rate is 1.53CAD/ϵ. The annual interest rate on Canadian deposits is 3.5%, and the annual interest rate in France is 3.75%. The forward rate is equal to and covered interest rate parity to answer the following questions. a. Does covered interest parity hold in this case? Explain why or why not. b. Does uncovered interest parity hold in this case? Explain why or why not. c. Assume the exchange rate one year after is 1.48CAD/C. Calculate the Canadian 2 investor's actual return after one year. Did he earn a positive return? d. Compare the returns of two Canadian investors: one using hedging, and one using speculation. Which one is financially better off after the one-year period?
Covered interest parity does not hold in this case. Uncovered interest parity also does not hold.
The Canadian investor will earn a positive return.
The investor using speculation is financially better off after the one-year period.
Covered interest parity does not hold, and the investor using speculation is financially better off after one year.
Does covered interest parity hold, and who benefits financially?Covered interest parity states that the forward exchange rate should reflect the interest rate differential between two countries. In this case, the forward rate is not mentioned, so it cannot be determined if covered interest parity holds.
However, since the interest rate in France is higher than in Canada, investors could potentially benefit from investing in French deposits if they can secure a favorable forward exchange rate.
Uncovered interest parity, on the other hand, implies that investors should earn the same return in both countries after accounting for expected changes in the exchange rate.
Given the interest rate differentials and assuming no expected change in the exchange rate, uncovered interest parity does not hold in this case.
Assuming the
one year later is 1.48 CAD/C, the Canadian investor will benefit from investing in French deposits. Let's consider an initial investment of 1 CAD. In Canada, the investor would earn an interest of 3.5%, resulting in a return of 1 * (1 + 0.035) = 1.035 CAD. If converted to French currency, the investor would have 1.035 * 1.48 = 1.5318 C.
Comparatively, if the investor had invested directly in Canadian deposits, the return would have been 1 * (1 + 0.035) = 1.035 CAD. Therefore, the investor earns a positive return by investing in French deposits and converting it back to Canadian currency.
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What is NOT an advantage of being an entrepreneur?
Answer: Disadvantages include a lack of guarantee of success and the heightened responsibility of owning a business
Answer:
The advantages of entrepreneurship include the ability to shape one's own business, control of one's own working habits, and significant stock in the venture. Disadvantages include a lack of guarantee of success and the heightened responsibility of owning a business.
Explanation:
John Park lives in Anytown, Missouri. He rents an apartment on Broad Street. He has one credit card with National Bank. He pays the balance on this every month, and he always stays within his $400 spending budget. In addition, he has one student loan, which he defers, since he is a full-time student. He has recently applied for a job at Happy Hamburgers.
Based on John’s profile, what information should he expect to find on his credit report? Check all that apply.
1. inquiries from his lenders, the apartment complex, and Happy Hamburgers
2. a note about delinquency from National Bank
3. a current account for his student loan
4. a current account with National Bank
5. a current account with Happy Hamburgers
Answer:
its 1,3,4,6
Explanation:
just told me on edg