1.The failure of IRIDIUM, a satellite-based mobile communications system, was the result of a complex set of factors such as high costs, limited market demand, and technological challenges.
2.The warning signs that showed that IRIDIUM was headed for failure were slow pace of customer adoption and the challenges faced in building and maintaining the system.
IRIDIUM was a massive undertaking that required a significant investment of capital to build and launch a constellation of satellites. The high costs associated with the project were compounded by limited market demand, as many potential customers were hesitant to invest in a new and untested technology.
Additionally, the technological challenges of building and maintaining a satellite-based communications system proved to be more difficult than anticipated. This led to a number of technical issues that impacted the system's reliability and usability, further limiting its appeal to potential customers.
However, it is difficult to pinpoint a single point at which the failure of IRIDIUM could have been predicted with certainty.
Ultimately, the failure of IRIDIUM serves as a cautionary tale about the challenges of bringing new and complex technologies to market, and the importance of careful planning, market research, and risk management in such endeavors.
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Greg and Jerry are depositing money into savings accounts. Greg deposits $500 into an account
for 2 years with 2% interest. Jerry despots $700 into a different account for 1 year with 3% interest.
Who eams the greatest overall percent interest? Show your work and explain.
Answer: Jerry
Explanation:
Greg deposits $500 into an account for 2 years with 2% interest, the interest gotten will be:
= $500 × 2 × 2%
= $500 × 2 × 0.02
= $20
Jerry despots $700 into a different account for 1 year with 3% interest, the interest gotten will be:
= $700 × 1 × 3%
= $700 × 1 × 0.03
= $21
Based on the calculation, Jerry makes a greater interest.
Suppose that the interest rate in the United States is 4%, in Japan it is 7%, and financial assets in the two countries are equal in risk. Refer to the scenario Japan and the United States. The implication is that:
A) interest rates in Japan will increase further compared to those in the United States.
B) interest rates inthe United States will decrease further compared to those in Japan.
C) the capital flow between Japan and the United States eventually will render the interest rates equal.
D) the interest rates in both countries will remain unchanged
The implication of the given scenario, where the interest rate in the United States ... and financial assets are deemed equal in risk, is that C) the capital flow between Japan and the United States will eventually render the interest rates equal.
What happens to the financial assets ?When financial assets share an equal risk profile, the prevailing interest rate differentials across countries engender opportunities for the flow of capital.
Discerning investors are enticed by the prospect of securing superior returns on their investments, prompting the migration of capital from regions with lower interest rates to those boasting higher rates. This capital movement acts as a catalyst in driving interest rates towards convergence across nations over time.
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a few years ago, paul bought into a condo conversion. he purchased a unit that was already rented to tina. recently, the new condominium board passed numerous restrictions, including one that states that units in the condominium cannot be rented. how do these restrictions affect paul?
The new restrictions passed by the condominium board will likely have a negative impact on Paul.
The restriction that units in the condominium cannot be rented means that Paul will no longer be able to rent out his unit to Tina or any other tenants.
This means that Paul will lose the income he was receiving from the rental of the unit and will have to bear the costs of maintaining and paying for the unit on his own.
This can be a significant financial burden for Paul, especially if he was counting on the rental income to help pay for the unit. Additionally, these restrictions may also affect the value of Paul's unit.
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which growth strategy is designed to increase sales of existing products to current customers, nonusers, and users of competitive brands in served markets?
Market penetration is a measure of how frequently customers are using a product or service compared to the estimated total market for the product or service and growth strategy is designed to increase sales of existing products to current customers, nonusers, and users.
Market penetration can be used to determine the size of a potential market. If the overall market is large, new entrants to the industry may be encouraged to gain market share or a percentage of the total number of potential customers in the industry. Market penetration can be used to determine the size of a potential market.
If the overall market is large, new entrants to the industry may be encouraged to gain market share or a percentage of the total number of potential customers in the industry. Market penetration is a measure of how well a product is being used compared to a company's target audience.
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A bond is selling at 100% of its par value right now. It has 8% annual coupon rate. You bought this bond ten years ago at 95% of its par value.
If you sold this bond today, what is your realized yield?
If the bond is sold today, the realized yield will be 84.2%.Hence, the correct answer is 84.2%.
A bond is selling at 100% of its par value right now. It has 8% annual coupon rate. You bought this bond ten years ago at 95% of its par value.
Let us assume that the face value (par value) of the bond is $100.Coupon rate = 8%We know that,Price of bond = $100 (selling at 100% of par value)Purchase price of the bond = $95 Number of years the bond is held (time period) = 10 years Semi-annual coupon payment = (Coupon rate / 2) * Face value= (8/2) * $100 = $4 The number of semi-annual periods in 10 years = 10 x 2 = 20 Semi-annual yield = Coupon amount / Purchase price of the bond= $4 / $95 = 0.0421 Realized Yield = Semi-annual Yield x Number of semi-annual periods Realized Yield = 0.0421 x 20= 0.842 or 84.2%.
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Which of the following is not a step used in newer types of network design processes?
a. cost assessment
b. technology design
c. implementation
d. needs analysis
e. none of the above is a correct answer
The option that is not a step used in newer types of network design processes is option A. cost assessment. What is network design? Network design is a process that involves the planning, implementation, and documentation of a network infrastructure.
Network design incorporates multiple technologies, services, and products that must be analyzed, configured, and deployed to meet the needs of the business or organization that the network serves. Steps used in newer types of network design processes.
The following are the steps used in newer types of network design processes:
Needs analysis
Technology design
Implementation Maintenance and
upgrading Cost assessment (not a step used in newer types of network design processes)Therefore, the correct answer is option A. cost assessment.
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The North Face is available across Canada, and in parts of Europe, Latin America, and Asia. Would the inflation calculator from the Bureau of Labor Statistics work to calculate the historical price of that same North Face jacket in other countries? Why or why not? Do some online research to support your answer.
Inflation calculator calculates the rate of ups and down in an economy caused due to the inflation rates persisting according to the labor bureau statistics.
Online Research often gives proof how inflation is caused due to the demand and supply in the economy. Statistics also measure the terms if the demand is less and the supply is more eventually in the market the inflation will increase.
The price of the north face jacket in other countries would eventually depend upon the demand supply situation in the economy market and has no dependence on the historical price.
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The account of ABC Corp. prepared a statement of affairs. Total assets which there are no claims or liens are expected to produce P2,100,000. Unsecured claims of all classes totaled to P3,150,000.
The following are claims deemed outstanding:
Accrued salaries. P45,000
Unrecorded note for P30,000, on which P1,800 of interest has accrued
A note for P90,000 secured by P120,000 receivable, estimated to be 60% collectible
A P45,000 note on which P900 interest has accrued with a property having book value of P30,000 and a market value of P54,000 is pledged to guarantee payment of principal and interest.
Unpaid income taxes of P105,000.
What is the amount realized by partially secured creditors?
Group of answer choices
P72,000
P83,700
P90,000
P83,160
So, the amount realized by partially secured creditors is -$6,000.
The amount realized by partially secured creditors can be calculated as follows:
Secured claims that are expected to be collected in full:
P90,000 secured by P120,000 receivable (60% collectible) = P90,000 x 60% = P54,000
P45,000 note secured by P30,000 property = P45,000
Unsecured claims that are expected to be collected in full:
Accrued salaries = P45,000
Unrecorded note for P30,000 (100% collectible) = P30,000
Unsecured claims that are partially collectible:
P105,000 unpaid income taxes = P105,000
The amount realized by partially secured creditors can be calculated as follows:
P54,000 secured claims + P45,000 unsecured claims = P99,000
P99,000 - P105,000 = -$6,000
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1. What competitive advantages do these motivated veteran accountants bring to their new employers? Cite several examples.2. List three specific outcomes received by organizational members who have moved to these smaller accounting firms from senior positions in larger organizations.
1. The motivated veteran accountants bring several competitive advantages to their new employers. Some of these advantages include Extensive experience,Strong work ethic, Leadership skills, Industry connection.
2. The organizational members who have moved to these smaller accounting firms from senior positions in larger organizations have received several specific outcomes, including Greater autonomy,Closer relationships with colleagues,diverse responsibilities.
1. Extensive experience: These accountants have worked in the field for many years and have accumulated a wealth of knowledge and expertise that they can apply to their new roles.
- Strong work ethic: As veterans, these accountants are likely to be highly motivated and dedicated to their work, which can translate into increased productivity and better results for their new employers.
- Leadership skills: Many of these accountants held senior positions in larger organizations, which means they have developed strong leadership skills that they can use to guide and mentor their new colleagues.
- Industry connections: These accountants have likely developed a wide network of contacts and connections within the accounting industry, which can be valuable to their new employers in terms of business development and networking opportunities.
2. The organizational members who have moved to these smaller accounting firms from senior positions in larger organizations have received several specific outcomes, including:
- Greater autonomy: In smaller firms, these individuals may have more freedom and flexibility to make decisions and implement their own ideas, which can be both professionally and personally rewarding.
- Closer relationships with colleagues: Smaller firms often have a more close-knit and collaborative work environment, which can lead to stronger relationships with colleagues and a greater sense of camaraderie.
- More diverse responsibilities: In smaller firms, these individuals may be required to take on a wider range of responsibilities, which can provide them with new challenges and opportunities for professional growth.
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NEED ASAP PLEASE
Select the correct text in the passage.
Hussein is writing a response rejecting a customer’s request for a product replacement. Select the text in the passage that shows the reasons he gives for the negative message.
Thank you for writing to us regarding your request for a replacement fan.
To guarantee customer satisfaction, we extend a warranty of 90 days on this product for all our customers. If returned within 90 days, we offer replacements free of charge.
Based on the receipt you attached to your email, we see that you purchased this product 120 days ago. We regret that we are unable to offer a replacement.
As an alternative, we can offer a 20 percent discount on any other product you wish to purchase from our store. We look forward to doing business with you again.
Answer:
Based on the receipt you attached to your email, we see that you purchased this product 120 days ago. We regret that we are unable to offer a replacement
Explanation:
Hope it helps!
[true or false] Libraries and schools are places where you may conduct formal research.
Answer:
True
Explanation:
most libraries have books that contain reliable info
sometimes with schools
income is necessary in order to afford monthly bills and save for the future. what is the best way to consistently earn income?
There are various ways to consistently earn income. One of the most common ways is by having a full-time or part-time job. This provides a steady source of income and often comes with benefits such as health insurance, retirement plans, and paid time off.
However, it is important to note that not all jobs pay the same, so it may be necessary to search for higher-paying jobs or negotiate for a raise.Another way to earn income is by starting a business or becoming an entrepreneur. This requires more effort and risk-taking, but can lead to greater financial rewards in the long run. Starting a business allows individuals to pursue their passions and build something of their own.
However, it is important to do research and plan accordingly before starting a business to increase the chances of success.Investing is also a way to consistently earn income. This involves putting money into stocks, bonds, or other investments that have the potential to generate returns. While investing comes with some risks, it can also provide passive income streams that require little effort or time.
Overall, the best way to consistently earn income depends on individual skills, interests, and goals. It may be helpful to explore different options and consider factors such as job security, income potential, and personal fulfillment when making a decision.
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there is a growing demand of a firm of architects and engineers in developing countries like Nepal justify
Answer:
yes the developing countries not only Nepal but India also I am in great need of such wonderful master architects and engineers . To develop their country condition they need search architects and engineers for their development
Quiz: Final E... 3 New Mess... Question 34 D. Question... W Question... Return Std Dev Beta Kelli Blakely is a portfolio manager for the Miranda Fund, a core large-cap equity fund. The market proxy an
As the options provided in the question are not complete, it is difficult to provide a specific answer. However, I'll provide you the general formulae and the concepts of these terms.Quiz: Final Exam3 New Mess...Question 34D. Question...W Question...ReturnStd DevBetaKelli Blakely is a portfolio manager for the Miranda Fund, a core large-cap equity fund. The market proxy and portfolio returns for the fund over the past year are as follows:Market Proxy:8%Portfolio:9%MonthMarket ProxyPortfolioJanuary2%3%February3%1%March0%4%April5%6%May2%2%June5%4%July0%0%August2%1%September-1%-2%October0%3%November3%5%December-2%-1%A portfolio return is the return made on a specific portfolio consisting of various individual stocks, bonds, or other assets, weighted by their relative proportions within the portfolio. It is calculated as the sum of the weighted returns of each asset in the portfolio.The formula for calculating portfolio return is:Portfolio Return = ∑(Weight of Security i × Return of Security i)where:Weight of Security i is the weight of the ith security in the portfolio.Return of Security i is the return earned by the ith security in the portfolio.The standard deviation measures the dispersion of data from its expected value. It tells us how much the actual returns deviate from the expected return of the portfolio. It is calculated as the square root of the variance.The formula for calculating the standard deviation of a portfolio is:σp = √[ ∑(wi² x σi²) + 2 ∑(wiwjσiσj)]where:σp is the standard deviation of the portfolio.wi and wj are the weights of the ith and jth securities in the portfolio.σi and σj are the standard deviations of the returns of the ith and jth securities in the portfolio.β is a measure of systematic risk. It measures the sensitivity of a security or portfolio to market movements. It tells us how much the portfolio is affected by the changes in the market.The formula for calculating beta is:β = Covariance of Security and Market / Variance of the Marketwhere:Covariance of Security and Market is the covariance between the security and the market.Variance of the Market is the variance of the market return.
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assume that households have positive wealth. which of the following explains how the income effect of an interest rate increase affects consumption?
The income effect of an interest rate increase affects consumption: As the interest rate increases, nonlabour income increases and current consumption increases.
What is interest rate?Interest rate is the cost of borrowing money or the rate of return earned by an investor. It is typically expressed as a percentage of the principal amount borrowed or invested over a certain period of time. Interest rates are determined by a variety of factors, such as the risk associated with the loan, the borrower's credit rating, the type of loan and the amount of money being borrowed. Generally, the higher the risk associated with lending the money, the higher the interest rate. Interest rates can vary from one lender to another, so it is important to shop around to find the best deal.
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Complete Question:
Assume that households have positive wealth.
Which of the following explains how the income effect of an interest rate increase affects consumption?
As the interest rate increases, nonlabour income increases and current consumption increases.
As the interest rate increases, the opportunity cost of current consumption falls, and therefore current consumption increases.
As the interest rate increases, permanent income increases and future consumption increases.
As the interest rate increases, expected future income increases and future consumption increases.
how and when does a contractor performing work associated with a 203(k) loan receive funds from the lender?
The borrower's lender uses escrowed funds to pay the contractors in a series of draws. The lender deposits the money for repairs and improvements into such an escrow account at closing.
What is a brief definition of funds?
A fund is a collection of funds set aside for a certain objective. A fund can be created for a variety of objectives, such as the construction of a new civic center by the municipal government, the awarding of scholarships at a college, or the payment of customer claims by an insurance company.
What do funds in finance mean?
Funds are collective investments that help you diversify your total risk by pooling your money and the money of other investors and investing it in a variety of underlying investments.
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Sales for a _____ product begin immediately after introduction because the benefits of purchase are readily understood by consumers.
fad
fashion
low-learning
high-learning
technological
Sales for a high-learning technological product begin immediately after introduction because the benefits of purchase are readily understood by consumers.
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what can be the role of media to provide trustworthly information to ordinary people who want to apply for foreign employment?
The role of the media in providing trustworthy information to ordinary people who want to apply for foreign employment will include:
Making researches to determine if the opportunity is genuine before dissemination of information They can also assist to ensure the people interested go with the right documents and things.Making researches to determine if the opportunity is genuine before dissemination of information ensures that the individuals are free from trouble as offences could be punishable the law.
They can also assist to ensure the people interested go with the right documents and things to also ensure that they are deported with nothing which may lead to depression.
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according to the periodicity assumption, companies can only review their financial health at the end of their fiscal year?
The following statement "According to the periodicity assumption, companies can only review their financial health at the end of their fiscal year" is true.
A company can submit its financial results within a set amount of time, according to the periodicity assumption. In most cases, this denotes that an organization routinely discloses its performance and financial flows on a monthly, quarterly, or yearly basis.
The business entity assumption, the accounting period assumption, the going concern assumption, and the money measurement assumption are the four fundamental presumptions that serve as the foundation of the financial accounting framework.
The above question is incomplete, the complete question is:
According to the periodicity assumption, companies can only review their financial health at the end of their fiscal year? True/False
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Carmax is a national chain that sells used cars. the likely impact of its arrival in the market would be to _____. everything else held constant, this would likely _____ the price of used cars.
Answer:
1. shift the supply of used cars to the right
2. lower
Explanation:
1. With carmax's arrival in the market this has caused the number of sellers to increase thereby shifting the supply curve to the right. An increase in the number of sellers increases the quantity supplied at each price.
2. Since the supply of used cars have increased and demand remains the same, there will be a surplus in the market for used cars resulting in lowered prices of used cars.
Which is a characteristic of judging approach
Answer:
Clarity and Closure
Explanation
Judgers take a planned, ordered, and precisely calibrated approach to life, developing both short- and long-term plans to assist them in achieving their objectives. For them, schedules and "to-do" lists are consoling. They dislike uncertainty and change, preferring to know what they are getting into instead.
Those that have this preference feel more in control of their surroundings. They are disciplined and resolute, seeking resolution as soon as possible to reduce stress. Judgers struggle with open-ended plans because they have a "work first-play later" mentality. Instead of addressing issues as they arise, they would prefer to devise three distinct backup plans.
Judgers take their obligations and deadlines very seriously, both in business and in life. They are quite particular.
Laurel contributed equipment worth $200,000, purchased 10 months ago for $250,000 cash and used in her sole proprietorship, to Sand Creek LLC in exchange for a 15 percent profits and capital interest in the LLC. Laurel agreed to guarantee all $15,000 of Sand Creek’s accounts payable, but she did not guarantee any portion of the $100,000 nonrecourse mortgage securing Sand Creek’s office building. Other than the accounts payable and mortgage, Sand Creek does not owe any debts to other creditors.a. What is Laurel’s initial tax basis in her LLC interest?
b. Laurel’s holding period in the partnership interest begins the day the LLC interest is acquired. True or False?c. What is Sand Creek’s initial basis in the contributed property?
d. What is Sand Creek’s holding period in the contributed property?
Answer: See explanation
Explanation:
a. What is Laurel’s initial tax basis in her LLC interest?
This will be the addition of the $250,000 basis for the equipment, accounts payable of $15,000 and also the $15,000 (15% × $100,000). This will be:
= $250,000 + $15,000 + $15,000
= $280,000
b. True.
Laurel’s holding period in the partnership interest begins the day the LLC interest is acquired. This is due to the fact that the asset contributed isn't a section 1232 asset. The reason for this is due to the fact that the asset was used for a year or less.
c. Sand Creek’s initial basis in the contributed property is $250,000.
d. Ten months.
Sand Creek’s holding period in the contributed property will be 10 months.
can someone answer me this please
Answer:
Higher fixed costs and Deteriorating net cash flow postion
Explanation:
What helps a consumer determine the quantity of something to buy?
marginal cost
marginal error
marginal benefit
marginal comparison
Answer:
marginal cost
Explanation:
"Marginal cost" plays a role when it comes to the quantity that consumers may actually buy for a particular product. If a company decides to produce many bags of good quality at a lower price, the company will be able to save money because over time, they will tend to choose a bulk purchase in which they'll be able to save money. Thus, their marginal cost will decrease. In this case, they can also lower the price for each bag. So, this means that their bags will not be expensive for consumers to buy and the more quantity the consumers will be willing to purchase.
Answer: The answer should be:
A: marginal cost
Explanation:
Edge 2023
Hope this helps! (^_^)
Cindy Haskins is paid $9.00 an hour. Her overtime rate is 2 times (double time) her regular hourly rate. This week Haskins worked her regular 40 hours plus 8 hours of overtime. What is her total pay?
Her entire compensation is $504.
The term "total pay" means what?Total Pay is the sum of a worker's regular straight-time pay or base salary plus any additional wages received for overtime, shift differentials, incentive pay, bonuses, and other special payments.
The following formula will be used to determine Cindy Haskins' total compensation:
Hourly Payment per hour= $9.00
Hours worked= 40 hours
Payment = 40 X 9 = $360
Overtime payment per hour = $9.00 X 2= $18
Overtime = 8 hours
Payment = 18 X 8= $ 144
Total Payment= $360 + $144= $504
How do you figure up total pay?The number of hours worked multiplied by the hourly wage of an employee is how gross wages for hourly workers are determined. For instance, if a worker does 25 hours per week of part-time employment at a wage of $12, their gross compensation would be $300 (25 x $12 = 300).
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Which is the first step in setting a financial goal?
a. setting aside leftover income
b. reducing your spending
c. tracking your spending
d. starting a second source of income
Answer:
All four actually.
Explanation:
In order to reach a financial goal you need to:
1. Save Money
2. Set and manage a budget (usually a monthly budget listing all your known expenses works)
3. Track your spending, and keep managing your budget.
4. Reduce your spending. If you are trying to reach a goal, a great line of thinking is “Only buy what you Need, Not what you Want”
5. If you are trying to reach a set financial goal quickly, then yes, it makes sense to find a secondary source of income, such as a part time job, or start a selling site on EBay, for items you don’t use anymore, etc.
Answer: B. reduce your spending.
Explanation: by not spending money this will allow you to save money for your financial goal.
Equipment costs in the project costs estimate are for equipment:
a. that the organization wants to have.
b. needed by others in the organization that may not be assigned to the project.
c. that is the latest upgrade, even if not needed for the project.
d. that must be purchased as part of the project.
Equipment costs in the project costs estimate are for equipment "that must be purchased as part of the project". The correct option is D.
The equipment costs refer to the expenses associated with acquiring, maintaining and operating necessary equipment for a project or organization.
These costs typically include the purchase or lease of equipment, installation and setup, ongoing maintenance and repairs, insurance and upkeep of the equipment.
The equipment costs can vary depending on the type and quantity of equipment required for the project and technological advancements.
Therefore, the correct option is D.
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after the terminal speed has been reached, at what rate is work being done on the bar by gravity?
After the terminal speed has been reached, the rate at which work is done on the bar by gravity is zero. The rate at which work is done on the bar by gravity is zero.
Terminal speed is the steady speed reached by an object when it is dropped through a fluid or gas.
At this speed, the frictional resistance force acting on the object is equal to the driving force, and the object stops accelerating and falls at a constant speed.This can be obtained by the following equation:
vt = √((2mg)/(pAC))where, vt is the terminal velocity, m is the mass of the object, g is the acceleration due to gravity, p is the density of the fluid, A is the cross-sectional area of the object, and C is the drag coefficient.
For an object falling through a fluid, work is done on the object by gravity until the object reaches terminal velocity. After that, the gravitational force and the resistance force are equal and opposite, so there is no further acceleration, and thus no further work is done. Therefore, after the terminal speed has been reached, the rate at which work is done on the bar by gravity is zero.
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Normandy Company has collected the following inventory data prior to preparing financial statements for the month of October. All purchases and sales are on credit. Assuming the periodic inventory system is used, determine the cost of the ending inventory and cost of goods sold using FIFO. Prepare the appropriate journal entries to record: (10 marks) (A) The October 6 purchase. (B) The October 12 sale. (C) The entries to close the October income statement items to Income Summary. (Assume that sales revenue and the elements of cost of goods sold are the only income statement items.)
the specific inventory data required to calculate the cost of the ending inventory and cost of goods sold using the FIFO (First-In, First-Out) method.
To calculate these values, we would need information about the quantity and cost of inventory purchases and sales throughout the month of October. Additionally, to prepare the appropriate journal entries for the October 6 purchase, October 12 sale, and the entries to close the income statement items to Income Summary, we would need the specific amounts and accounts affected by these transactions. Once the relevant inventory data and transaction details are provided, I would be happy to assist you in calculating the cost of the ending inventory and cost of goods sold using the FIFO method, as well as preparing the necessary journal entries.
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Help plzzz for economics
Answer:
the answer is b
Explanation: