The daily capacity of the assembly line is to produce 225 computers per day.
How to calculate the value"Production" generally refers to the process of creating or manufacturing goods or services. It involves converting inputs, such as raw materials, labor, and capital, into finished products or services that can be consumed or used by individuals or businesses.
Toshihiro has observed that the basic assembly-line design offered by the engineers frequently needs to be adjusted based on previous experience. Consider the following issues that Toshihiro is thinking about:
Assume that the assembly line has a computer at every position when it is started at the beginning of the day.
The daily capacity based on the information will be:
= 27000 / 120
= 225
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Production of the subnotebook is scheduled to begin in 10 days. Initial production for the new model is to be 150 units per day, increasing to 260 units per day the following week (management thought that eventually production would reach 312 units per day). Assembly lines at the plant normally are staffed by 10 operators who work at a 14.4-meter-long assembly line. The line is organized in a straight line with workers shoulder to shoulder on one side. The line can accommodate up to 12 operators if there is a need. The line normally operates for 7.5 hours a day (employees work from 8:15 A.M. to 5:00 P.M. and regular hours include one hour of unpaid lunch and 15 minutes of scheduled breaks). It is possible to run one, two, or three hours of overtime, but employees need at least three days’ notice for planning purposes.
A corporation sold a fixed asset for $100,000. This is ________.
A.an investment cash flow and a source of funds
B.an investment cash flow and a use of funds
C.an operating cash flow and a source of funds
D.an operating cash flow and a use of funds
option A, an investment cash flow and a source of funds. when a corporation sells a fixed asset for $100,000, it is considered an investment cash flow and a source of funds.
A company sells assets for a variety of reasons, such as to get cash, upgrade or add assets, or pay off debts. It's also essential to keep track of a company's cash flow since it can reveal how it's operating and where it stands financially. Cash flows are divided into three categories: operating, investment, and financing. An investment cash flow and a source of funds are represented by the sale of fixed assets for $100,000. It is considered an investment because a corporation sells assets for a variety of reasons, such as upgrading or adding assets and paying off debts. The firm received $100,000 in cash from selling the asset, so it's also a source of funds. Thus, option A is the correct answer.
A company sells assets for a variety of reasons, such as to get cash, upgrade or add assets, or pay off debts. It's also essential to keep track of a company's cash flow since it can reveal how it's operating and where it stands financially. Cash flows are divided into three categories: operating, investment, and financing. When a corporation sells a fixed asset for $100,000, it is considered an investment cash flow and a source of funds. It is considered an investment because a corporation sells assets for a variety of reasons, such as upgrading or adding assets and paying off debts. the company received $100,000 in cash from selling the asset, so it's also a source of funds. Cash inflows and outflows from the acquisition or disposal of fixed or intangible assets are classified as investment cash flows, as defined by the Financial Accounting Standards Board (FASB). Investment cash flows can be either a source of funds, such as the sale of a fixed asset, or a use of funds, such as the purchase of a new factory. Investment cash inflows reflect the receipt of cash from the sale of assets, while investment cash outflows reflect the purchase of assets.
Option A, an investment cash flow and a source of funds.
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Why do you think it will be important to stay flexible if your goals change as you get
older?
Answer:
You will feel stronger once you gain a bit of flexibility, simply because that flexibility gives you the range of motion to let your muscles work more efficiently. Maintaining flexibility will aid in muscle and joints health, which can keep older adults doing their favorite daily activities and remain independent.
Use the following quote to answer the question.
"The power to propose the revision or amendment of any portion or portions of this constitution by initiative is reserved to the people, provided that, any such revision or amendment, except for those limiting the power of government to raise revenue, shall embrace but one subject and matter directly connected therewith."
The quote above is from the
Answer:
The Florida Constitution Article XI: Section 3
Explanation:
The above article is an extract from the Florida Constitution Article XI: Section 3. It extends the power to amend any sections of the constitution to the people except for limiting the government's power to raise revenue.
Answer: this quote is from the Florida constitution
Explanation:
hope this helps
A professional income tax preparer recorded the amount of tax rebate and the total taxable amount of a sample of 80 customers. Compute whichever statistics you need to determine whether tax rebates increase as the taxable income increases.
Step-by-step solution is_______
Any interpretation of the results should be done with caution and should take into account other factors that may be influencing the relationship between tax rebate and taxable income.
To determine whether tax rebates increase as taxable income increases, we can calculate the correlation coefficient between the two variables.
Here are the steps to calculate the correlation coefficient:
Organize the data: Create a table with two columns, one for taxable income and one for tax rebate. Enter the data for the 80 customers.
Calculate the mean and standard deviation: Calculate the mean and standard deviation for both taxable income and tax rebate.
Calculate the correlation coefficient: The correlation coefficient is denoted by the symbol "r" and ranges from -1 to +1. A value of +1 indicates a perfect positive correlation, while a value of -1 indicates a perfect negative correlation. A value of 0 indicates no correlation.
Interpret the results: If the correlation coefficient is negative, it would suggest that tax rebates decrease as taxable income increases. If the correlation coefficient is close to zero, it would suggest that there is no relationship between the two variables.
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According to the textbook, managers can best help their company recover from restructuring (i.e., from layoffs) by attending to the needs of __________
According to the textbook, managers can best help their company recover from restructuring (i.e., from layoffs) by attending to the needs of Investors.
What is the function of a investors?
An investor places capital to apply for lengthy-time period benefit, whilst a trader seeks to generate brief-term income by way of shopping for and promoting securities over and over once more. Investors usually generate returns by using deploying capital as either fairness or debt investments.
How do investors receives a commission lower back?
There are a few number one ways you would repay an investor: possession purchase-outs: You buy the stocks lower back from your investor depending on the fairness they personal and the enterprise valuation. A compensation schedule: that is ideally fitted to business loans or a transient funding agreement with an assumption of reimbursement.
What are wealthy investors called?
Angel investors also are called informal investors, angel funders, private buyers, seed investors or commercial enterprise angels. Those are people, generally prosperous, who inject capital for startups in exchange for possession fairness or convertible debt.
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based on the visualization, why does filing a tax return with an earned income tax credit and a schedule c with under $25,000 of total gross receipts increase the likelihood of an examination?
Based on the visualization, filing a tax return with an earned income tax credit and a schedule C with under $25,000 of total gross receipts increases the likelihood of an examination because these are red flags for the IRS.
The earned income tax credit is a refundable tax credit for low-income individuals, which the IRS closely monitors for potential fraud. Additionally, schedule C is used to report self-employment income, which is often subject to underreporting or inaccuracies. Therefore, the combination of these two factors raises the likelihood of an examination as the IRS seeks to ensure compliance and accuracy in tax reporting.
Based on the visualization, filing a tax return with an Earned Income Tax Credit (EITC) and a Schedule C with under $25,000 of total gross receipts increases the likelihood of an examination . In summary, the combination of claiming an EITC and having a Schedule C with under $25,000 of total gross receipts increases the likelihood of an examination due to the potential for fraud, errors, and underreporting of income associated with these tax components.
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Parent corporation owns all of subsidiary corporations stock in addition parent corporation owns $100,000 of subsidiary corporation's bonds. When subsidiary corporation is completely liquidated
Answer:
In this case, when the subsidiary corporation is completely liquidated they have to pay the $100,000 in the subsidiary corporation's bonds.
Explanation:
The reason behind this answer is that in case the subsidiary corporations decide to liquidate all of their assets in any case. They still have a debt to the parent corporation of $100,000. So, after they liquidate they have to take some of the money to pay the debt issued of those bonds. No matter what, or the parent company can write a lawsuit against them for not doing so.
explain how most modern economies are mixed economies.
Most modern economies are mixed economies, combining elements of market capitalism with government intervention to achieve a balance between economic freedom and social welfare.
Most modern economies are considered mixed economies because they incorporate elements of both market-based capitalism and government intervention. In a mixed economy, the government plays a role in regulating and influencing economic activities while also allowing private enterprises to operate and compete in the marketplace. Here are some key aspects of mixed economies:
1. Private Ownership: Mixed economies recognize and encourage private ownership of property and businesses. Individuals and companies have the freedom to own and operate enterprises, engage in trade, and pursue profits.
2. Market Forces: Market mechanisms of supply and demand play a significant role in determining prices, allocation of resources, and production decisions. Market forces influence the behavior of businesses and consumers, allowing for competition and efficiency.
3. Government Regulation: Governments in mixed economies intervene to safeguard public interest, protect consumers, ensure fair competition, and address market failures. They enact and enforce laws and regulations related to areas such as labor, environment, health and safety, and consumer protection.
4. Public Goods and Services: Mixed economies recognize the provision of public goods and services as a responsibility of the government. These include infrastructure development, education, healthcare, defense, and social welfare programs.
5. Redistributive Policies: Mixed economies often employ redistributive policies to address income inequality and provide a safety net for vulnerable populations. These policies may include progressive taxation, welfare programs, unemployment benefits, and subsidies for basic necessities.
6. Economic Planning: Governments in mixed economies may engage in economic planning to guide overall economic development, set strategic goals, and prioritize certain sectors or industries.
The specific balance between market forces and government intervention can vary among different mixed economies, influenced by cultural, political, and historical factors. The goal of a mixed economy is to achieve a balance between economic growth, efficiency, equity, and social welfare by harnessing the strengths of both market mechanisms and government oversight.
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What is the best definition for finance?
Answer:
The management of large amount of money.
Explanation:
Answer:
Finance is a broad term that describes activities associated with banking, leverage or debt, credit, capital markets, money, and investments.
Define a Small Scale Enterprise as per ‘MSMED Act, 2006’.
Explanation:
the Government of India has in acted, small and medium enterprises development (MSMED) Act, 2006 in terms of which the definition of micro, small and medium enterprises is an enterprise where the investment in plant and machinery is more than rate 25 lakh but does not exceed rate.
True or false: When a corporation declares a dividend its Net Income on the income statement is reduced.
When a corporation declares a dividend its Net Income on the income statement is not reduced, therefore the statement is false.
Dividend can be defined as the cash amount that is distributed to shareholders of a company as profit.
The net income on the income does not reduced or decrease when a corporation declares a dividend.
Reason been that dividend is not an expense as they do not have effect on a company net income.
Dividend tend to have majorly have effect on shareholders' equity section of a company statement of financial position.
Inconclusion dividend does not reduce the Net Income on the income statement.
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Which best describes which careers would work in offices? O Marketing Information Management and Research, Distribution and Logistics, and Marketing Communications and Promotion employees can work in offices. All Marketing, Sales, and Service employees can work in offices. All Marketing, Sales, and Service employees except those in Management and Entrepreneurship can work in offices. O Sales and Service employees work in offices, but Marketing employees do not. pls help me
Answer:
Marketing Information Management and Research, Distribution and Logistics, and Marketing Communications and Promotion employees can work in offices
Explanation:
I took this test before and this was the answer
Answer:
A
Explanation:
Altcoins are broadly defined as _______.
Question 9 options:
tradable cryptocurrencies other than Bitcoin and Ethereum
fungible tokens
only Dogecoin or Shiba Inu
any coin used to purchase an NFT
Altcoins are broadly defined as tradable cryptocurrencies other than Bitcoin and Ethereum.
They encompass a wide range of digital coins and tokens that serve various purposes within the cryptocurrency ecosystem. Altcoins often offer alternative features, functionalities, or improvements compared to Bitcoin and Ethereum. They can have different consensus algorithms, governance models, or specialized use cases. Altcoins include popular cryptocurrencies like Ripple (XRP), Litecoin (LTC), and Cardano (ADA), as well as numerous other lesser-known tokens. While Bitcoin and Ethereum dominate the market, altcoins provide investors and users with additional options and opportunities for diversification within the cryptocurrency landscape. It's important to research and understand the specific characteristics of each altcoin before engaging in trading or investing.
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Ally, a minor, purchases a car from a used-car dealer. The law allows minors the right to cancel a contract until the time the minor turns 18. The contract between Ally and the dealer is Multiple Choice an unenforceable contract. a valid contract. a voidable contract. a void contract.
Answer:
Her contract is C) A VOIDABLE CONTRACT
Explanation:
hope this helps :)
The amount of the average investment for a proposed investment of $217,000 in a fixed asset with a useful life of 4 years, straight-line depreciation, no residual value, and an expected total income of $20,600 for the 4 years is
a. $108,500
b. $54,250
c. $20,600
d. $5,150
The amount of the average-investment for a proposed investment of $217,000 in a fixed asset is $108,500. Therefore, option a is correct.
The amount of the average investment can be calculated by taking the initial investment and dividing it by 2. Since straight-line depreciation is used and there is no residual value, the average investment is equal to half of the initial investment.
In this case, the proposed investment is $217,000. Therefore, the average investment would be:
Average investment = Initial investment / 2
= $217,000 / 2
= $108,500
The amount of the average investment for the proposed investment of $217,000 in a fixed asset with a useful life of 4 years, straight-line depreciation, no residual value, and an expected total income of $20,600 for the 4 years is $108,500.
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Thinking about your office or college, what types of
information are conveyed through the grapevine? How
often is the information accurate?
Answer: I would experience a lot of cluster chains speaking on if someone was in trouble. An employee would be called to the back office if they were either in trouble or getting a promotion.
Explanation:
What does it mean to short, or sell short a stock
Answer:
One way to make money on stocks for which the price is falling is called short selling (or going short). Short selling is a fairly simple concept—an investor borrows a stock, sells the stock, and then buys the stock back to return it to the lender. Short sellers are betting that the stock they sell will drop in price.
Explanation:
Hope it helps
You purchased 100 shares of IBM common stock on margin at $70 per share. Assume the initial margin is 50% and the maintenance margin is 30%. a. Below what stock price level would you get a margin call? Assume the stock pays no dividend; ignore interest on margin. b. What would be your rate of return if you sell your stocks at the price infpart a)? c. What would be your rate of your return if you do not use buying-on-margin? d. What can you learn about buying-on-margin from this example? e. Why do people engage in buying-on-margin?
B. 42.9% C. -28.6% Assume the stock doesn't pay a dividend and disregard the $50 in interest on the margin. D. Using margin to purchase the stock produced a better rate of return than if the investor had not used it. E. People buy on margin to broaden their purchasing power and, possibly, to boost returns.
A. Stock Price for Margin Call = [Share Price (1- Initial Margin)] (Maintenance Margin - 1)
As a result, the stock price for a margin call is 70 (1.50/1.0).
$50 is the stock price for a margin call.
B. The total return ($5,000 - $3,500) would be $1,500, and the rate of return ($1,500 / $3,500) would be 42.9%.
C. The sale would generate $5,000 in revenue if the stock was sold for $50 per share. As a result, the total return would be $2,000 less than the initial investment ($5,000 - $7,000), and the rate of return would be -28.6% lower.
D. The sale would generate $5,000 in revenue if the stock was sold for $50 per share. As a result, the total return would be $2,000 less than the initial investment ($5,000 - $7,000), and the rate of return would be -28.6% lower.
E. People buy on margin to broaden their purchasing power and, possibly, to boost returns.
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The founders of the U.S. wanted to avoid establishing a permanent aristocracy or group of wealthy families who could control a great deal of the nation’s wealth. How is this idea related to estate and gift taxes?
Answer:
There are two points that I would like to single out that are very similar. First by implementing tax and gift taxes, Founding Father wanted to weaken families and business of that time, since there was a threat that rich families could become permanent aristocracy which over time could lead to the point where that families will rule the US. Second, by implementing those two taxes, government is taking a share from receivers since the receivers are getting some good that they did not earn it, they have just received it as a gift or as an estate. This way inheritance or gift would be of a much lesser value then it was before someone’s death or before someone made a gift. This was important because wealth of powerful families would just accumulate and grow so government of that time, strictly out of political reasons, prescribed those two taxes, so that the wealth will be smaller of value after tax.
The idea of avoiding an aristocracy by the founders of USA is related to estate and gift taxes because:
There was a need to reduce the influence of the wealthyAccording to the given question, we are asked to show the link which the founders of America had to preventing aristocracy and imposing estate and gift taxes.
As a result of this, we need to remember than an aristocracy is a government based on the wealthy and influential members of the society and this was one of the things which the Founding Fathers of America sought to prevent.
With this in mind, we can see that they imposed gift and estate taxes which was specifically targeted at the extremely wealthy so that their influence would be reduced and the country would not become an aristocracy.
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when a person intentionally deceives another person or company for personal gain, this is referred to as
Dan just lost his job. At 44 years old, he worked as a middle manager at a well-known advertising firm for 14 years. Due to a significant loss of clients, the company had to downsize despite Dan being an exemplary employee and winning several awards. The company decided to let Dan go instead of another middle manager who was in a minority group. In a business setting, this occurrence is referred to as
In a business setting, the given occurrence we called the reverse discrimination
Reverse discrimination is the non-fair treatment of members who belong to the majority group in the workplace that depends upon race, gender, etc.
Reverse discrimination might arise at the time when the majority group like white or males are to be overlooked for following things
JobsPromotionsOther types of opportunitiesThese should provide the preference to the minority group like for women
So therefore we can conclude that In a business setting, the given occurrence we called the reverse discrimination
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Suppose that the market for athletic shoes is initially in equilibrium at point A. Further suppose the demand for athletic shoes increases rapidly during 2020. At the same time, six more firms begin producing athletic shoes. A student remarks that, because of these events, we can't know for certain whether the price of athletic shoes will rise or fall. The student's remarks (that, because of these events, we can't know for certain whether the price of athletic shoes will rise or fall) is
Answer: Correct. When there is an increase in supply and an increase in demand, the new equilibrium quantity increases but whether the equilibrium price increases or decreases is unknown.
Explanation:
When the demand for the shoes increased, it had the effect of shifting the demand curve to the right. At the same time, with six more firms coming into the market, the supply increased as well which had the effect of shifting the supply curve right as well.
The new equilibrium as a result of these movements will see the quantity increase. However, due to the shift of both the supply and the demand curve in the same direction, it is uncertain if the price will change or not.
The general rule is that if the rise in supply is more than rise in demand then the price will decrease. If they rise by the same amount then price will remain the same. It shows therefore that if both supply and demand rise at the same time, the effect on equilibrium price is unknown.
A business wants to evaluate their campaign, and specifically wants to look at how much they spent for a customer to take an action. This measurement would be
That measure would be ROI, or Return on Investment.
What is ROI?It is a metric that companies use to evaluate the performance of a stock in which financial resources have been invested. Its objective is to increase understanding of the initial investment and the results, establishing a comparison and an accurate analysis of the success of an investment.
Therefore, return on investment is used when companies want to understand the profitability of an investment made.
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am I correct? if not lmk the answer please
What conditions would affect how much people would use your business?
The business is and Ice Cream Shop.
Answer:
restaurant
like pandemic all small restaurant is closed the business is bankcrap
(PLEASE ANSWER FAST!!) (13 POINTS)
If you’re going to school full time, it will usually take you at least _________ to earn 120 hours of study (or around 40 classes that meet three times a week).
A. two years
B. six years
C. four years
D. five years
Answer:
C. four years
Explanation:
hope this helps
Answer:
The answer is C. four years.
Explanation:
Bachelor’s degree: Approximately 4 years of full-time study (120 credit hours)
Question 16 of 20
Which of these is an example of something affected by contract law?
A. A patent
B. A license
C. A trademark
D. Due process
A license is an example of something affected by contract law. Hence, option C is correct.
What is contract law?The main goal of contract law is to connect an agreement reached between two or more parties and the realities of the outside world. It will be your responsibility to do everything in your power to protect your clients' best interests.
A contract is an agreement between parties that establishes legal duties for both parties. The fundamental components necessary for the agreement to be a valid offer and acceptance, adequate consideration, capacity, and legality are: mutual assent, expressed through a contract-compliant offer,
A contract must contain several characteristics in order to be legitimate and recognized by the common law, including an offer, acceptance, consideration, the desire to establish legal relations, authority and ability, and certainty. Without these components, a contract is not enforceable by law and cannot be relied upon.
Thus, option C is correct.
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Answer: A license
Explanation:
The answer is B. A license
ncome shifting, the principle of the fruit and the tree requires that income is taxed to either the person who earns it or the person who owns the asset that produced the inc
To avoid income shifting, the principle of the fruit and the tree requires that income is taxed to either the person who earns it or the person who owns the asset that produced the income. True
Income shifting:
In the most basic terms, income shifting is when multinational companies shift income from high-tax countries to low-tax countries (or tax havens), and/or shift deductions from low-tax countries to high-tax countries.
Why and how does the tax get shifted?
Tax shift is a kind of economic phenomenon in which the taxpayer transfers the tax burden to the purchaser or supplier by increasing the sales price or depressing the purchase price during the process of commodity exchange. Tax shift is the redistribution of tax burden.
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Select the correct answer.
Shazia writes a novel about the lives of nomads who lived in the 1800s. She later finds out that a big production house has launched a movie based on a theme that Shazias’ book covers, including a few exact details. The production house didn’t check with Shazia for her consent. Which IPR right has the production house violated?
A.
trademark
B.
copyright
C.
patent
D.
trade secret
E.
goodwill
Q1) A roofer agrees to put a new roof on a shop by 1 December for a price of 5000 AED. The shop owner explains that in December last year the shop made a profit of 500 AED per day. The roofer assures the shop owner that the job can be done on time. As the parties agree that the shop owner is likely to lose 500 AED a day for everyday on which the shop cannot be opened, a liquidated damages clause in the contract states that in the event of the roofer not performing the contract on time will pay 500 AED damages for everyday that he is late. The job turns out to be more difficult than the roofer had imagined. The roofer does his best but cannot finish the job until 6 December. The shopkeeper admits that trade in the area has been well down on last year as a new supermarket has opened nearby. The profits made by neighboring small shops indicate that this year the shop would only have made 300 AED profit per day. Which one of the following statements is likely to reflect the true legal position? The contract is frustrated and the roofer is absolved from all liability. As the shop has received a valuable benefit worth 5000 AED, it will have to pay for this. The roofer will be entitled to the contract price but will have to pay 500 AED damages per day (as the liquidated damages clause states). The roofer will not be entitled to any payment. He did not perform his contractual obligations in accordance with the terms of the contract. None of the options given is correct. The roofer will be entitled to the contract price, but will have to compensate the shop owner by paying him only 300 AED per day damages.
The liquidated damages provision stipulates that the roofer must pay 500 AED in damages every day in addition to the contract fee.
A legally binding agreement between two or more parties is referred to as a contract. The scenario suggests that the roofer consents to replace a shop's roof by December 1 at a cost of 5000 AED. According to the store owner, in December of previous year, the business produced 500 AED in profit per day. The roofer gives the business owner his word that the project will be finished on schedule.
As the parties agree that the shop owner is likely to lose 500 AED a day for everyday on which the shop cannot be opened, a liquidated damages clause in the contract states that in the event of the roofer not performing the contract on time will pay 500 AED damages for everyday that he is late. The roofer does his best but cannot finish the job until 6 December. The shopkeeper admits that trade in the area has been well down on last year as a new supermarket has opened nearby.
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